National Emission Standards for Hazardous Air Pollutants: Area Source Standards for Paints and Allied Products Manufacturing, 63504-63530 [E9-27947]
Download as PDF
63504
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 63
[EPA–HQ–OAR–2008–0053; FRL–8983–5]
RIN 2060–AN47
National Emission Standards for
Hazardous Air Pollutants: Area Source
Standards for Paints and Allied
Products Manufacturing
Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Congressional Review Act
I. General Information
A. Does this action apply to me?
DATES: This final rule is effective on
December 3, 2009.
ADDRESSES: EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OAR–2008–0053. All
documents in the docket are listed in
the Federal Docket Management System
index at https://www.regulations.gov
index. Although listed in the index,
some information is not publicly
available, e.g., confidential business
information (CBI) or other information
whose disclosure is restricted by statute.
Certain other material, such as
copyrighted material, will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically in https://
www.regulations.gov or in hard copy at
the EPA Docket Center, Public Reading
Room, EPA West, Room 3334, 1301
Constitution Ave., NW., Washington,
DC. The Public Reading Room is open
from 8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal
holidays. The telephone number for the
Public Reading Room is (202) 566–1744,
and the telephone number for the Air
Docket is (202) 566–1742.
FOR FURTHER INFORMATION CONTACT:
Melissa Payne, Regulatory Development
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this
document?
C. Judicial Review
II. Background Information for This Final
Rule
III. Summary of Changes Since Proposal
A. Applicability
B. Standards and Compliance
Requirements
C. Reporting and Recordkeeping
Requirements
D. Definitions
E. Other
IV. Summary of Final Standards
A. Do these standards apply to my source?
B. When must I comply with these
standards?
C. What processes does this final rule
address?
D. What are the emissions control
requirements?
E. What are the initial compliance
requirements?
F. What are the continuous compliance
requirements?
G. What are the notification,
recordkeeping, and reporting
requirements?
V. Summary of Comments and Responses
A. Applicability
B. Compliance/Implementation Dates
C. De Minimis Thresholds and
Subcategorization
D. Emission Standards and Management
Practices
E. Testing, Monitoring, and Inspection
Requirements
F. Reporting and Recordkeeping
Requirements
G. Baseline Emissions and Emission
Reductions
H. Title V Requirements
VI. Impacts of the Final Standards
VII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
H. Executive Order 13211: Actions
Concerning Regulations That
1 Production of paint thinners and paint remover
is covered under the Industrial Organic Chemical
Manufacturing Area Source NESHAP, and
electroplated and electroless metal films are
covered under the Plating and Polishing Operations
Area Source NESHAP. Resins manufacturing is
covered under the Plastic Materials and Resins
Manufacturing Area Source NESHAP and pigments
manufacturing is covered under the Inorganic
Pigment Manufacturing Area Source NESHAP.
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
SUMMARY: EPA is issuing national
emission standards for control of
hazardous air pollutants (HAP) for the
Paints and Allied Products
Manufacturing area source category. The
final rule establishes emission standards
in the form of management practices for
volatile HAP, and emission standards in
the form of equipment standards for
particulate HAP. The emissions
standards for new and existing sources
are based on EPA’s determination as to
what constitutes the generally available
control technology or management
practices (GACT) for the area source
category.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
and Policy Analysis Group, Office of Air
Quality Planning and Standards (C404–
05), Environmental Protection Agency,
Research Triangle Park, North Carolina
27711, telephone number: (919) 541–
3609; fax number: (919) 541–0242; email address: payne.melissa@epa.gov.
SUPPLEMENTARY INFORMATION: The
supplementary information in this
preamble is organized as follows:
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
PO 00000
Frm 00002
Fmt 4701
Sfmt 4700
The regulated categories and entities
potentially affected by this final rule are
shown in the table below. You are
subject to this subpart if you own or
operate a facility that performs paints
and allied products manufacturing that
is an area source of hazardous air
pollutant (HAP) emissions and
processes, uses, or generates materials
containing the following HAP: benzene,
methylene chloride, and compounds of
cadmium, chromium, lead, and nickel.
The paints and allied products
manufacturing area source rule
(CCCCCCC) covers all coatings, but does
not include resin manufacturing, which
is covered by the chemical
manufacturing area source standard
(VVVVVV). Facilities that manufacture
both resins and coatings are required to
comply with both rules. Paints and
allied products are defined in Sec.
63.11607 as any material such as a
paint, ink, or adhesive that is intended
to be applied to a substrate and consists
of a mixture of resins, pigments,
solvents, and/or other additives.
Typically, the industries that
manufacture these products are
described by Standard Industry
Classification (SIC) codes 285 or 289
and North American Industry
Classification System (NAICS) codes
3255 and 3259 and are produced by
physical means, such as blending and
mixing, as opposed to chemical
synthesis means, such as reactions and
distillation. The source category does
not include the following: (1) The
manufacture of products that do not
leave a dried film of solid material on
the substrate, such as thinners, paint
removers, brush cleaners, and mold
release agents; (2) the manufacture of
electroplated and electroless metal
films; (3) the manufacture of raw
materials, such as resins, pigments, and
solvents used in the production of
paints and allied products; 1 and (4)
activities by end users of paints or allied
products to ready those materials for
application.
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
NAICS
code 2
Category
Paint & Coating Manufacturing ..................
325510
Adhesive Manufacturing .............................
325520
Printing Ink Manufacturing .........................
325910
All Other Miscellaneous Chemical Product
and Preparation Manufacturing.
325998
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
affected by this action. To determine
whether your facility is regulated by this
action, you should examine the
applicability criteria in 40 CFR
63.11599, subpart CCCCCCC (NESHAP
for Area Sources: Paints and Allied
Products Manufacturing). If you have
any questions regarding the
applicability of this action to a
particular entity, consult either the state
delegated authority or the EPA regional
representative as listed in 40 CFR 63.13
of subpart A (General Provisions).
WReier-Aviles on DSKGBLS3C1PROD with RULES2
B. Where can I get a copy of this
document?
In addition to being available in the
docket, an electronic copy of this
proposed action will also be available
on the Worldwide Web (WWW) through
EPA’s Technology Transfer Network
(TTN). A copy of this proposed action
will be posted on the TTN’s policy and
guidance page for newly proposed or
promulgated rules at the following
address: https://www.epa.gov/ttn/oarpg.
The TTN provides information and
technology exchange in various areas of
air pollution control.
C. Judicial Review
Under section 307(b)(1) of the Clean
Air Act (CAA), judicial review of this
final rule is available only by filing a
petition for review in the United States
Court of Appeals for the District of
Columbia Circuit by February 1, 2010.
Under section 307(b)(2) of the CAA, the
requirements established by this final
rule may not be challenged separately in
any civil or criminal proceedings
brought by EPA to enforce these
requirements.
Section 307(d)(7)(B) of the CAA
further provides that ‘‘[o]nly an
objection to a rule or procedure which
was raised with reasonable specificity
during the period for public comment
(including any public hearing) may be
raised during judicial review.’’ This
section also provides a mechanism for
2 North
American Industry Classification System.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
Examples of regulated entities
Area source facilities engaged in mixing pigments, solvents, and binders into paints
and other coatings, such as stains, varnishes, lacquers, enamels, shellacs, and
water repellant coatings for concrete and masonry.
Area source facilities primarily engaged in manufacturing adhesives, glues, and
caulking compounds.
Area source facilities primarily engaged in manufacturing printing inkjet inks and
inkjet cartridges.
Area source facilities primarily engaged in manufacturing indelible ink, India ink writing ink, and stamp pad ink.
EPA to convene a proceeding for
reconsideration, ‘‘[i]f the person raising
an objection can demonstrate to EPA
that it was impracticable to raise such
objection within [the period for public
comment] or if the grounds for such
objection arose after the period for
public comment (but within the time
specified for judicial review) and if such
objection is of central relevance to the
outcome of the rule.’’ Any person
seeking to make such a demonstration to
us should submit a Petition for
Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000,
Ariel Rios Building, 1200 Pennsylvania
Ave., NW., Washington, DC 20460, with
a copy to both the person(s) listed in the
preceding FOR FURTHER INFORMATION
CONTACT section, and the Associate
General Counsel for the Air and
Radiation Law Office, Office of General
Counsel (Mail Code 2344A), U.S. EPA,
1200 Pennsylvania Ave., NW.,
Washington, DC 20460.
II. Background Information for This
Final Rule
Section 112(d) of the Clean Air Act
requires EPA to establish national
emission standards for hazardous air
pollutants (NESHAP) for both major and
area sources of HAP that are listed for
regulation under CAA section 112(c). A
major source emits or has the potential
to emit 10 tons per year (tpy) or more
of any single HAP or 25 tpy or more of
any combination of HAP. An area
source is a stationary source that is not
a major source.
Section 112(k)(3)(B) of the CAA calls
for EPA to identify at least 30 HAP
which, as the result of emissions from
area sources, pose the greatest threat to
public health in the largest number of
urban areas. Section 112(c)(3) requires
EPA to list sufficient categories or
subcategories of area sources to ensure
that area sources representing 90
percent of the emissions of the 30 urban
HAP are subject to regulation. EPA
implemented these provisions in 1999
in the Integrated Urban Air Toxics
Strategy, (64 FR 38715, July 19, 1999).
Specifically, in the Strategy, EPA
PO 00000
63505
Frm 00003
Fmt 4701
Sfmt 4700
identified 30 HAP that pose the greatest
potential health threat in urban areas,
and these HAP are referred to as the ‘‘30
urban HAP.’’ A primary goal of the
Strategy is to achieve a 75 percent
reduction in cancer incidence
attributable to HAP emitted from
stationary sources.
Under CAA section 112(d)(5), we may
elect to promulgate standards or
requirements for area sources ‘‘which
provide for the use of generally
available control technologies or
management practices (GACT) by such
sources to reduce emissions of
hazardous air pollutants.’’ Additional
information on GACT is found in the
Senate report on the legislation (Senate
Report Number 101–228, December 20,
1989), which describes GACT as:
* * * methods, practices and techniques
which are commercially available and
appropriate for application by the sources in
the category considering economic impacts
and the technical capabilities of the firms to
operate and maintain the emissions control
systems.
Consistent with the legislative history,
we can consider costs and economic
impacts in determining GACT. This is
particularly important when developing
regulations, like this one, that may
impact many small businesses, as
defined by the Small Business
Administration.
Determining what constitutes GACT
involves considering the control
technologies and management practices
that are generally available to the area
sources in the source category. We also
consider the standards applicable to
major sources in the same industrial
sector to determine if the control
technologies and management practices
are transferable and generally available
to area sources. In appropriate
circumstances, we may also consider
technologies and practices at area and
major sources in similar categories to
determine whether such technologies
and practices could be considered
generally available for the area source
category at issue. Finally, as noted
above, in determining GACT for a
particular area source category, we
E:\FR\FM\03DER2.SGM
03DER2
63506
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
consider the costs and economic
impacts of available control
technologies and management practices
on that category.
We are promulgating these national
emission standards in response to a
court-ordered deadline that requires
EPA to issue standards for categories
listed pursuant to section 112(c)(3) and
(k) by November 16, 2009 (Sierra Club
v. Johnson, no. 01–1537, D.D.C., March
2006).
WReier-Aviles on DSKGBLS3C1PROD with RULES2
III. Summary of Changes Since
Proposal
This final rule contains several
revisions and clarifications to the
proposed rule made after considering
public comments. The following
sections present a summary of the
changes to the proposed rule. We
explain the reasons for these changes in
detail in the summary of comments and
responses (section V of this preamble).
A. Applicability
We made several changes to clarify
the applicability of this final rule.
Specifically, we have clarified that the
final rule does not include retail and
commercial paints and allied products
operations which add and mix pigments
to pre-manufactured products per
customer specifications.
We have revised the definition of
‘‘paints and allied products
manufacturing’’ to exclude activities by
end users of paints and allied products
to ready those materials for application.
We have also revised the definition of
‘‘paints and allied products
manufacturing process’’ to exclude
weighing, mixing, tinting, blending,
diluting, stabilizing, or any other
handling of these paints and allied
products to ready these materials for use
by end users.
Furthermore, we clarified the types of
operations by end users that are not
covered by this area source category. An
end user is someone who applies a
coating to substrate, similar to the
Miscellaneous Coating Manufacturing
major source rule (40 CFR part 63,
subpart HHHHH). The final rule does
not apply to activities conducted by end
users of coating products in preparation
for application (68 FR 69164, December
11, 2003). Thus, operations that modify
a purchased coating prior to application
at the purchasing facility are not
included in the Paints and Allied
Products Manufacturing area source
category; this would apply only if the
purchased product is already a coating
that an end user could apply as
purchased. The activities and operations
described above are not subject to
today’s rule because they were not part
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
of the listed source category under CAA
section 112(c)(3).
In the proposed rule, we proposed
that the affected source include the
entire facility if the facility emitted any
of the paints and allied products
manufacturing target HAP. Specifically,
under the proposal, all process vessels
at the facility would be subject to the
standards if any emissions source at the
facility emitted one of the paints and
allied products manufacturing target
HAP. 3 After consideration of public
comments, we modified the scope of
applicability of this final rule, and we
made several changes to clarify the
applicability provisions. The most
significant change is that only process
vessels that emit one or more of the
target HAP are subject to the rule.
B. Standards and Compliance
Requirements
We have made several changes to the
standards for paints and allied products
manufacturing. For the metal HAP
standards, we have revised the
requirement to conduct an initial visible
emission test by changing the test
method from Method 9 to Method 203C.
In addition we have revised the opacity
standard from 5 percent opacity to 10
percent opacity. We have also removed
the requirement to conduct additional
visible emissions tests every six months.
Instead, we have added quarterly
Method 22 visible emission
observations.
We have also extended the initial
particulate control device testing date
from 60 days to 180 days from the
compliance date for an existing source,
and 180 days of start-up of a new
system.
We have removed the requirement to
cover all process tanks with a lid or
cover. Instead, only process vessels that
contain benzene or methylene chloride
will be required to be covered. In
addition, we have added a provision to
allow operators to open any vessel only
to the extent necessary for quality
control testing and product sampling,
addition of materials, or product
removal.
3 In this preamble, we use the term ‘‘target HAP’’
to mean the urban HAP for which the paints and
allied products manufacturing source category is
listed under section 112(c)(3). Those HAP are
benzene, methylene chloride, and compounds of
cadmium, chromium, lead, or nickel. Further, the
regulations define ‘‘materials containing HAP’’ to
mean a material containing any of the target HAP
in amounts greater than or equal to 0.1 percent by
weight, as shown in formulation data provided by
the manufacturer or supplier. See 63.11607.
PO 00000
Frm 00004
Fmt 4701
Sfmt 4700
C. Reporting and Recordkeeping
Requirements
We have revised § 63.11603, ‘‘What
are my notification, reporting, and
recordkeeping requirements?’’ of this
final rule to revise the submittal dates
for the Initial Notification of
Applicability and Notification of
Compliance Status reports. We have
extended the initial notification of
applicability from 120 days after
publication of the final rule in the
Federal Register to 180 days after
publication of the final rule in the
Federal Register.
D. Definitions
We have made several changes to the
final rule definitions in § 63.11607,
‘‘What definitions apply to this
subpart?’’, and have added definitions
for other terms used in this final rule.
We added definitions for construction,
dry particulate control device,
responsible official, and wet particulate
control device. We have revised the
definition of paints and allied products,
paints and allied products
manufacturing, and paints and allied
products manufacturing process.
E. Other
We corrected several typographical
errors that appeared in various sections
of the proposed rule.
IV. Summary of Final Standards
A. Do these standards apply to my
source?
This final rule (subpart CCCCCCC)
applies to new or existing paints and
allied products manufacturing
operations which are area sources of one
of the target hazardous air pollutants
(HAP) and that process, use, or generate
materials containing one or more of the
following target HAP: Benzene,
methylene chloride, and compounds of
cadmium, chromium, lead, and nickel.
‘‘Material containing HAP’’ is defined in
the regulations as any material that
contains benzene, methylene chloride,
or compounds of cadmium, chromium,
lead, or nickel, in amounts greater than
or equal to 0.1 percent by weight, as
shown by the manufacturer or supplier,
such as in the Material Safety Data
Sheet (MSDS) for the material.
In the proposed rule, we proposed
that the affected source include the
entire facility if the facility processes,
uses, or generates any of the target HAP.
Specifically, under the proposed rule, if
the facility processes, uses, or generates
any of the target HAP, then they would
be required to control all HAP that is
processed, used, or generated at the
facility. In response to comments, we
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
have revised the final rule to define the
affected source as only those processes
that process, use, or generate the target
HAP. In the proposed rule, we proposed
that the affected source include the
entire facility if the facility emitted any
of the target HAP. Specifically, under
the proposal, all paints and allied
products manufacturing processes at the
facility would be subject to the
standards if any emissions source at the
facility emitted one of the target HAP.
In response to comments, we narrowed
the scope of applicability of this final
rule, and we made several changes to
clarify the applicability provisions. The
most significant change is that only
those process units that emit one or
more of the target HAP are subject to the
rule. The final rule further specifies that
each process vessel that emits one of the
target HAP is subject only to
requirements that apply to the same
type of target HAP that triggered
applicability, not requirements for all
types of HAP. For example, a process
vessel that uses only one or more target
metal HAP (i.e., compounds of
cadmium, chromium, lead, or nickel) is
required to control all CAA section
112(b) metal HAP. Similarly, a process
vessel that uses only target volatile HAP
(i.e., benzene or methylene chloride) is
required to control all CAA section
112(b) volatile HAP.
Paints and allied products
manufacturing operations include the
production of paints, inks, adhesives,
stains, varnishes, shellacs, putties,
sealers, caulks, and other coatings from
raw materials, the intended use of
which is to leave a dried film of solid
material on a substrate. Typically, the
manufacturing industries that produce
these materials are described by SIC
codes 285 or 289 and NAICS codes 3255
and 3259 and are produced by physical
means, such as blending and mixing, as
opposed to chemical synthesis means,
such as reactions and distillation. Paints
and allied products manufacturing does
not include: (1) The manufacture of
products that do not leave a dried film
of solid material on the substrate, such
as thinners, paint removers, brush
cleaners, and mold release agents; (2)
the manufacture of electroplated and
electroless metal films; (3) the
manufacture of raw materials, such as
resins, pigments, and solvents used in
the production of paints and coatings;
and (4) activities by end users of paints
or allied products to ready those
materials for application. Quality
assurance and quality control
laboratories are not considered part of a
paints and allied products
manufacturing process, as they were not
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
part of the listed paints and allied
products source category. Additionally,
the standards do not apply to research
and development facilities, as defined
in section 112(c)(7) of the CAA. Quality
assurance and quality control
laboratories and research and
development facilities were
inadvertently omitted from the
proposal, but the final rule corrects this
omission.
If you have any questions regarding
the applicability of this action to a
particular entity, consult either the air
permit authority for the entity or your
EPA regional representative as listed in
40 CFR 63.13 of subpart A (General
Provisions).
B. When must I comply with these
standards?
All existing area source facilities
subject to this rule are required to
comply with the rule requirements no
later than December 3, 2012. New
sources are required to comply with the
rule requirements upon December 3,
2009 or upon startup of the facility,
whichever is later.
C. What processes does this final rule
address?
There are four general process
operations common to the paints and
allied products manufacturing source
categories that emit one or more of the
target HAP. These four process
operations are: (1) Preassembly and
premix, (2) pigment grinding, milling,
and dispersing, (3) product finishing
and blending, and (4) product filling
and packaging.
For premix and assembly, the final
rule addresses the target HAP emissions
that are generated during the addition of
pigments and other solid materials to
the process or mixing vessels. The
preassembly and premix step involves
the collection of raw materials that will
be used to produce the desired coating
product. These materials are added to a
high speed dispersion or mixing vessel.
The types of raw materials that are used
for solvent-based coatings include
resins, organic solvents, plasticizers, dry
pigment, and pigment extenders; water,
ammonia, dispersant, pigment, and
pigment extenders are used for waterbased coatings.
The final rule addresses HAP
emissions from pigment grinding,
milling, and dispersing. Pigment
grinding or milling entails the
incorporation of the pigment into the
paint or ink vehicle to yield fine particle
dispersion. The three stages of this
process include wetting, grinding, and
dispersion, which may overlap in any
grinding operation. The wetting agent,
PO 00000
Frm 00005
Fmt 4701
Sfmt 4700
63507
normally a surfactant, wets the pigment
particles by displacing air, moisture,
and gases that are adsorbed on the
surface of the pigment particles.
Grinding is the mechanical breakup and
separation of pigment clusters into
isolated particles and may be facilitated
by the use of grinding media such as
pebbles, balls, or beads. Finally,
dispersion is the movement of wetted
particles into the body of the liquid
vehicle to produce a particle
suspension.
For product finishing and blending,
the final rule addresses the HAP
emissions that occur during heat-up
losses during operation of the mixers;
surface evaporation during mixing and
blending; and the addition of pigments
and other solid materials to the process
or mixing vessels.
For product filling and packaging, the
final rule addresses HAP emissions from
the addition of small amounts of
pigments, solids, or liquids to achieve
the required color or consistency of the
final product.
D. What are the emissions control
requirements?
The following is a description of the
control requirements for the paints and
allied products manufacturing process
described in section IV.C above. The
control requirements only apply when
an operation is being performed at a
process vessel that uses materials
containing HAP. As stated earlier, the
regulations define ‘‘materials containing
HAP’’ as a material containing benzene,
methylene chloride, or compounds of
cadmium, chromium, lead, and/or
nickel, in amounts greater than or equal
to 0.1 percent by weight, as shown in
formulation data provided by the
manufacturer or supplier for the
material, such as the Material Safety
Data Sheet.4 For example, an area
source may have two process vessels,
one containing tetrachloroethylene
(which is not one of the target HAP) and
the other containing methylene
chloride, and, under this rule, only the
process vessel containing methylene
4 The CAA section 112(k) inventory was primarily
based on the 1990 Toxics Release Inventory (TRI),
and that is the case for the paints and allied
products manufacturing area source category as
well. The reporting requirements for the TRI do not
include de minimis concentrations of toxic
chemicals in mixtures, as reflected in the above
concentration levels; therefore, the CAA section
112(k) inventory would not have included
emissions from operations involving chemicals
below these concentration levels. See 40 CFR
372.38, Toxic Chemical Release Reporting:
Community Right-To-Know (Reporting
Requirements). Accordingly, the scope of the listed
source category is limited to facilities using
materials containing one or more of the target HAP
in quantities greater than 0.1 percent.
E:\FR\FM\03DER2.SGM
03DER2
63508
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
chloride (one of the target volatile HAP)
would be part of the affected source and
as such, subject to the process vessel
standards.
1. Standards for Metal HAP Emissions
This final rule requires owners or
operators of all existing and new
affected facilities to operate a particulate
control device during the addition of
pigments and other solids that contain
compounds of cadmium, chromium,
nickel, or lead, and during the grinding
and milling of pigments and solids that
contain compounds of cadmium,
chromium, nickel, or lead.
Particulate control devices that vent
to the atmosphere must be maintained
such that visible emissions from the
particulate control device shall not
exceed 10 percent opacity when
averaged over a six-minute period.
Affected sources using particulate
control devices that do not vent to the
atmosphere are not subject to the
requirements of this rule, as there are no
emissions to the atmosphere.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
2. Standards for Volatile HAP Emissions
This final rule requires new and
existing affected sources to equip
process and storage vessels that store or
process materials containing benzene or
methylene chloride with covers or lids.
The covers or lids can be of solid or
flexible construction, provided they do
not warp or move around during the
manufacturing process. The covers or
lids must maintain contact along at least
90 percent of the vessel rim and must
be maintained in good condition.
Mixing vessels that process or store
materials containing one or more of the
target volatile HAP must be equipped
with covers that completely cover the
vessel, except for safe clearance of the
mixer shaft. All vessels that store or
process materials containing benzene or
methylene chloride must be kept
covered at all times, except for quality
control testing and product sampling,
addition of materials, material removal,
or when the vessel is empty.
The final rule requires that leaks and
spills of materials containing benzene or
methylene chloride must be minimized
and cleaned up as soon as practicable,
but no longer than 1 hour from the time
of detection. Rags or other materials that
use a solvent containing benzene or
methylene chloride for cleaning must be
kept in a closed container. The closed
container may contain a device that
allows pressure relief but does not allow
liquid solvent to drain from the
container.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
E. What are the initial compliance
requirements?
To demonstrate initial compliance
with this final rule, owners or operators
of affected new or existing sources must
certify that they have implemented all
required control technologies and
management practices and that all
equipment associated with the
processes will be properly operated and
maintained. In addition, a visual
emission test using EPA Method 203C is
required to be performed on the
particulate control device on or before
the compliance date.
F. What are the continuous compliance
requirements?
This rule requires owners and
operators of affected facilities to inspect
the particulate control device annually
to check the structural integrity of the
particulate control device, and to
perform a visual emission test using
EPA Method 22 on the particulate
control device every 3 months. If visible
emissions are observed for two minutes
of the required 5 minute Method 22
observation period, a Method 203C (40
CFR part 51, appendix M) test must be
conducted within 15 days of the time
when visible emissions were observed.
If the Method 203C test indicates an
opacity greater than 10 percent, you
must take corrective action and retest
using Method 203C within 15 days. The
owner/operator will continue to take
corrective action and retest each 15 days
until a Method 203C test indicates an
opacity equal to or less than 10 percent.
Failure to meet the 10 percent opacity
standard is a deviation and must be
reported in your annual compliance
report along with the corrective actions
taken.
G. What are the notification,
recordkeeping, and reporting
requirements?
New and existing affected sources are
required to comply with certain
requirements of the General Provisions
(40 CFR part 63, subpart A). Each new
source is required to submit an Initial
Notification no later than 180 days after
initial startup of the operations or June
1, 2010, whichever is later. Existing
affected sources must submit the Initial
Notification no later than June 1, 2010.
Notification of Compliance Status
reports are required to be submitted
according to the requirements in 40 CFR
63.9 in the General Provisions no later
than June 3, 2013 for existing sources,
or no later than 180 days after initial
startup, or by June 1, 2010, whichever
is later for new sources.
PO 00000
Frm 00006
Fmt 4701
Sfmt 4700
The affected source is required to
prepare an annual compliance
certification report. The annual
compliance certification report contains
the company name and address, a
statement signed by a responsible
official that certifies the truth, accuracy,
and completeness of the certification
report, and a statement of whether the
source has complied with all of the
relevant standards and other
requirements of this rule. If there are
any deviations from the requirements of
this subpart, the facility must submit
this annual compliance certification
report with any deviation reports
prepared during the year. The deviation
reports must describe the circumstance
of the deviation and the corrective
action taken.
Facilities are also required to
maintain all records that demonstrate
initial and continuous compliance with
this final rule, including records of all
required notifications and reports, with
supporting documentation; and records
showing compliance with management
practices. Owners and operators must
also maintain records of the following,
if applicable: Date and results of the
particulate control device inspections;
date and results of all visual
determinations of visible emissions,
including any follow-up tests and
corrective actions taken; and date and
results of all visual determinations of
emissions opacity, and corrective
actions taken.
V. Summary of Comments and
Responses
We received a total of 27 comments
on the proposed NESHAP from industry
representatives, trade associations,
Federal and State agencies, and the
general public during the public
comment period. Sections V.A through
V.F of this preamble provide responses
to the significant public comments
received on the proposed NESHAP.
A. Applicability
1. General Applicability
Comment: Several commenters
believe that the proposed rule subjects
all retail and commercial paints and
allied products operations that add and
mix pigments to pre-manufactured
products per customer specifications to
the requirements in this rule. The
commenters believe that this was not
the intent of the rule, as demonstrated
by the discussion of the affected number
of sources, and economic impacts of the
rule. The commenters suggest that EPA
revise its definitions of ‘‘paints and
allied products,’’ ‘‘paints and allied
products manufacturing,’’ and ‘‘paints
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
and allied products manufacturing
process’’ to exclude operations that only
add and mix small amounts of pigment
per container of pre-manufactured paint
or allied products for commercial or
retail purchase per customer
specification.
One commenter suggests that EPA
refer to the language used in the major
source miscellaneous coatings
manufacturing rule (40 CFR part 63,
subpart HHHHH), which clarified its
intent to regulate the coatings
manufacturers, not activities by end
users to prepare or modify coatings in
preparation for application.
Another commenter requests that the
definitions clarify that the rule does not
apply to raw material production, as
some larger area source facilities will be
co-located with such operations.
Response: In response to comments,
we re-examined the record supporting
the initial listing of the Paints and
Allied Products Manufacturing source
category. Based on our review of the
record supporting that listing, we agree
with the commenters that the source
category that was listed did not include
retail and commercial paints and allied
products operations which add and mix
pigments to pre-manufactured products
per customer specifications. EPA’s
intent in the proposed rule was not to
include the activities of end users,
which include retail and commercial
paints and allied products operations
which add and mix pigments to premanufactured products per customer
specifications, and we recognize that the
definitions used in the proposal were
confusing in this regard. In light of the
scope of the listed source category and
the confusion that resulted from some of
the definitions in the proposed rule, we
have revised the definitions of ‘‘paints
and allied products,’’ ‘‘paints and allied
products manufacturing,’’ and ‘‘paints
and allied products manufacturing
process’’ to exclude operations that add
and mix pigments to pre-manufactured
products and to clarify that only
facilities that manufacture paints and
allied products from raw materials, as
described under NAICS 325510, 325520,
325910 and selected sectors under
325998, are covered by this rule. The
revised definitions follow:
Paints and Allied Products
Manufacturing means the production of
paints, inks, adhesives, stains,
varnishes, shellacs, putties, sealers,
caulks, and other coatings from raw
materials, the intended use of which is
to leave a dried film of solid material on
a substrate. Typically, the
manufacturing processes that produce
these materials are described by
Standard Industry Classification (SIC)
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
codes 285 or 289 and North American
Industry Classification System (NAICS)
codes 3255 and 3259 and are produced
by physical means, such as blending
and mixing, as opposed to chemical
synthesis means, such as reactions and
distillation. Paints and allied products
manufacturing does not include:
(1) The manufacture of products that
do not leave a dried film of solid
material on the substrate, such as
thinners, paint removers, brush
cleaners, and mold release agents;
(2) The manufacture of electroplated
and electroless metal films;
(3) The manufacture of raw materials,
such as resins, pigments, and solvents
used in the production of paints and
coatings; and
(4) Activities by end users of paints or
allied products to ready those materials
for application.
Paints and Allied Products
Manufacturing Process means all the
equipment which collectively functions
to produce paints and allied products
from raw materials A process may
consist of one or more unit operations.
For the purposes of this subpart, the
manufacturing process includes any, all,
or a combination of, weighing, blending,
mixing, grinding, tinting, dilution, or
other formulation. Cleaning operations,
material storage and transfer, and piping
are considered part of the
manufacturing process. It does not cover
activities by end users of paints or allied
products to ready those materials for
application. Quality assurance and
quality control laboratories are not
considered part of a paints and allied
products manufacturing process.
In terms of the breadth of the rule’s
applicability, some manufacturing
facilities may have co-located or
affiliated operations which meet the
definition of paints and allied products
manufacturing, and to which this rule
does apply.
2. Applicability Based on HAP Used/
Emitted
Comment: Commenters note that the
proposed rule would apply to paint and
allied products manufacturing area
sources that process, use, or generate
one or more of the six target HAP:
benzene, methylene chloride, cadmium
compounds, chromium compounds,
lead compounds, and nickel
compounds. Commenters also note that
these HAP are referred to as the ‘‘target
HAP’’ for this regulation. Commenters
further state that, under the proposed
rule, once a facility is determined to be
subject to the rule, the emission
limitations and management practices
then would apply to all processes at all
times, regardless of whether any target
PO 00000
Frm 00007
Fmt 4701
Sfmt 4700
63509
HAP (or any HAP) was being processed,
used, generated, or emitted.
Commenters request that EPA limit
applicability of the rule to those times
when a process vessel is actually
processing, using, generating, or
emitting one or more of the target HAP.
One commenter supports EPA’s
decision to apply the standard to all
HAP. The commenter notes that EPA
has the discretion under § 112(d) of the
Clean Air Act to issue standards for
areas sources ‘‘to reduce emissions of
hazardous air pollutants,’’ and EPA’s
discretion is not limited to only
regulating only the target HAP in the
area source program.
Several commenters request that EPA
limit the rulemaking’s applicability to
those operations at a facility that are
actually utilizing one of the target HAP.
The commenters believe that EPA
should revise the applicability language
to make it clear that the rule only
applies to processes with target HAP
emissions at an affected source, as
opposed to any operation at an affected
source, regardless of whether or not the
process involves one or more of the
target HAP. One of the commenters
notes that this approach is used in the
Area Source Standards for Paint
Stripping and Miscellaneous Surface
Coating Operations and the Area Source
Standards for Nine Metal Fabrication
and Finishing Source Categories.
Several of the commenters state that the
intent of the area source regulations was
to regulate the 30 Urban Air toxics, and
EPA is significantly increasing the
burden on industry, especially small
businesses, by expanding the rule
beyond the target HAP, without
commensurate environmental benefit.
One of the commenters requests that
only the presence of one or more of the
target metal HAP should trigger the
requirements for other metal HAP, and
that only the presence of benzene or
methylene chloride should trigger the
requirements for other volatile HAP
emissions.
Response: Like the proposed rule, the
final rule applies to any facility that
performs paints and allied products
manufacturing that is an area source of
HAP emissions and processes, uses, or
generates materials containing one or
more of the target HAP: Benzene,
methylene chloride, and compounds of
cadmium, chromium, lead, and nickel.
To develop the emissions standards in
today’s rule, we identified the emission
points that emit the target HAP and
determined GACT for those emission
sources. The proposed regulatory text
required that these GACT requirements
apply at all times, whether any of the
target HAP was or was not being used.
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63510
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
However, the preamble to the proposed
rule (74 FR 26147) stated that the
requirements of the rule would apply
when any operation is being performed
that processes, uses, or generates any
HAP. EPA intended to propose
regulatory text that required that the
rule’s requirements apply when any
operation is being performed that
processes, uses, or generates any of the
target HAP. The regulatory text in the
final rule has been revised accordingly
to state that the control requirements
only apply when the facility is
processing, using, or generating any of
the target HAP.
The commenters requested that the
GACT requirements only apply when
the target HAP are being processed,
used, or generated. They did not claim
that EPA lacks the authority under
§ 112(d) of the Clean Air Act to regulate
HAP other than the target HAP, but
rather based their arguments on claims
of potential burdens of expanding the
rule beyond the target HAP. However,
these commenters did not provide
specific information regarding the
potential additional burden to support
these assertions. We believe there may
be a minimal increase in the burden
associated with controlling emissions in
the instances when a non-target HAP is
being used (without a target HAP also
being present). Facilities that process,
use, or generate one or more of the target
HAP must have the required controls in
place, and these same controls will
control other metal and/or volatile HAP.
We did make changes in the final rule
to clarify our original intent that the
requirements apply only when a target
HAP is processed, used, or generated.
We also further refined this to specify
that the requirement to keep process
and storage vessels covered only applies
when the vessel contains target volatile
HAP.
Comment: Several commenters
suggested that EPA include an
applicability exemption for process
tanks under a prescribed size. The
commenters recommend an exemption
for process tanks smaller than 250
gallons, both for consistency with the
Miscellaneous Coatings Manufacturing
Maximum Achievable Control
Technology (MACT) rulemaking and to
limit burden. One commenter stated
that it is more difficult to install
particulate controls on high dispersion
process tanks that are less than 250
gallons and install covers on process
tanks less than 250 gallons. In addition,
if the 250 gallon threshold is not
included, every ‘‘process tank’’ would
need to be covered, including very small
containers like 5 gallon containers and
55 gallons drums.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
Another commenter noted that EPA
has already determined in other Part 63
NESHAP regulations (such as the HON
in subpart G container definition at
§ 63.111) and the RCRA Hazardous
Waste Subpart CC regulations at 40 CFR
264/265.1080(b)(2) that containers of a
capacity less than or equal to 0.1 cubic
meters (m3) produce insignificant
emissions and thus are exempted from
the regulations. Additionally, the
commenter stated that the HAP
mandated to be regulated should be
specifically listed in order to avoid any
confusion.
Response: From the permit
information we obtained for the
rulemaking, we found that 8 out of 30
facilities are required to cover storage
tanks or process vessels that contain
VOC or organic solvents to prevent
vaporization of VOCs. In a separate
study, the Washington State Department
of Ecology found that the 18 facilities
that they visited or surveyed used lids
or covers on all vessels.5 The survey
also stated that the use of covers or lids
is considered to be a standard practice
by the paint manufacturing industry.
Industry representatives also provided
estimates that around 90–95 percent of
facilities use covers on their process and
storage tanks to prevent product loss;
these data do not provide any
information on tank size.
None of the information that we
found limited the use of lids or covers
to the size of the tank. Therefore, we
believe it is appropriate to require the
use of lids or covers on all process and
storage tanks that contain one or more
of the target HAP, regardless of the size
of the tank. The commenters did not
provide any information to explain why
covering a process tank of less than 250
gallons is burdensome. The commenters
also provided no information to support
adopting different requirements for
smaller process tanks, nor do they
provide any information explaining that
process tank covers for the smaller tanks
are not generally available control
technology. The volatile HAP to be
controlled are listed at § 63.11599(3).
3. Pollution Prevention Alternative
Exemption
Comment: The commenters stated
that a facility should be able to ‘‘opt
out’’ of this rule in the future if the
facility eliminates the processing, use,
production or generation of the target
HAP; otherwise, there is no incentive
for coatings manufacturers or their raw
5 Paint and Coatings Manufacturing Sector,
Pollution Prevention Assessment and Guidance,
Washington State Department of Ecology,
Hazardous Waste and Toxics Reduction Program,
Publication #98–410, Revised November 2002.
PO 00000
Frm 00008
Fmt 4701
Sfmt 4700
material suppliers to move away from
these HAP. Additionally, several
commenters stated that facilities that do
reformulate or cease producing a certain
product that subjected them to the
rulemaking in the first place will be
mandated to continue to operate costly
and energy-consuming control
equipment (e.g., particulate controls) for
no environmental benefit. The facility’s
continued recordkeeping and reporting
would be additional cost and burden.
One commenter believes that EPA’s
1995 ‘‘once in/always in’’ policy applies
to major sources subject to MACT
standards and would not apply to this
area source regulation. The commenter
requested that EPA officially confirm
that this policy does not apply to this
final rulemaking and/or facilities that no
longer use the target HAP after the date
of implementation have the ability to
opt-out of the rule.
Response: The comment concerning
the ‘‘once in/always in’’ policy is not
relevant to this rule. The regulated
entities subject to this rule include the
owner/operator of a facility that
performs paints and allied products
manufacturing is an area source of HAP
emissions and processes, uses, or
generates materials containing the
following target HAP: Benzene,
methylene chloride, and compounds of
cadmium, chromium, lead, or nickel. If
a facility that was covered under the
rule discontinues processing, using, or
generating the target HAP through
pollution prevention practices or
otherwise, then that facility is no longer
covered by the rule. However, should
the same facility reinstate processing,
using or generating the target HAP, it
would once again be subject to the
requirements of this rule, including
notification, recordkeeping, and
reporting. Additionally, terminating use
of the target HAP would require
submittal of a report pursuant to
§ 63.9(j) and also require maintenance of
the record as required by § 63.1(b)(3).
B. Compliance/Implementation Dates
Comment: Two commenters state that
§ 63.11603(a)(1) requires existing
sources to notify EPA within 60 days of
publication of the final rule, and for
new sources within 60 days of startup.
The commenters state that the
notification of Compliance Status found
in § 63.11603(a)(2) requires that all
sources report on their compliance
status within 120 days of their
respective compliance date. The
commenters recommended that the
deadlines be changed to 180 days in all
cases, to provide time for small sources
to comply and to be consistent with
other similar Federal rules.
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
Response: We agree with the
commenters that because most of the
affected facilities are small businesses,
and some might be complying with EPA
regulations for the first time, they
should be provided additional time to
comply with the requirements. Per the
General Provisions, we have pushed
back the initial notification date to 120
days from the date of publication of the
final rule. The compliance date is 180
days from the date of publication of the
final rule.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
C. De Minimis Thresholds and
Subcategorization
1. De Minimis Thresholds
Comment: Several commenters
suggest that EPA exempt small paints
and allied products manufacturing
facilities from the final regulation. The
commenters propose using a de minimis
level of 100 lbs/year of one or more of
the target HAP. The commenters claim
that sources with lower emissions levels
were not included in the 1990 baseline
emissions inventory. Another
commenter suggests a mass-based de
minimis level of 2.0 Megagrams (2.2
tons per year) for target HAP that are
processed, used, produced, or
generated. Alternatively, commenters
suggested subcategorization of the
source category into ‘‘small emission’’
and ‘‘large emission’’ facilities based on
a 100 lb/year HAP actual emission
threshold, and then exempting the small
emission subcategory from all
requirements.
The commenters claim that EPA has
provided de minimis exemptions in
previous area source rules, including
Clay Ceramics, Glass Manufacturing,
and the Benzene NESHAP for Waste
Operations. One commenter states that
precedence for a de minimis threshold
(beyond the Occupational Safety and
Health Administration (OSHA) de
minimis threshold) is established in
earlier NESHAP rulemakings, where
EPA determined that the use of coatings
containing urban air toxics below
certain thresholds do not negatively
impact human health and the
environment. Specifically, the
commenter notes that in the Clay
Manufacturing Area Source Rule, EPA
included an applicability de minimis
based on the argument that emissions
from facilities with annual production
of less than 50 tons/year were not
included in the 1990 baseline emissions
inventory that was used in the basis for
the area source category listing. The
commenter states that only those above
the 50 ton/year threshold were in the
basis for listing, so only those facilities
are covered by the rule. The commenter
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
believes the same is true for the paints
and allied products manufacturing rule.
Other commenters stated that state rules
for paints and allied products
manufacturing contain de minimis
thresholds that exclude lower volume
production facilities, waterborne
production facilities, and small process
tanks. The commenters state that since
EPA can look to state regulations as part
of the GACT analysis, EPA has the
authority to adopt a 100 lb/year
emission de minimis threshold. Several
commenters believe that without a de
minimis emission threshold, a facility
that relies on a supplier MSDS may find
itself out of compliance if, for example,
a supplier reports a new trace metal
constituent on the MSDS. The
commenters note that the metals of
concern are often contaminants in
purchased raw materials. The
commenters note that if the supplier’s
raw material source changes and the
supplier’s analysis begins to show
higher traces of a metal, a manufacturer
would be out of compliance upon
receiving this new MSDS, even though
no reportable emissions of the metal
have occurred.
Response: EPA does not believe it is
appropriate to establish a de minimis
threshold exempting sources emitting
less than 100 lb/year of the target HAP,
or sources processing, using, or
producing less than 2.0 Megagrams (2.2
tons per year) of the target HAP from the
final regulations. Section 112(c)(3)
requires that EPA list categories or
subcategories of area sources sufficient
to ensure that area sources representing
90 percent of the area source emissions
of the 30 HAP that present the greatest
threat to public health in the largest
number of urban areas are regulated.
EPA listed the Paints and Allied
Products Manufacturing area source
category in 2002 as one of the categories
needed to ensure that 90 percent of such
area source emissions are regulated. The
listed source category included sources
emitting less than 100 lbs/year of the
target HAP for the Paints and Allied
Products Manufacturing source
category. Therefore, were EPA to
exempt those sources from regulation,
the statutory requirement to regulate
area sources representing 90 percent of
area source emissions of the urban HAP
would not be met. For this reason, EPA
does not believe a de minimis
exemption would be appropriate. The
rules commenters cite where de
minimis thresholds were established
were issued under section 112(d)(2) for
major sources (i.e., MACT standards),
not for area sources under section
112(d)(5). Therefore, those major source
PO 00000
Frm 00009
Fmt 4701
Sfmt 4700
63511
categories were not part of the list of
source categories established to meet
EPA’s obligation under section
112(c)(3). Further, commenters’ claims
that EPA established de minimis
exemptions in several area source rules
are incorrect. In these rules, after
examining the record on which the
initial listing was based, EPA clarified
the scope of the listed source category.
Contrary to commenters’ assertion, EPA
did not create any exemptions in those
rules. For example, in the case of Clay
Ceramics, EPA stated:
‘‘With this action, we are also clarifying
that artisan potters, small ceramics studios,
noncommercial entities, and schools and
universities with ceramic arts programs,
which typically have annual production rates
of 45 Mg/yr (50 tpy) or less, are not a part
of the source category listed pursuant to
section 112(c)(3) and (k)(3)(B), and are,
therefore, not covered by this area source
standard. Urban HAP emissions from these
facilities were not included in the 1990
baseline emissions inventory that was used
as the basis for the area source category
listing.’’
EPA set standards in each of the area
source rules cited above for all sources
that were part of the listed source
category to meet the statutory obligation
in section 112(d)(3) to regulate sources
representing 90 percent of area source
emissions of the urban HAP. EPA also
notes that the commenter’s reference to
state law requirements is irrelevant.
EPA is required to establish area source
standards pursuant to the requirements
of section 112(d), and cannot create
exemptions to those standards based on
state law requirements.
Finally, commenters are concerned
that without a de minimis emission
threshold, a facility that relies on a
MSDS may find itself out of compliance
if a raw material source changes and the
supplier’s analysis begins to show
higher traces of a metal, and those
higher levels are not reflected on the
MSDS. The CAA section 112(k)
inventory was primarily based on the
1990 Toxics Release Inventory (TRI),
and that is the case for the paints and
allied products manufacturing area
source category as well. The reporting
requirements for the TRI do not require
reporting of de minimis concentrations
of toxic chemicals in mixtures, as
reflected in the above concentration
levels; therefore, the CAA section 112(k)
inventory would not have included
emissions from operations involving
chemicals below these concentration
levels. See 40 CFR 372.38, Toxic
Chemical Release Reporting:
Community Right-To-Know (Reporting
Requirements). Accordingly, the scope
of the listed source category is limited
E:\FR\FM\03DER2.SGM
03DER2
63512
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
WReier-Aviles on DSKGBLS3C1PROD with RULES2
to facilities using materials containing
one or more of the target HAP in
quantities greater than 0.1 percent.
In addition, EPA believes the
regulations as proposed adequately
address the commenters’ concern
regarding reliance on the MSDS. For
facilities that rely on a supplier MSDS,
the manufacturer would only be out of
compliance if the materials containing
one or more of the target HAP greater
than 0.1 percent are used in the process,
without the required controls in place.
Therefore, a manufacturer would be
required to submit the appropriate
forms if the manufacturer intends to use
the material containing HAP greater
than 0.1 percent by weight in the
manufacturing process. Commenters
provide no evidence to indicate that
MSDS from suppliers will be inaccurate
and will result in noncompliance with
the regulation.
2. Subcategorization
Comment: One commenter states that
the legal basis for EPA’s
subcategorization of the Paints and
Allied Products Manufacturing area
source category into large and small
facilities is well established. The
commenter asserts that section 112(d)(1)
of the Clean Air Act provides that EPA
‘‘may distinguish among classes, types,
and sizes within a source category or
subcategory in establishing such
standards.’’ 42 U.S.C. 7412(d)(1). The
commenter also notes that the Clean Air
Act supports an EPA determination that
work practice standards and general
management practices constitute GACT
for small Paints and Allied Products
Manufacturing sources.
According to the commenter, a review
of the commenter’s internal data show
significant differences between larger
and smaller facilities based on
production levels, matching EPA
estimates that the metal HAP emissions
for a typical ‘‘small emission’’ area
source facility are only about 10 percent
of the level of emissions for a typical
‘‘large emission’’ area source facility.
The commenter states that in the area
source rule for Chemical Manufacturing,
EPA evaluated impacts for two
groupings or subcategories for metal
HAP and considered a threshold
because of an observed difference in
operation depending on the emission
rate. The commenter further notes that
EPA realized that there was a difference
between facilities with higher HAP
emissions that manufactured products
containing HAP as an intended part of
the product, and a majority of facilities
with low emissions where the HAP
originated from impurities in raw
materials. The commenter believes there
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
is a similar observed difference in
operations depending on the emission
rate for the paints and allied products
manufacturing industry as well. The
commenter states that facilities with
actual emissions of paints and allied
products manufacturing metal HAP
(cadmium, chromium, nickel and lead)
above 100 lb/yr produce products that
contain the HAP as an intended part of
the product. The commenter also asserts
that EPA has the discretion to create
subcategories of area sources, and that
EPA should do so in the paints and
allied products manufacturing rule
based on cost considerations, as well as
differing industry practices and
processes.
The commenter claims that two of the
management practices EPA proposed to
identify as GACT are used frequently:
(1) Sweeping/cleaning, and (2)
purchasing only materials that are free
(to the greatest extent possible) of HAP
metals. Of the particulate matter (PM)
control technologies EPA proposed as
GACT, the commenter claims that large
paints and allied products
manufacturing facilities frequently use
baghouses to reduce PM/HAP
emissions, while smaller (less than 100
lb/year emission) facilities most often
do not. The commenter also states that
the consideration of costs and economic
impacts is especially important for
determining GACT for small paints and
allied products manufacturing facilities
because, given their extremely low level
of HAP emissions, requiring additional
controls would result in only marginal
reductions in emissions at very high
costs for modest incremental
improvement in control.
Response: EPA does not believe that
subcategories in the Paints and Allied
Products Manufacturing area source
category are warranted. In particular,
EPA has no information demonstrating
that paints and allied products
manufacturing facilities that emit more
than 100 lbs/year of HAP are of a
different class, type, or size than similar
facilities with lower emissions. In
contrast, in the Chemical Manufacturing
Area Source rule, EPA had information
to support a conclusion that facilities
above a certain total resource
effectiveness value had different
continuous process vents than facilities
below that TRE value. See 73 FR 58352,
58364–65 (Oct. 6, 2008). We do not have
any such information for the Paints and
Allied Products Manufacturing source
category. Absent such a demonstration,
the Agency has no basis to support
subcategorizing facilities with higher
emissions from those with lower
emissions. Further, while the
commenters assert that larger facilities
PO 00000
Frm 00010
Fmt 4701
Sfmt 4700
use baghouses while smaller ones do
not, the commenter provided no data or
information to support this assertion,
and EPA has no data or information to
substantiate this claim.
D. Emission Standards and
Management Practices
1. Generally Available Control
Technology
Comment: One commenter stated that,
as described in § 112(k)(1), the purpose
of the area source program is to
‘‘achieve a substantial reduction in
emissions of hazardous air pollutants
from area sources and an equivalent
reduction in the public health risks
associated with such sources * * *.’’ 42
U.S.C. 7412(k)(1). For area sources, EPA
may set either MACT standards, or
alternative standards (sometimes
referred to as ‘‘GACT’’ standards) that
‘‘provide for the use of generally
available control technologies or
management practices * * * to reduce
emissions of hazardous air pollutants.’’
42 U.S.C. 7412(d)(5).
The commenter stated that EPA
provides no explanation for its decision
to issue GACT standards instead of
MACT standards for the Paints and
Allied Products Manufacturing area
source category.
Response: As the commenter
recognizes, in CAA section 112(d)(5),
Congress gave EPA explicit authority to
issue alternative emission standards for
area sources. Specifically, CAA section
112(d)(5), which is entitled ‘‘Alternative
standard for area sources,’’ provides:
With respect only to categories and
subcategories of area sources listed pursuant
to subsection (c) of this section, the
Administrator may, in lieu of the authorities
provided in paragraph (2) and subsection (f)
of this section, elect to promulgate standards
or requirements applicable to sources in such
categories or subcategories which provide for
the use of generally available control
technologies or management practices by
such sources to reduce emissions of
hazardous air pollutants.
See CAA section 112(d)(5) (Emphasis
added).
There are two critical aspects to CAA
section 112(d)(5). First, CAA section
112(d)(5) applies only to those
categories and subcategories of area
sources listed pursuant to CAA section
112(c). The commenter does not dispute
that EPA listed the area source category
noted above pursuant to CAA section
112(c)(3). Second, CAA section
112(d)(5) provides that, for area sources
listed pursuant to CAA section 112(c),
EPA ‘‘may, in lieu of’’ the authorities
provided in CAA section 112(d)(2) and
112(f), elect to promulgate standards
pursuant to CAA section 112(d)(5). CAA
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Section 112(d)(2) provides that emission
standards established under that
provision ‘‘require the maximum degree
of reduction in emissions’’ of HAP (also
known as MACT). CAA section
112(d)(3), in turn, defines what
constitutes the ‘‘maximum degree of
reduction in emissions’’ for new and
existing sources. See CAA section
112(d)(3).6 Webster’s dictionary defines
the phrase ‘‘in lieu of’’ to mean ‘‘in the
place of’’ or ‘‘instead of.’’ See Webster’s
II New Riverside University (1994).
Thus, CAA section 112(d)(5) authorizes
EPA to promulgate standards under
CAA section 112(d)(5) that provide for
the use of GACT, instead of issuing
MACT standards pursuant to CAA
section 112(d)(2) and (d)(3). The statute
does not set any condition precedent for
issuing standards under CAA section
112(d)(5) other than that the area source
category or subcategory at issue must be
one that EPA listed pursuant to CAA
section 112(c), which is the case here.7
We disagree with the commenter’s
assertion that we must provide a
rationale for issuing GACT standards
under section 112(d)(5), instead of
MACT standards. Had Congress
intended that EPA first conduct a MACT
analysis for each area source category,
Congress would have stated so expressly
in section 112(d)(5). Congress did not
require EPA to conduct any MACT
analysis, floor analysis or beyond-thefloor analysis before the Agency could
issue a section 112(d)(5) standard.
Rather, Congress authorized EPA to
issue GACT standards for area source
categories listed under section 112(c)(3),
and that is precisely what EPA has done
in this rulemaking.
Although EPA need not justify its
exercise of discretion in choosing to
issue a GACT standard for an area
source listed pursuant to section
6 Specifically, CAA section 112(d)(3) sets the
minimum degree of emission reduction that MACT
standards must achieve, which is known as the
MACT floor. For new sources, the degree of
emission reduction shall not be less stringent than
the emission control that is achieved in practice by
the best controlled similar source, and for existing
sources, the degree of emission reduction shall not
be less stringent than the average emission
limitation achieved by the best performing 12
percent of the existing sources for which the
Administrator has emissions information. CAA
Section 112(d)(2) directs EPA to consider whether
more stringent emission reductions (so called
beyond-the-floor limits) are technologically
achievable considering, among other things, the
cost of achieving the emission reduction.
7 CAA Section 112(d)(5) also references CAA
section 112(f). See CAA section 112(f)(5) (entitled
‘‘Area Sources’’ and providing that EPA is not
required to conduct a review or promulgate
standards under CAA section 112(f) for any area
source category or subcategory listed pursuant to
CAA section 112(c)(3), and for which an emission
standard is issued pursuant to CAA section
112(d)(5)).
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
63513
112(c)(3), EPA still must have a
reasoned basis for the GACT
determination for the particular area
source category. The legislative history
supporting section 112(d)(5) provides
that GACT is to encompass:
determination, where costs cannot be
considered, could result in only
marginal reductions in emissions at very
high costs for modest incremental
improvement in control for the area
source category.
‘‘* * * methods, practices and techniques
which are commercially available and
appropriate for application by the sources in
the category considering economic impacts
and the technical capabilities of the firms to
operate and maintain the emissions control
systems.’’
2. Metal HAP Standards
Comment: One commenter states that
although particulate control devices are
generally available, EPA has not
adequately supported its proposal to set
an opacity standard rather than a
particulate matter standard. The
commenter notes that EPA
acknowledged that most of the State
operating permits for facilities in this
category impose a ‘‘concentration or
mass emission particulate limit that
requires testing using an appropriate
particulate test method, in most cases
EPA Method 5.’’ The commenter says
that EPA rejected this widespread
approach of a concentration or mass
emission limit, instead adopting opacity
as a surrogate for assessing mass
emissions. The commenter states that
EPA failed to demonstrate that the use
of opacity as a surrogate is sufficient to
achieve the levels of reduction that are
already imposed by the State operating
permits that rely on particulate testing.
The commenter says that EPA’s reliance
on a 1991 study of benefits of opacity
monitors applied to Portland Cement
Kilns was unpersuasive. The commenter
also notes that in the recently proposed
NESHAP for the Portland Cement
Manufacturing Industry, EPA rejected
the use of an opacity standard, stating
that ‘‘we do not believe that opacity is
an accurate indicator of compliance
with the proposed PM emissions limit.’’
Another commenter notes that there is
no definition of capture or control
efficiency in the proposed rule. The
commenter recommends that EPA
consider implementing capture and
control system efficiencies parallel to
those in the NESHAP for Nine Metal
Fabrication and Finishing Sources (40
CFR part 63, subpart XXXXXX). In this
rule, the commenter states that the term
‘‘adequate emissions capture methods’’
is defined in § 63.11522 to include
‘‘* * * drawing greater than 85 percent
of the airborne dust generated from the
process into the control device.’’ The
commenter continues by saying that the
Metal Fabrication and Finishing
NESHAP requires spray paint booths to
be fitted with PM filter technology that
is ‘‘* * * demonstrated to achieve at
least 98 percent capture. * * *’’
Response: As the commenter pointed
out, particulate control devices were
determined to be GACT for the control
of the particulate HAP emissions. Based
on the existing operating permit
The discussion in the Senate report
clearly provides that EPA may consider
costs in determining what constitutes
GACT for the area source category.
Congress plainly recognized that area
sources differ from major sources,
which is why Congress allowed EPA to
consider costs in setting GACT
standards for area sources under section
112(d)(5), but did not allow that
consideration in setting MACT floors for
major sources pursuant to section
112(d)(3). This important dichotomy
between section 112(d)(3) and section
112(d)(5) provides further evidence that
Congress sought to do precisely what
the title of section 112(d)(5) states, i.e.,
provide EPA the authority to issue
‘‘alternative standards for area sources.’’
Notwithstanding the commenter’s
claim, EPA properly issued standards
for the area source categories at issue
here under section 112(d)(5), and in
doing so provided a reasoned basis for
its selection of GACT for these area
source categories. As explained in the
proposed rule, EPA evaluated the
control technologies and management
practices that reduce HAP emissions at
paints and allied products
manufacturing facilities, including those
at both major and area sources. In its
evaluation, EPA used information on
pollution prevention from industry
trade associations, and reviewed
operating permits to identify the
emission controls and management
practices that are currently used to
control volatile and particulate HAP
emissions. We also considered
technologies and practices at major and
area sources in similar categories.
Finally, even though not required,
EPA did provide a rationale for why it
set a GACT standard in the proposed
rule. In the proposal, we explained that
the facilities in the source categories at
issue here are already well controlled
for the urban HAP for which the source
category was listed pursuant to section
112(c)(3). Consideration of costs and
economic impacts proves especially
important for the well-controlled area
sources at issue in this final action.
Given the current, well-controlled
emission levels, a MACT floor
PO 00000
Frm 00011
Fmt 4701
Sfmt 4700
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63514
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
requirements for paints and allied
products manufacturing, we found a
variety of formats and units, e.g.,
percent opacity, allowable PM or PM10
emission rates (pounds per hour or tons
per year), and outlet concentrations
(grains per dry standard cubic foot
(gr/dscf)). We evaluated GACT for these
format options and determined that an
opacity limit was the most appropriate
selection. As discussed below, there are
cost and technical issues associated
with demonstrating compliance with a
PM numerical emission limit or a
percent reduction standard, such that
they do not constitute GACT for this
source category.
As was stated in the proposal, we had
concerns with the economic impact of
particulate matter testing on the affected
facilities, many being small businesses.
A typical EPA Method 5 PM emissions
test used for an emission limit or a
percent reduction standard would cost
between $3,000 and $10,000, while the
cost of performing a Method 203C test
is approximately $2,000, assuming an
off-site contractor conducts the test.8 In
addition, the manufacture of paints and
allied products is a batch process. The
addition of pigments and solids, when
the particulate control device would
need to operated, can be completed in
minutes, whereas the typical Method 5
test is run for sixty minutes. This
presents technical issues with stopping
and starting the Method 5 test method
in order to capture a representative
sample of the particulate emissions from
the particulate control device during the
addition of pigments and solids. Based
on these cost and technical issues, we
determined that an opacity standard
would minimize the economic burden
on the facilities covered by this rule
while still ensuring that the particulate
control device is well-designed and
operated.
EPA’s statements in the May 6, 2009
proposed amendments for the Portland
Cement NESHAP (74 FR 211360) are not
relevant here. Our statements in that
proposal were in relation to the use of
an alternative opacity standard to
demonstrate compliance with a numeric
PM limit. In contrast, in the Paints and
Allied Products Manufacturing area
source NESHAP the opacity limit is not
used to demonstrate compliance with a
numeric PM limit. The opacity limit
established in this rule is a standard and
not a surrogate for particulate matter.
The statements in the Portland Cement
proposal did not question the use of an
8 Revision of Source Category List for Standards
Under Section 112(k) of the Clean Air Act; and
National Emission Standards for Hazardous Air
Pollutants for Area Sources: Ferroalloys Production
Facilities, September 15, 2008.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
opacity limit for the specific purpose for
which EPA is adopting such a limit in
today’s action. Therefore, we believe our
decision to establish GACT as the
requirement to capture and route PM
emissions to a control device that
achieves a specified opacity is
warranted. This format is retained in the
final rule.
In summary, we believe the
requirement to capture and route PM
emissions to a control device that
achieves a specified opacity limit is
GACT. This technology is generally
available, and opacity is a reasonable
and effective means of ensuring that the
control device is functioning correctly
and achieving emission reductions.
Comment: EPA proposed that new
and affected sources must capture
particulate emissions and route them to
a particulate control device during the
addition of pigments and other solids
and during the grinding and milling of
solids. Two commenters agree with EPA
that, after the addition processes, the
pigments and associated metal HAP are
in solution and emissions are minimal.
Two commenters question whether
particulate controls are needed during
the grinding and milling stage, which
occurs after the addition process when
the pigments are in solution. One of the
commenters notes that often grinding
and milling equipment is fully enclosed,
and there are typically no HAP
emissions from the process. Two
commenters suggest that particulate
controls only be required when
pigments and solids are added to the
high speed dispersion tanks.
Response: There are a number of
different milling and grinding methods
and equipment that are used in the
paints and allied products
manufacturing industry. As the
commenters note, many grinding and
milling processes are fully enclosed and
typically do not emit HAP from this
process. In addition, there are minimal
HAP emissions from the grinding and
milling processes that occur when the
pigments are in solution. Therefore, the
final rule has been revised to provide
three additional compliance options
other than the use of a particulate
control device. A particulate control
device must be used during the addition
of dry pigments or other dry materials
that contain HAP to the grinding and
milling equipment. However, the use of
pigments or materials that contain HAP
in paste, slurry, or liquid form instead
of in dry form is an alternative means
of compliance for this area source rule.
In addition, fully enclosing the grinding
and milling equipment is a second
alternative means of compliance, in lieu
of using a particulate control device. In
PO 00000
Frm 00012
Fmt 4701
Sfmt 4700
addition, the requirements of the rule
are satisfied if the pigments and solids
that contain HAP in the grinding and
milling equipment are in solution.
These revisions do not change the intent
of the rule, which is to reduce HAP
emissions; in the case of each of these
revisions, minimal HAP are emitted. In
other words, we are not requiring use of
a particulate control device during
periods when alternative compliance
methods will ensure that particulate
emissions will be controlled. Each of
these compliance alternatives will
achieve at least as much reduction of
emissions of the target HAP as will use
of a particulate control device.
Therefore, we believe that these
revisions address the commenters’
concerns because use of a particulate
control device is not required if a
facility does not have any metal HAP
emissions, whether it is because the
metal HAP is in paste, liquid, or slurry
form during grinding and milling or
because a facility is not venting
emissions to the atmosphere.
We agree with the commenter that
particulate controls should be used
during the addition of solid materials
that contain HAP to high speed
dispersion.
Comment: Several commenters object
to the 5 percent opacity limit. One of the
commenters states that most paint
facilities with particulate controls do
not have opacity limits, and for those
facilities that do, the existing limits are
not as stringent as the proposed 5
percent opacity limit. Based on the
operating permit information in the
docket, the commenter believes that
EPA’s proposal of 5 percent is arbitrary
and indicated that based on real-world
experiences; they stated that 30 percent
opacity is more realistic. Two of the
commenters note that only three of the
44 facilities evaluated for this
rulemaking had a 5 percent opacity
requirement. The commenters indicate
that the remaining facilities have
opacity requirements of 20 percent or
greater. Given these facts, the two
commenters believe that an opacity
standard of 20 percent would be more
in line with what is intended by GACT.
One commenter reviewed the 44
operating permits in the docket for this
rulemaking and found that only 3 had
a 5 percent opacity limit; 11 had a 20
percent limit, 2 had 30 percent limit, 13
had 40 percent limit, and 2 had an
observed or no opacity limit. The
commenter states that since this rule is
governed by GACT, EPA is obligated to
determine the control and work
practices that are most commonly used
or that are most prevalent. The
commenter maintains that EPA has not
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
appropriately set the standard, and that
GACT would be an opacity level of 30
percent. In addition, the commenter
states that as most of the affected
sources under this rulemaking are small
businesses, EPA should not maintain an
opacity emissions limit requirement in
the final rulemaking. However, the
commenter says that if EPA does decide
to codify an opacity emissions level, it
be no less than 30 percent.
Response: The commenter’s statement
that GACT must be based on the control
technologies or emission limitations of
the majority is incorrect. Rather, GACT
reflects what is generally available, and
a control technology may be generally
available even if a majority of sources
are not currently using it. However, in
the case of paints and allied products
manufacturing, we found that the use of
particulate control devices is a common
practice; the permits we obtained
indicated that 79 percent of the facilities
were currently equipped with a
particulate control device.
We disagree with the commenter’s
interpretation of the opacity limitations
in the permit data. The majority of
opacity limitations in the permits are
general opacity limits that are intended
to limit the amount of fugitive emissions
that are emitted to the atmosphere from
an industrial facility. These fugitive
emissions include road dust, storage
pile and other non-process emissions
from an industrial facility. We believe
that many of these opacity limits in the
permits are not intended to limit the
emissions from a particulate control
device. To determine an appropriate
opacity limit for this rule, we reviewed
documents related to opacity and
particulate control devices. Based on
this review, we concluded that the
opacity from a properly operated
particulate control device would be zero
or near zero. Therefore, we proposed a
5 percent opacity standard for the
particulate control device.
We selected an opacity standard
because opacity provides an indication
of the concentration of particulates
leaving an exhaust stack. The more
particulate matter that is passed through
the exhaust, the more light will be
blocked, and, as a result, a higher
opacity percentage is observed. The
documents that we reviewed
determined that in many cases a
properly maintained particulate control
device could achieve zero or near zero
opacity. However, many of these
measurements were determined using a
continuous opacity monitor system
(COMS). For this rule, we believe all of
the facilities will measure opacity using
a trained observer, who assigns opacity
readings in 5 percent increments. The
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
trained observer is certified to
determine the opacity with a positive
error of less than 7.5 percent opacity,
and to observe 95 percent of the
readings with a positive error of less
than 5 percent opacity. To take into
account this observer error, we have
revised the final opacity limit to be less
than 10 percent opacity when averaged
over a six minute period.
3. Volatile HAP Standards
Comment: Three commenters state
that operators need to open nearly every
process or storage tank at some time for
quality control testing, adding of
materials or removal of product.
Therefore, consistent with the
Miscellaneous Coatings Manufacturing
MACT (MCM), one commenter requests
that EPA revise the regulation such that
operators are allowed to open any
vessel, be it mixing, process, or storage,
for quality control testing and sampling
of the product, addition of materials, or
removal of product from the vessel. One
commenter notes that the proposed rule
requires that process and storage vessels
must be kept covered when not in use.
The commenter notes that EPA
provided an exception during the
manufacturing process to allow for
quality control or during the addition of
pigments. The commenter recommends
that a similar exception be provided to
gain access to process and storage
vessels for emptying, cleaning, and
maintenance. One commenter states that
some of their vessels are cleaned
manually, and therefore covers cannot
be maintained over the vessel at all
times. The commenters subsequently
believe that an exemption needs to be
added to the final rule for inspection
and/or cleaning of the process vessels.
Response: In the proposed rule, we
recognized certain situations during
which process and storage vessels need
to be opened. In establishing the GACT
for this area source, we did not include
other necessary actions. As such, we
have amended the final rule so that
operators may open any vessel
necessary for quality control testing and
product sampling, addition of materials,
or product removal. We did not include
maintenance, because we believe that
maintenance of the process vessel
should be performed when the process
vessel is empty. We have also revised
the regulations to only require lids or
covers on process or storage vessels that
contain benzene or methylene chloride.
Process or storage vessels that do not
contain benzene or methylene chloride,
and process or storage vessels that are
empty, are not required to have covers
or lids.
PO 00000
Frm 00013
Fmt 4701
Sfmt 4700
63515
Comment: Numerous commenters
believe the proposed vessel cover
requirements are nearly impossible to
institute both from a compliance and
enforcement standpoint. Many of the
commenters believe that it is nearly
impossible to confirm that a lid or cover
touches at least 90 percent of the vessel
rim at any given time. Further, states a
commenter, if a cover is constructed
from a flexible material, it will most
likely move around during the
manufacturing process. The commenter
continues that solid lids may ‘‘move
around,’’ and/or warp over time. The
commenter notes that only one of the
State permits in the docket had this
requirement and that this should not be
considered GACT. Another commenter
believes that the plywood covers/lids
that EPA used to estimate costs for this
rule would probably not meet this
standard, as plywood may warp over
time. Therefore, the commenters suggest
that this requirement be deleted.
Response: The 90 percent cover
requirement is intended to ensure that
the lid or cover properly fits on the
process vessel that contains the target
HAP. The 90 percent cover requirement
can be calculated by subtracting the
length of any visible gaps from the
circumference of the process vessel, and
dividing this number by the
circumference of the process vessel. We
believe this requirement also addresses
the issue of warping of the cover over
time, because if the cover warps or
moves around so that the vessel is not
meeting the 90 percent coverage
requirement, then the cover should be
replaced in order to effectively control
the HAP emissions. We understand that
the cover may move around during the
manufacturing process; however we
believe the 90 percent cover
requirement provides the best guidance
for covering a process vessel that
contains HAP. It ensures that HAP
emissions are controlled, but provides
some flexibility (i.e., as much as ten
percent of the circumference of the lid
need not be in contact with the cover)
to accommodate movement of the
covers that may occur during the
manufacturing process.
Further, the 90 percent cover
requirement is consistent with the
standard procedures EPA has observed
at existing paints and allied product
manufacturing facilities. Some facilities
are subject to similar 90 percent cover
requirements under state or local
regulations (for example, San Diego
County). Based on our data, nearly all
paints and allied product manufacturing
facilities use lids on process vessels to
prevent loss of product; this makes good
business sense. Lid options include
E:\FR\FM\03DER2.SGM
03DER2
63516
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
tight-fitting stainless steel lids,
elasticized plastic ‘‘shower caps,’’ and
plywood covers. The 90 percent cover
requirement is designed to remove any
uncertainty about whether a vessel is
adequately covered, for both the facility
manager and the enforcement
personnel. Therefore, the 90 percent
cover requirement is included in the
final rule.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
E. Testing, Monitoring, and Inspection
Requirements
1. Visual Emissions Requirement
Comment: Several commenters state
that EPA Method 9 is burdensome. One
commenter suggests that EPA allow for
an alternative or modification to Method
9 that has been widely implemented
across the country. Two commenters
state that the area source NESHAP
requirements for the Nine Metal
Fabrication and Finishing Sources allow
facilities to utilize EPA Method 22 in
lieu of EPA Method 9 if no visible
emissions are observed. One commenter
believes that it is highly unlikely there
would be visible emissions from a
facility that uses a particulate control
device, and requiring EPA Method 22
for periodic monitoring should be more
than adequate for this source category.
One commenter states that other
methods use observation and reporting
techniques very similar to Method 9,
except that an uncertified observer
would be permitted to make an initial
determination of any visible emission.
The commenter continues, stating that if
a visible emission is identified, then
corrective measures must be taken. The
commenter notes that if more than a
trace of visible emissions persists after
maintenance has been completed, the
facility must either determine whether
the emission limit is being exceeded
using a certified observer, or shut down
the process. The commenter says that
this approach is currently being used by
their facility and suggests that EPA
include this method in the final
rulemaking. One commenter believes
that a simple evaluation of visible
emissions coupled with the pressure
drop monitoring is adequate to monitor
the ongoing proper operation of the addon dry PM control device. Another
commenter suggests that EPA provide
an alternative to the formal Method 9
observation by allowing the owner/
operator to conduct a general visible
emission observation once per calendar
quarter. The commenter says that if the
owner/operator does observe any visible
emissions during the quarterly
observations, then the owner/operator
should be allowed to address the
situation causing the visible emissions.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
The commenter requests that if the
problem persists for more than 24 hours,
then the owner/operator should treat the
observation as a deviation, or they can
have the option to conduct a formal
opacity test using a trained Method 9
observer.
Response: We appreciate the basic
concerns of the commenters with regard
to Method 9, although we have not
elected to incorporate the specific
suggestions made. In the final rule, we
have changed the requirement, which
now reads that an initial Method 203C
test must be conducted to demonstrate
compliance with a 10 percent opacity
limit. Upon re-evaluation of the data
and actual facility conditions, we
determined that Method 203C better
characterizes the emissions from the
paints and allied product manufacturing
operations. The time in which the
emissions are present are significantly
shorter than the thirty-minute visual
inspection of Method 9. Method 203C is
similar to Method 9 in training;
however, Method 203C specifically
allows for these short time limits with
a one-minute average.
We have also removed the
requirement to conduct additional
Method 9 tests every six months. In
place of these semi-annual Method 9
tests, the final rule requires that a
Method 22 visible emissions
observation be conducted once per
quarter. If this observation detects
visible emissions for six minutes of the
required 15 minute observation period,
then a Method 203C test is required
within one week. If the Method 203C
test then detects an opacity greater than
10 percent, the corrective action and
retesting within 15 days requirement
that was in the proposed rule would
apply. This information must also be
included in the annual report. We
believe that Method 22 provides a
comparable approach to ensure that any
emission control equipment is operating
properly and HAP emissions are
reduced. Method 22 is used to ensure
the process and any emission control
equipment is operating properly and is
not generating excess emissions.
Method 22 is comparable to Method
203C because both methods use the
human eye to determine if visible
emissions are observed from an
industrial activity. Therefore, we believe
that this approach reduces the burden of
the semi-annual Method 9 testing that
the commenters were concerned about,
while also ensuring that the control
devices are operating properly.
Comment: Three commenters have
suggestions related to the proposed
inspection requirements. One of the
commenters agrees that wet and dry PM
PO 00000
Frm 00014
Fmt 4701
Sfmt 4700
control systems require initial and
ongoing system integrity inspections as
well as integrity inspections after each
incidence of maintenance or repair. The
commenter believes that these
inspections are necessary to assure the
successful ongoing capture and control
of the PM emissions from paint
manufacturing. However, the
commenter states that the exact
frequency, extent, and nature of these
inspections should be defined by the
coatings manufacturer in a written plan
with which they should comply; the
elements of the plan should be clearly
established in the rule. The commenter
recommends that the hood and flexible
ductwork portion of the system be
subject to informal inspections each
week of use while the rigid portion of
the ductwork be subject to annual
inspections, or to inspection after any
maintenance or repair work is
performed on the duct system. The
commenter recommends that initial
corrective action should be immediately
undertaken to mitigate any problems
when system integrity is compromised
and the identified problem fully
corrected and documented within 15
days of first discovery. Two commenters
believe that a weekly inspection of the
particulate control device is not
practical. A commenter states that
because ductwork leaks under a vacuum
cannot be visually detected, weekly
visual leak inspections of dry
particulate control device ductwork
should not be required. In addition, the
commenter notes that EPA has
historically exempted the inspection of
ductwork as excessive. The commenter
states that several MACT rules require
only annual inspection of ductwork.
One commenter believes that the
requirement should be replaced with a
standard condition for proper operation
and maintenance in accordance with the
manufacturer’s recommendations.
For dry PM control devices, one
commenter recommends that the
pressure drop across the system be
monitored continuously using some
type of manometer or pressure drop
gauge to verify that the pressure drop is
maintained within the range
recommended by the manufacturer of
the control device, which includes
considerations based on the filter media
employed, the method of filter media
cleaning employed (if any), and the
loading of the effluent stream being
controlled. The commenter believes that
wet PM control systems should be
inspected on a frequency recommended
by the control system manufacturer, and
the frequency as well as the parameters
to be monitored should be clearly
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
defined in a written management plan
developed and implemented by the
coatings manufacturer employing the
system. The commenter says that this
graduated type of approach to
inspection frequency and the
management plan requirement to define
the details of the inspection parameters
as proposed in the preceding paragraphs
has been used in the area source
NESHAP for Nine Metal Fabrication and
Finishing Sources. The commenter
states that this approach would provide
a viable means to both assure ongoing
compliance while minimizing the
burden of compliance on the source.
Response: We believe that it is
important that regular inspections be
conducted to ensure that the integrity of
both the capture system and the control
device is maintained, and we agree with
the commenters in regard to the
inspections of the rigid ductwork.
Therefore, we have clarified in the final
rule that the rigid, stationary portions of
the ductwork only need to be inspected
annually. Because the particulate
control system operates infrequently, we
believe annual inspections of the rigid,
stationary ductwork is sufficient to
ensure the integrity of the particulate
control system. However, we do believe
that inspection of flexible ductwork
needs to be conducted more frequently.
Therefore, we retained the weekly
inspection requirement for hoods and
flexible ductwork in the final rule. We
do not agree with the one commenter
who states that the best approach is to
establish the inspection frequency in
site-specific plans. Site-specific plans
create additional reporting burdens for
small businesses. In addition, sitespecific plans may not provide the
periodic inspections that are needed to
ensure that the particulate control
device is operating properly. Therefore,
we believe that the revised inspections
will provide the insurance that the
particulate control device is operating
properly, while reducing the burden on
the facility.
We agree that continuous monitoring
of pressure drop can be used to ensure
that the control system is operating
properly; however, we also believe that
the combination of the system integrity
inspections and the visual emissions
monitoring (discussed below) are
sufficient for the source category and at
a lower cost than installing, calibrating,
and operating a continuous monitoring
system (CMS). Inspections and visible
emissions monitoring of the particulate
control device system provide data
indicative of a well-operated and
maintained control device. The
inspections will ensure there are no
leaks in the duct work, while the visible
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
emissions monitoring will ensure that
the particulate control device is
operating as intended, and that no
excess emissions are emitted. Many of
the paints and allied products
manufacturing facilities are small
businesses, and incorporating a
continuous monitoring system would
create an economic hardship on many of
these businesses. Therefore, we have not
incorporated the commenter’s
suggestion to require continuous
monitoring of pressure drop. We also
reviewed the graduated type of
inspections and monitoring outlined in
the NESHAP for Nine Metal Fabrication
and Finishing Sources and believe that
this type of inspection and monitoring
program is not appropriate for the paints
and allied products industry. Many of
the nine metal fabrication and finishing
facilities require continuous operation
of the particulate control device. In
contrast, the majority of paint and allied
products are produced in batches and
the operation of the particulate control
device is expected to be intermittent.
Therefore, we believe that the proposed
inspection and monitoring requirements
for the paints and allied products
manufacturing industry are appropriate.
While the proposed rule included
inspection requirements, it did not
contain any provisions regarding
required actions if problems were found
during an inspection. We agree that
such a requirement is needed to ensure
that corrective action will be taken
promptly. Therefore, we have
incorporated the commenter’s
suggestion to require that corrective
action be initiated as soon as practicable
to mitigate any problems when system
integrity is compromised and that the
identified problem be fully corrected
and documented within 15 days of first
discovery.
F. Reporting and Recordkeeping
Requirements
1. Compliance Certification
Comment: The commenters note that
there seems to be conflict between
Section 63.11603(b), which requires the
development and retention of
compliance certifications and the
development, retention, and submission
of deviation reports when deviations
from the requirements of the rule exist
or have existed. Section III.E of the
preamble requires that a responsible
official sign off that all the requirements
were met in the preceding month within
15 days of the end of each month. Two
commenters recommend that the
required records suffice in
demonstrating compliance. Another
commenter believes that the submission
PO 00000
Frm 00015
Fmt 4701
Sfmt 4700
63517
of a deviation report and annual
certification when deviations have
occurred during a calendar year will
assist regulated entities in maintaining
compliance and will assist the
regulatory agencies in compliance
oversight.
Response: We do not believe that a
conflict exists between the compliance
certification requirements and the
deviation reports. The compliance
certifications of section 63.11603(b) are
the baseline requirement to demonstrate
ongoing compliance with the standard.
However, if a deviation occurs during
the previous twelve month period, the
facility must prepare and submit a
deviation report, which details the
specific area(s) of noncompliance with
the standard and efforts undertaken to
return the source to compliance. These
are two separate requirements, and the
latter applies in the event of a deviation.
Submission of the deviation report is
necessary so that the regulatory agency
remains apprised of the ongoing
compliance status of the facility and can
focus their compliance assistance and
enforcement response efforts.
However, we believe that section
§ 63.11603(b)(2)(ii), which requires that
a statement in accordance with § 63.9(h)
of the General Provisions to be signed
by a responsible official, is sufficient to
ensure compliance with the regulations,
and that no additional requirement that
a responsible official must certify that
all requirements were met in a
particular month by the 15th day of the
following month is necessary.
Therefore, the final rule does not
include the latter certification
requirement.
These revisions mean that a
responsible official must annually
certify that all requirements have been
met. We believe that the annual
certification by the responsible official
is sufficient to ensure that the facility
has complied with all of the
requirements throughout the year, and
that the additional burden of monthly
certification is not warranted. In
addition, we agree with the commenter
that the submission of an Annual
Compliance Certification and Deviation
Report from facilities where deviations
have occurred during the calendar year
will assist regulated entities in
maintaining compliance and will assist
the regulatory agencies in compliance
oversight.
Comment: The commenter notes that
some facilities have older particulate
control devices, which while still
effective, may not have manufacturer
information available. The commenter
states that sources should not be
prohibited from using these control
E:\FR\FM\03DER2.SGM
03DER2
63518
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
devices if they meet the emission
standards of this subpart, even though
they no longer have the original
paperwork for the device. The
commenter recommends that if the
original records are not available, the
source should follow best operating
practices for the devices.
Response: We recognize that some
facilities may not have, and may not be
able to obtain, the manufacturer’s
instructions, despite their best efforts.
Therefore, we agree with the commenter
and will remove the reference to the
manufacturer’s instructions in
§ 63.11602(a)(2)(iii) and also remove
§ 63.11603(c)(3).
WReier-Aviles on DSKGBLS3C1PROD with RULES2
G. Baseline Emissions and Emission
Reductions
1. Emissions Factors
Comment: Two commenters say that
EPA used old AP–42 emission factors
which they believe doubles the
calculated emissions in comparison to
the actual emissions. For example, one
of the commenters states that EPA used
an outdated AP–42 emission factor of
1.5 lbs VOC/100 lbs of product that was
developed based on solvent based
coatings from the 1950s. The commenter
states that these coatings are not
representative of today’s high solids and
waterborne coatings. The commenters
point out that Chapter 8 of EPA’s
Emission Inventory Improvement
Program (EIIP) states that the use of
source-specific emission models/
equations is the preferred technique for
estimating emissions from coatings
manufacturing mixing operations since
emission factors (AP–42) are not as
accurate as specific emission models or
equations. They said that since EPA is
unclear whether the facilities tested in
preparing this factor actually represent
a random sample of the industry, the
AP–42 factor for paint and varnish
manufacturing is assigned an emission
factor rating of C. One commenter asks
that EPA revise its estimates using
accurate models and data.
Response: The EIIP provides four
methods for estimating emissions from
paint, ink, and other coating
manufacturing operations: Emission
factors; source-specific models; massbalance calculations; and test data. In
order of preference, the commenter is
correct that source-specific emissions
models are preferred to using emission
factors. However, when the data
necessary to run the emissions models
are not available, the use of emission
factors is a reasonable way to estimate
emissions. The commenters imply that
all emission levels for this rulemaking
were estimated using AP–42 emission
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
factors. This is not the case. In fact, for
purposes of assessing impacts,
including cost-effectiveness, as
presented in the background
memoranda (EPA–HQ–OAR–2008–
0053–0070), the HAP emissions from
the Paints and Allied Products
Manufacturing category were calculated
using the 2002 National Emissions
Inventory (NEI) data. The NEI is a
national emissions inventory that is
built from the ‘‘ground up.’’ That is,
emission estimates generated by
individual plants and companies are
submitted to state and local agencies,
who then submit the data to EPA for
inclusion in the NEI. While the basis for
all the emission estimates in the NEI is
not provided, the facilities that submit
emissions data to their state and local
agencies generally use test data,
emission models, and mass-balance
calculations to create their estimates,
where such information is available.
The baseline HAP emissions from the
2002 NEI were 4,761 tons per year.
Emission factor data from AP–42 were
used to estimate VOC and PM emissions
from model plants to estimate the
capital and annual costs of control
equipment for each of the model plants.
The fraction of the AP–42 VOC and PM
emissions that are HAP were calculated
using the HAP/VOC mass fraction
obtained from the facilities that reported
both HAP and VOC emissions in the
2002 NEI database. Using the
assumptions from the Regulatory
Alternative Impacts memorandum
(EPA–HQ–OAR–2008–0053–0073)
regarding the number of facilities that
are currently controlled, the emission
factors from AP–42, and the HAP/VOC
mass fractions from the 2002 NEI, the
HAP emissions were estimated to be
4,591 tons per year. A comparison
between the HAP emissions in the
industry-reported NEI (4,761 tons/yr)
and those estimated from AP–42 factors
and HAP speciation profiles (4,591)
supports EPA’s use of the AP–42 factors
for estimating emissions from the model
plants, because the AP–42 factors result
in a similar estimate of emissions as the
NEI database.
Comment: One commenter states that
most of the methylene chloride
emissions documented by EPA are from
facilities that package paint stripper/
paint remover products, which are
specifically excluded from this
rulemaking. Therefore, according to the
commenter, EPA should discount any
emissions that result from the packaging
of methylene-based paint strippers and
paint removers. In addition, the
commenter indicates that one company
that produces nickel-based coatings
accounted for most nickel emissions
PO 00000
Frm 00016
Fmt 4701
Sfmt 4700
from the industry. Again, they claim
that EPA should discount the nickel
emissions from this one company.
Finally, the commenter says that it
appears that EPA inadvertently
included several pigment manufacturing
operations in the NEI database, resulting
in increased metal emissions for the
industry. The commenter believes that
EPA should remove the emissions
associated with paint stripper/paint
remover packaging; the company that
produces unique nickel based coatings;
and the emissions from pigment
manufacturing operations from the
emissions of the coatings manufacturing
industry, since these overstated
emissions have an impact on EPA’s cost
effectiveness calculations.
Response: For purposes of assessing
the impacts of today’s rule, we used the
2002 NEI data. The source classification
codes (SCC) in the 2002 NEI database
show that the main sources of
methylene chloride emissions are from
general mixing and handling, cleaning,
and degreasing. None of these SCCs
indicate that methylene chloride
emissions occur during packaging of
paint stripper or paint remover
products. Therefore, we have no reason
to believe that the estimated methylene
chloride emissions used in the baseline
emissions (EPA–HQ–OAR–2008–0053–
0070) are incorrect.
We reviewed the SCCs and process
descriptions in the 2002 NEI database
and did not find any pigment
manufacturing facilities. Therefore, no
adjustments to the 2002 NEI data are
needed.
We reviewed the 2002 NEI emissions
data used to develop the baseline
emissions for the paints and allied
products source category and found that
60 of the 63 of emission data points
used to estimate nickel emissions were
from combustion sources and should
not have been included in the baseline
emissions. By removing these emission
points, the total nickel emissions would
be reduced by 0.028 tons per year, and
the total estimated nickel emissions
from the paints and allied products
industry would be reduced by 0.070
tons per year. This decrease in nickel
emissions would not significantly affect
the total HAP emissions, which was
estimated to be 4,761 tons per year, or
the total listed HAP emissions which
was estimated to be 221.3 tons per year.
Therefore, we believe that revising the
estimated baseline HAP emissions
would have little or no impact on the
cost effectiveness calculations.
We recognize that the paints and
allied products manufacturing industry
has reduced its urban HAP emissions
over the past decades. The regulations
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
WReier-Aviles on DSKGBLS3C1PROD with RULES2
being finalized today will ensure that
future emissions from paints and allied
products manufacturing operations will
be limited to the same level that is being
generally achieved today and was
determined to be GACT. Without such
regulations, there is nothing that would
limit future target HAP emissions from
a new paint or allied product
manufacturing product.
H. Title V Requirements
Comment: The commenter supports
EPA’s proposed rule in the exemption of
the Paints and Allied Products
Manufacturing area source category
from Title V permitting requirements.
The commenter believes that the
proposed recordkeeping and reporting
requirements are sufficient to determine
compliance with the rule, and EPA
should balance these requirements
against the level of resources typically
present at such smaller sites and the
expected amount of emission reductions
associated with these requirements.
Another commenter states that to
demonstrate that compliance with title
V would be ‘‘unnecessarily
burdensome,’’ EPA must show, inter
alia, that the ‘‘burden’’ of compliance is
unnecessary. According to the
commenter, by promulgating title V,
Congress plainly indicated that it
viewed the burden imposed by its
requirements as necessary as a general
rule. The commenter says that these
requirements provide many benefits that
Congress clearly viewed as necessary.
Thus, continues the commenter, EPA
must show why for any given category,
special circumstances make compliance
unnecessary. The commenter maintains
that EPA has not made that showing for
any of the categories it proposes to
exempt.
Response: EPA does not agree with
the commenter’s characterization of the
demonstration required for determining
that title V is unnecessarily burdensome
for an area source category. As stated
above, the CAA provides the
Administrator discretion to exempt an
area source category from title V if she
determines that compliance with title V
requirements is ‘‘impracticable,
infeasible, or unnecessarily
burdensome’’ on an area source
category. See CAA section 502(a). In
December 2005, in a national
rulemaking, EPA interpreted the term
‘‘unnecessarily burdensome’’ in CAA
section 502 and developed a four-factor
balancing test for determining whether
title V is unnecessarily burdensome for
a particular area source category, such
that an exemption from title V is
appropriate. See 70 FR 75320, December
19, 2005 (‘‘Exemption Rule’’). In
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
addition to interpreting the term
‘‘unnecessarily burdensome’’ and
developing the four-factor balancing test
in the Exemption Rule, EPA applied the
test to certain area source categories.
The four factors that EPA identified in
the Exemption Rule for determining
whether title V is unnecessarily
burdensome on a particular area source
category include: (1) Whether title V
would result in significant
improvements to the compliance
requirements, including monitoring,
recordkeeping, and reporting, that are
proposed for an area source category (70
FR 75323); (2) whether title V
permitting would impose significant
burdens on the area source category and
whether the burdens would be
aggravated by any difficulty the sources
may have in obtaining assistance from
permitting agencies (70 FR 75324); (3)
whether the costs of title V permitting
for the area source category would be
justified, taking into consideration any
potential gains in compliance likely to
occur for such sources (70 FR 75325);
and (4) whether there are sufficient
implementation and enforcement
programs in place to assure compliance
with the NESHAP for the area source
category, without relying on title V
permits (70 FR 75326).9
In discussing the above factors in the
Exemption Rule, we explained that we
considered on ‘‘a case-by-case basis the
extent to which one or more of the four
factors supported title V exemptions for
a given source category, and then we
assessed whether considered together
those factors demonstrated that
compliance with title V requirements
would be ‘unnecessarily burdensome’
on the category, consistent with section
502(a) of the Act.’’ See 70 FR 75323.
Thus, we concluded that not all of the
four factors must weigh in favor of
exemption for EPA to determine that
title V is unnecessarily burdensome for
a particular area source category.
Instead, the factors are to be considered
in combination, and EPA determines
whether the factors, taken together,
support an exemption from title V for a
particular source category.
9 In the Exemption Rule, in addition to
determining whether compliance with title V
requirements would be unnecessarily burdensome
on an area source category, we considered,
consistent with the guidance provided by the
legislative history of section 502(a), whether
exempting the area source category would adversely
affect public health, welfare or the environment.
See 72 FR 15254–15255, March 25, 2005. As shown
above, after conducting the four-factor balancing
test and determining that title V requirements
would be unnecessarily burdensome on the area
source categories at issue here, we examined
whether the exemption from title V would
adversely affect public health, welfare and the
environment, and found that it would not.
PO 00000
Frm 00017
Fmt 4701
Sfmt 4700
63519
The commenter asserts that ‘‘EPA
must show * * * that the ‘burden’ of
compliance is unnecessary.’’ This is not,
however, one of the four factors that we
developed in the Exemption Rule in
interpreting the term ‘‘unnecessarily
burdensome’’ in CAA section 502, but
rather a new test that the commenter
maintains EPA ‘‘must’’ meet in
determining what is ‘‘unnecessarily
burdensome’’ under CAA section 502.
EPA did not re-open its interpretation of
the term ‘‘unnecessarily burdensome’’
in CAA section 502 in the June 1, 2009
proposed rule for the category at issue
in this rule. Rather, we applied the fourfactor balancing test articulated in the
Exemption Rule to the source category.
Had we sought to re-open our
interpretation of the term
‘‘unnecessarily burdensome’’ in CAA
section 502 and modify it from what
was articulated in the Exemption Rule,
we would have stated so in the June 1,
2009 proposed rule and solicited
comments on a revised interpretation,
which we did not do. Accordingly, we
reject the commenter’s attempt to create
a new test for determining what
constitutes ‘‘unnecessarily burdensome’’
under CAA section 502, as that issue
falls outside the purview of this
rulemaking.10
Furthermore, we believe that the
commenter’s position that ‘‘EPA must
show * * * that the ‘‘burden’’ of
compliance is unnecessary’’ is
unreasonable and contrary to
Congressional intent concerning the
applicability of title V to area sources.
Congress intended to treat area sources
differently under title V, as it expressly
authorized the EPA Administrator to
exempt such sources from the
requirements of title V at her discretion.
There are several instances throughout
the CAA where Congress chose to treat
major sources differently than nonmajor sources, as it did in CAA section
502. Moreover, although the commenter
espouses a new interpretation of the
term ‘‘unnecessarily burdensome’’ in
CAA section 502 and attempts to create
a new test for determining whether the
requirements of title V are
‘‘unnecessarily burdensome’’ for an area
source category, the commenter does
not explain why EPA’s interpretation of
the term ‘‘unnecessarily burdensome’’ is
arbitrary, capricious or otherwise not in
accordance with law. We maintain that
10 If the commenter objected to our interpretation
of the term ‘‘unnecessarily burdensome’’ in the
Exemption Rule, (s)he should have commented on
and challenged that rule. However, any challenge
to the Exemption Rule is now time-barred by CAA
section 307(b). Although we received comments on
the title V Exemption Rule during the rulemaking
process, no one sought judicial review of that rule.
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63520
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
our interpretation of the term
‘‘unnecessarily burdensome’’ in section
502, as set forth in the Exemption Rule,
is reasonable.
Comment: One commenter states that
exempting a source category from title V
permitting requirements deprives both
the public generally and individual
members of the public who would
obtain and use permitting information
for the benefit of citizen oversight and
enforcement that Congress plainly
viewed as necessary. According to the
commenter, the text and legislative
history of the CAA provide that
Congress intended ordinary title V
permits. The commenter also says that
EPA does not claim, far less
demonstrate with substantial evidence,
that citizens have the same ability to
obtain emissions and compliance
information about air toxics sources and
to be able to use that information in
enforcement actions and in public
policy decisions on a State and local
level. The commenter states that
Congress did not think that enforcement
by States or other government entities
was enough; if it had, Congress would
not have enacted the citizen suit
provisions, and the legislative history of
the CAA would not show that Congress
viewed citizens’ access to information
and ability to enforce CAA requirements
as highly important, both as an
individual right and as a crucial means
to ensuring compliance. According to
the commenter, if a source does not
have a title V permit, it is difficult or
impossible—depending on the laws,
regulations, and practices of the State in
which the source operates—for a
member of the public to obtain relevant
information about its emissions and
compliance status. The commenter
states that, likewise, it is difficult or
impossible for citizens to bring
enforcement actions. The commenter
continues that EPA does not claim—far
less demonstrate with substantial
evidence, as would be required—that
citizens would have the same ability to
obtain compliance and emissions
information about sources in the
categories it proposes to exempt without
title V permits. The commenter also
says that EPA does not claim, far less
demonstrate with substantial evidence,
that citizens would have the same
enforcement ability. Thus, according to
the commenter, the exemptions EPA
proposes plainly eliminate benefits that
Congress thought necessary. The
commenter claims that, to justify its
exemptions, EPA would have to show
that the informational and enforcement
benefits that Congress intended title V
to confer—benefits which the
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
commenter argues are eliminated by the
exemptions—are for some reason
unnecessary with respect to the
categories it proposes to exempt. The
commenter concludes that EPA does not
even acknowledge these benefits to title
V, far less explain why they are
unnecessary, and that for this reason
alone, EPA’s proposed exemptions are
unlawful and arbitrary.
Response: Once again, the commenter
attempts to create a new test for
determining whether the requirements
of title V are ‘‘unnecessarily
burdensome’’ on an area source
category. Specifically, the commenter
argues that EPA does not claim or
demonstrate with substantial evidence
that citizens would have the same
access to information and the same
ability to enforce under these NESHAP,
absent title V. The commenter’s position
represents a significant revision of the
fourth factor that EPA developed in the
Exemption Rule in interpreting the term
‘‘unnecessarily burdensome’’ in CAA
section 502. For all of the reasons
explained above, the commenter’s
attempt to create a new test for EPA to
meet in determining whether title V is
‘‘unnecessarily burdensome’’ on an area
source category cannot be sustained.
This rulemaking did not re-open EPA’s
interpretation of the term
‘‘unnecessarily burdensome’’ in CAA
section 502. In any event, EPA’s
interpretation is reasonable.
Furthermore, the commenter’s
statements do not demonstrate a flaw in
EPA’s application of the four-factor
balancing test to the specific facts of the
sources we are exempting, nor do the
comments provide a basis for the
Agency to reconsider the exemption as
we are finalizing it.
EPA reasonably applied the four
factors to the facts of the source category
at issue in this rule, and the commenter
has not identified any flaw in EPA’s
application of the four-factor test to the
area source category at issue here.
Moreover, as explained in the proposal,
we considered implementation and
enforcement issues in the fourth factor
of the four-factor balancing test.
Specifically, the fourth factor of EPA’s
unnecessarily burdensome analysis
provides that EPA will consider
whether there are implementation and
enforcement programs in place that are
sufficient to assure compliance with the
NESHAP without relying on title V
permits. See 70 FR 75326.
In applying the fourth factor here,
EPA determined that there are adequate
enforcement programs in place to assure
compliance with the CAA. As stated in
the proposal, we believe that statedelegated programs are sufficient to
PO 00000
Frm 00018
Fmt 4701
Sfmt 4700
assure compliance with the NESHAP
and that EPA retains authority to
enforce this NESHAP under the CAA.
74 FR 26152. We also indicated that
States and EPA often conduct voluntary
compliance assistance, outreach, and
education programs to assist sources,
and that these additional programs will
supplement and enhance the success of
compliance with this NESHAP. 74 FR
26152. The commenter does not
challenge the conclusion that there are
adequate State and Federal programs in
place to ensure compliance with and
enforcement of the NESHAP. Instead,
the commenter provides an
unsubstantiated assertion that
information about compliance by the
area sources with these NESHAP will
not be as accessible to the public as
information provided to a State
pursuant to title V. In fact, the
commenter does not provide any
information that States will treat
information submitted under this
NESHAP differently than information
submitted pursuant to a title V permit.
Even accepting the commenter’s
assertions that it is more difficult for
citizens to enforce the NESHAP absent
a title V permit, in evaluating the fourth
factor in EPA’s balancing test EPA
concluded that there are adequate
implementation and enforcement
programs in place to enforce the
NESHAP. The commenter has provided
no information to the contrary or
explained how the absence of title V
actually impairs the ability of citizens to
enforce the provisions of the NESHAP.
Comment: One commenter explains
that title V provides important
monitoring benefits, and, according to
the commenter, EPA admits that title V
monitoring, ‘‘may improve compliance
* * * by requiring monitoring * * * to
assure compliance with emission
limitations and control technology
requirements imposed in the standard.’’
(74 FR at 26151) The commenter further
states that ‘‘EPA argues that ‘the
monitoring, recordkeeping, and
reporting requirements in this proposed
rule are sufficient to assure compliance
with the requirements of the proposed
rule.’ ’’ Id. The commenter maintains
that EPA made conclusory assertions
and that the Agency failed to provide
any evidence to demonstrate that the
proposed monitoring requirements will
assure compliance with the NESHAP for
the exempt sources. The commenter
states that, for this reason also, its claim
that title V requirements are
‘‘unnecessarily burdensome’’ is arbitrary
and capricious, and its exemption is
unlawful, arbitrary, and capricious.
Response: As noted in the earlier
comment, EPA used the four-factor test
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
to determine if title V requirements
were unnecessarily burdensome. In the
first factor, EPA considers whether
imposition of title V requirements
would result in significant
improvements to the compliance
requirements that are proposed for the
area source categories. See 70 FR 75323.
It is in the context of this first factor that
EPA evaluates the monitoring,
recordkeeping, and reporting
requirements of the proposed NESHAP
to determine the extent to which those
requirements are consistent with the
requirements of title V. See 70 FR
75323.
The commenter asserts that ‘‘EPA
argues that ‘the monitoring,
recordkeeping, and reporting
requirements in this proposed rule are
sufficient to assure compliance with the
requirements of the proposed rule.’ ’’ We
nowhere state or imply that the only
monitoring, recordkeeping, and
reporting required for the rule is in the
form of recordkeeping. As stated in the
proposal, we required daily, weekly,
monthly, and yearly testing of
particulate control devices, as well as
annual compliance reports and
deviation reports in addition to the
recordkeeping that serves as monitoring
for the particulate control devices. The
commenter does not provide any
evidence that contradicts the conclusion
that the proposed monitoring,
recordkeeping, and reporting
requirements are sufficient to assure
compliance with the standards in the
rule.
Based on the foregoing, we considered
whether title V monitoring,
recordkeeping, and reporting
requirements would lead to significant
improvements in the monitoring,
recordkeeping, and reporting
requirements in the proposed NESHAP
and determined that they would not. We
believe that the monitoring,
recordkeeping, and reporting
requirements in this area source rule
can assure compliance for those sources
we are exempting.
For the reasons described above and
in the proposed rule, the first factor
supports an exemption. Assuming, for
the sake of argument, that the first factor
alone cannot support the exemption, the
four-factor balancing test requires EPA
to examine the factors, in combination,
and determine whether the factors,
viewed together, weigh in favor of
exemption. See 70 FR 75326. As
explained above, we determined that
the factors, weighed together, support
title V exemption for this source
category.
Comment: One commenter believes
EPA argued that its own belief that title
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
V is a ‘‘significant burden’’ on area
sources further justifies its exemption
(74 FR 26151). According to the
commenter, regardless of whether EPA
regards the burden as ‘‘significant,’’ the
Agency may not exempt a category from
compliance with title V requirements
unless compliance is ‘‘unnecessarily
burdensome.’’ The commenter states
that, regardless, EPA’s claims about the
alleged significance of the burden of
compliance are entirely conclusory and
could be applied equally to any major
or area source category. The commenter
also states that the Agency does not
show that the compliance burden is
especially great for any of the sources it
proposes to exempt, and, thus, does not
demonstrate that the alleged burden
necessitates treating them differently
from other categories by exempting
them from compliance with title V
requirements.
Response: The commenter appears to
take issue with the formulation of the
second factor of the four-factor
balancing test. Specifically, the
commenter states that EPA must
determine that title V compliance is
‘‘unnecessarily burdensome’’ and not a
‘‘significant burden,’’ as expressed in
the second factor of the four-factor
balancing test.
As we have stated before, at proposal
we found the burden placed on these
sources in complying with the title V
requirements is significant when we
applied the four-factor balancing test.
We note that the commenter, in other
parts of comments on the title V
exemptions, argues that EPA must
demonstrate that every title V
requirement is ‘‘unnecessary’’ for a
particular source category before an
exemption can be granted, but makes no
mention of the ‘‘burden’’ of those
requirements on area sources; here the
commenter argues that ‘‘significant
burden’’ is not appropriate for the
second factor. Notwithstanding the
commenter’s inconsistency, as
explained above, the four-factor
balancing test was established in the
Exemption Rule and we did not re-open
EPA’s interpretation of the term
‘‘unnecessarily burdensome’’ in this
rule. As explained above, we maintain
that the Agency’s interpretation of the
term ‘‘unnecessarily burdensome,’’ as
set forth in the Exemption Rule and
reiterated in the proposal to this rule, is
reasonable.
Contrary to the commenter’s
assertions, we properly analyzed the
second factor of the four-factor
balancing test. See 70 FR 75320. Under
that factor, EPA considers whether title
V permitting would impose a significant
burden on the area source categories,
PO 00000
Frm 00019
Fmt 4701
Sfmt 4700
63521
and whether that burden would be
aggravated by any difficulty that the
sources may have in obtaining
assistance from the permitting agencies.
See 70 FR 75324. The commenter
appears to assert that the second factor
must be satisfied for EPA to exempt an
area source category from title V, but, as
explained above, the four factors are
considered in combination. We have
concluded that the second factor, in
combination with the other factors,
supports an exemption for the paints
and allied products manufacturing area
sources that we are exempting from
compliance with title V in this final
rule.
Therefore, we disagree with the
commenter’s assertion that EPA’s
finding (i.e., that the burden of
obtaining a title V permit is significant,
and does not equate to the required
finding that the burden is unnecessary)
is misplaced. While EPA could have
found that the second factor alone could
justify the exemption for the sources we
are exempting in this rule, EPA found
that the other three factors also support
exempting these sources from the title V
requirements because the permitting
requirements are unnecessarily
burdensome for the paints and allied
products manufacturing area sources we
are exempting.
Comment: According to one
commenter, EPA argued that
compliance with title V would not yield
any gains in compliance with
underlying requirements in the relevant
NESHAP (74 FR 26152). The commenter
stated that EPA’s conclusory claim
could be made equally with respect to
any major or area source category.
According to the commenter, the
Agency provides no specific reasons to
believe, with respect to any of the
categories it proposes to exempt, that
the additional informational,
monitoring, reporting, certification, and
enforcement requirements that exist in
title V, but not in this NESHAP, would
not provide additional compliance
benefits. The commenter also states that
the only basis for EPA’s claim is,
apparently, its beliefs that those
additional requirements never confer
additional compliance benefits.
According to the commenter, by
advancing such argument, EPA merely
seeks to elevate its own policy judgment
over Congress’ decisions reflected in the
CAA’s text and legislative history.
Response: The commenter
mischaracterizes the first and third
factors of the four-factor balancing test
and takes out of context certain
statements in the proposed rule
concerning the factors used in the
balancing test to determine if imposition
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63522
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
of title V permit requirements is
unnecessarily burdensome for the
source categories. The commenter also
mischaracterizes the first factor of the
four-factor balancing test with regard to
determining whether imposition of title
V would result in significant
improvements in compliance. In
addition, the commenter
mischaracterizes the analysis in the
third factor of the balancing test, which
instructs EPA to take into account any
gains in compliance that would result
from the imposition of the title V
requirements.
First, EPA nowhere states, nor does it
believe, that title V never confers
additional compliance benefits, as the
commenter asserts. While EPA
recognizes that requiring a title V permit
offers additional compliance options,
the statute provides EPA with the
discretion to evaluate whether
compliance with title V would be
unnecessarily burdensome to specific
area sources. For the sources we are
exempting, we conclude that requiring
title V permits would be unnecessarily
burdensome.
Second, the commenter
mischaracterizes the first factor by
asserting that EPA must demonstrate
that title V will provide no additional
compliance benefits. The first factor
calls for a consideration of ‘‘whether
title V would result in significant
improvements to the compliance
requirements, including monitoring,
recordkeeping, and reporting, that are
proposed for an area source category.’’
Thus, contrary to the commenter’s
assertion, the inquiry under the first
factor is not whether title V will provide
any compliance benefit, but rather
whether it will provide significant
improvements in compliance
requirements.
The monitoring, recordkeeping and
reporting requirements in the rule are
sufficient to assure compliance with the
requirements of this rule for the sources
we are exempting, consistent with the
goal in title V permitting. For example,
in the Notification of Compliance Status
report, the source must certify that, if
necessary, it has implemented
management practices and installed
controls. See 40 CFR 63.11603 in the
final rule. The source must also submit
annual deviation reports to the
permitting agency if there has been a
deviation in the requirements of the
rule. See 40 CFR 63.11501 in the final
rule. The requirements in the final rule
provide sufficient basis to assure
compliance, and EPA does not believe
that the title V requirements, if
applicable to the sources that we are
exempting, would offer significant
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
improvements in the compliance of the
sources with the rule.
Third, the commenter incorrectly
characterizes our statements in the
proposed rule concerning our
application of the third factor. Under
the third factor, EPA evaluates ‘‘whether
the costs of title V permitting for the
area source category would be justified,
taking into consideration any potential
gains in compliance likely to occur for
such sources.’’ Contrary to what the
commenter alleges, EPA did not state in
the proposed rule that compliance with
title V would not yield any gains in
compliance with the underlying
requirements in the relevant NESHAP,
nor does factor three require such a
determination.Instead, consistent with
the third factor, we considered whether
the costs of title V are justified in light
of any potential gains in compliance. In
other words, EPA considers the costs of
title V permitting requirements,
including consideration of any
improvement in compliance above what
the rule requires. In considering the
third factor, we stated, in part, that,
‘‘[b]ecause the costs, both economic and
non-economic, of compliance with title
V are high, and the potential for gains
in compliance is low, title V permitting
is not justified for this source category.
Accordingly, the third factor supports
title V exemptions for these area source
categories.’’ See 74 FR 26152.
Most importantly, EPA considered all
four factors in the balancing test in
determining whether title V was
unnecessarily burdensome on the area
source category we are exempting from
title V in this final rule. The
commenter’s statements do not
demonstrate a flaw in EPA’s application
of the four-factor balancing test to the
specific facts of the sources we are
exempting, nor do the comments
provide sufficient basis for the Agency
to reconsider its.
Comment: According to one
commenter, EPA argued that alternative
State implementation and enforcement
programs assure compliance with the
underlying NESHAP without relying on
title V permits (74 FR 26152). The
commenter states that again, EPA’s
claim is entirely conclusory and generic.
The commenter also states that ‘‘the
Agency does not identify any aspect of
any of the underlying NESHAP showing
that with respect to these specific
NESHAP—unlike all the other major
and area source NESHAP it has issued
without title V exemptions—title V
compliance is unnecessary’’ (emphasis
added). Instead, according to the
commenter, EPA merely pointed to
existing State requirements and the
potential for actions by States and EPA
PO 00000
Frm 00020
Fmt 4701
Sfmt 4700
that are generally applicable to all
categories (along with some small
business and voluntary programs). The
commenter says that, absent a showing
by EPA that distinguishes the sources it
proposes to exempt from other sources,
the Agency’s argument boils down to
the generic and conclusory claim that it
generally views title V requirements as
unnecessary. The commenter states that,
while this may be EPA’s view, it was
not Congress’ view when Congress
enacted title V, and a general view that
title V is unnecessary, does not suffice
to show that title V compliance is
unnecessarily burdensome.
Response: Contrary to the
commenters’ assertions, EPA does
believe that title V is appropriate under
certain circumstances; we think that
exemption from title V is appropriate for
those sources.
In this comment, the commenter again
takes issue with the Agency’s test for
determining whether title V is
unnecessarily burdensome, as
developed in the Exemption Rule. Our
interpretation of the term
‘‘unnecessarily burdensome’’ is not the
subject of this rulemaking. In any event,
as explained above, we believe the
Agency’s interpretation of the term
‘‘unnecessarily burdensome’’ is a
reasonable one. To the extent the
commenter asserts that our application
of the fourth factor is flawed, we
disagree. The fourth factor involves a
determination as to whether there are
implementation and enforcement
programs in place that are sufficient to
assure compliance with the rule without
relying on the title V permits. In
discussing the fourth factor in the
proposal, EPA states that, prior to
delegating implementation and
enforcement to a State, EPA must ensure
that the State has programs in place to
enforce the rule. EPA believes that these
programs will be sufficient to assure
compliance with the rule. EPA also
retains authority to enforce this
NESHAP anytime under CAA sections
112, 113, and 114. EPA also noted other
factors in the proposal that together are
sufficient to assure compliance with this
area source NESHAP. The commenter
argues that EPA cannot exempt any of
the area sources in these categories from
title V permitting requirements because
‘‘[t]he agency does not identify any
aspect of any of the underlying NESHAP
showing that with respect to these
specific NESHAP—unlike all the other
major and area source NESHAP it has
issued without title V exemptions—title
V compliance is unnecessary’’
(emphasis added). As an initial matter,
EPA cannot exempt major sources from
title V permitting. 42 U.S.C. 502(a). As
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
for area sources, the standard that the
commenter proposes—that EPA must
show that ‘‘title V compliance is
unnecessary’’—is not consistent with
the standard the Agency established in
the Exemption Rule and applied in the
proposed rule in determining if title V
requirements are unnecessarily
burdensome.
Furthermore, we disagree that the
basis for excluding the paints and allied
products manufacturing area sources we
are exempting from title V requirements
is generally applicable to sources in any
source category. As explained in the
proposal preamble and above, we
balanced the four factors considering
the facts and circumstances of the
source category at issue in this rule. For
example, in assessing whether the costs
of requiring the sources to obtain a title
V permit were burdensome, we
concluded that the high relative costs
would not be justified given that there
is likely to be little or no potential gain
in compliance based on the control
device requirements and management
practices of this rule.
Comment: One commenter states that,
as EPA concedes, the legislative history
of the CAA shows that Congress did not
intend EPA to exempt source categories
from compliance with title V unless
doing so would not adversely affect
public health, welfare, or the
environment. Furthermore, the
commenter states that EPA conceded
this point. See 74 FR 26152.
Nonetheless, according to the
commenter, EPA does not make any
showing that its exemptions would not
have adverse impacts on health, welfare,
and the environment. The commenter
says that instead, EPA offered only the
conclusory assertion that ‘‘the level of
control would remain the same,’’
whether title V permits are required or
not (74 FR 26512). The commenter
continues by stating that EPA relied
entirely on the conclusory arguments
advanced elsewhere in the proposal that
compliance with title V would not yield
additional compliance with the
underlying NESHAP. The commenter
states that those arguments are wrong
for the reasons given above, and,
therefore, EPA’s claims about public
health, welfare, and the environment are
wrong too. The commenter states that
Congress enacted title V for a reason: To
assure compliance with all applicable
requirements and to empower citizens
to get information and enforce the CAA.
The commenter said that those
benefits—of which EPA’s proposed rule
deprives the public—would improve
compliance with the underlying
standards and, thus, have benefits for
public health, welfare, and the
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
environment. According to the
commenter, EPA has not demonstrated
that these benefits are unnecessary with
respect to any specific source category,
but again, simply rests on its own
apparent belief that they are never
necessary. The commenter concludes
that, for the reasons given above, that
the attempt to substitute EPA’s
judgment for Congress’ is unlawful and
arbitrary.
Response: Congress gave the
Administrator the authority to exempt
area sources from compliance with title
V if, in his or her discretion, the
Administrator ‘‘finds that compliance
with [title V] is impracticable,
infeasible, or unnecessarily
burdensome.’’ See CAA section 502(a).
EPA has interpreted one of the three
justifications for exempting area sources
‘‘unnecessarily burdensome,’’ as
requiring consideration of the four
factors discussed above. At proposal,
EPA applied these four factors to the
paints and allied products
manufacturing area source category
subject to this rule, and concluded that
requiring title V for this area source
category would be unnecessarily
burdensome. We maintain that this
conclusion is accurate for the sources
we are exempting in this rule.
In addition to determining that title V
would be unnecessarily burdensome on
the area source category, as in the
Exemption Rule, EPA also considered,
consistent with our interpretation of the
legislative history, whether exempting
the area source categories would
adversely affect public health, welfare,
or the environment. As explained in the
proposal preamble, we concluded that
exempting the area source category at
issue in this rule would not adversely
affect public health, welfare, or the
environment because the level of
control would be the same even if title
V applied. We further explained in the
proposal preamble that the title V
permit program does not generally
impose new substantive air quality
control requirements on sources, but
instead requires that certain procedural
measures be followed, particularly with
respect to determining compliance with
applicable requirements. The
commenter has not provided any
information to demonstrate that the
exemption from title V that we are
finalizing will adversely affect public
health, welfare, or the environment.
VI. Impacts of the Final Standards
Existing paints and allied products
manufacturing facilities have made
significant emission reductions since
1990 through product reformulation,
process and cleaning changes,
PO 00000
Frm 00021
Fmt 4701
Sfmt 4700
63523
installation of control equipment, and as
a result of OSHA regulations. Affected
sources appear to be well-controlled,
and our GACT determination reflects
such controls. We estimate that the only
impacts associated with this rule are the
capital and annual costs of installing
and operating a particulate control
device, the capital cost of adding lids or
covers to process vessels, and the
compliance requirements (i.e.,
reporting, recordkeeping, and testing).
We estimate that 21 percent of the
facilities, or 460 area sources, will be
required to install particulate control
equipment. The total capital costs for
installing particulate control devices is
estimated to be $8.1 million and the
annual cost is estimated to be $3.1
million per year.
We estimate that 110 facilities will be
required to install lids or covers on their
process, mixing, and storage vessels. We
estimate that it will cost $38,000 in total
capital costs and $5,500 annually.
However, the rule will also provide a
cost savings to these same facilities,
because they will have more coatings
product at the end of the manufacturing
process.
The other affected facilities will incur
costs only for submitting the
notifications and for completing the
annual compliance certification. The
cost associated with recordkeeping and
the one-time reporting requirements is
estimated to be $147 per facility.
Through compliance with this rule,
these facilities will reduce total PM
emissions by 6,300 tons/yr (5,700 Mg/
yr), total metal HAP emissions by 4.2
tons/yr (3.8 Mg/yr), and listed urban
metal HAP (cadmium, chromium, lead,
nickel) emissions by 1.6 tons/yr (1.5
Mg/yr). We estimate that requiring the
use of covers on process vessels will
reduce VOC emissions by 1,700 tons/yr
(1,600 Mg/yr), volatile HAP emissions
by 169 tons/yr (153 Mg/yr), and listed
urban volatile HAP (benzene, methylene
chloride) emissions by 4.3 tons/yr (3.9
Mg/yr).
VII. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review
This action is a ‘‘significant regulatory
action’’ under the terms of Executive
Order 12866 (58 FR 51735, October 4,
1993), and is therefore subject to review
under the Executive Order.
B. Paperwork Reduction Act
The information collection
requirements in this rule have been
submitted for approval to the Office of
Management and Budget (OMB) under
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63524
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
the Paperwork Reduction Act, 44 U.S.C.
3501 et seq. The information collection
requirements are not enforceable until
OMB approves them.
The recordkeeping and reporting
requirements in this final rule are based
on the requirements in EPA’s NESHAP
General Provisions (40 CFR part 63,
subpart A). The recordkeeping and
reporting requirements in the General
Provisions are mandatory pursuant to
section 114 of the CAA (42 U.S.C. 7414).
All information other than emissions
data submitted to EPA pursuant to the
information collection requirements for
which a claim of confidentiality is made
is safeguarded according to CAA section
114(c) and the Agency’s implementing
regulations at 40 CFR part 2, subpart B.
This final NESHAP requires Paints
and Allied Products Manufacturing area
sources to submit an Initial Notification
and a Notification of Compliance Status
according to the requirements in 40 CFR
63.9 of the General Provisions (subpart
A). Records are required to demonstrate
compliance with the opacity and visual
emissions (VE) requirements. The owner
or operator of a paints and allied
products manufacturing facility also is
subject to notification and
recordkeeping requirements in 40 CFR
63.9 and 63.10 of the General Provisions
(subpart A), although we have deemed
that annual compliance reports are
sufficient instead of semiannual reports.
The annual burden for this
information collection averaged over the
first three years of this ICR is estimated
to be a total of 2,887 labor hours per
year at a cost of $322,009 or
approximately $147 per facility. The
average annual reporting burden is
almost 3 hours per response, with
approximately 2 responses per facility
for 730 respondents. There are no
capital and operating and maintenance
costs associated with the final rule
requirements for existing sources.
Burden is defined at 5 CFR 1320.3(b).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. EPA displays OMB
control numbers in various ways. For
example, EPA lists OMB control
numbers for EPA’s regulations in 40
CFR part 9, which we amend
periodically. Additionally, we may
display the OMB control number in
another part of the CFR, or in a valid
Federal Register notice, or by other
appropriate means. The OMB control
number display will become effective
the earliest of any of the methods
authorized in 40 CFR part 9.
When this ICR is approved by OMB,
the Agency will publish a Federal
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
Register notice announcing this
approval and displaying the OMB
control number for the approved
information collection requirements
contained in this final rule. We will also
publish a technical amendment to 40
CFR part 9 in the Federal Register to
consolidate the display of the OMB
control number with other approved
information collection requirements.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act
generally requires an agency to prepare
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements under the
Administrative Procedure Act or any
other statute unless the agency certifies
that the rule would not have a
significant economic impact on a
substantial number of small entities.
Small entities include small businesses,
small not-for-profit enterprises, and
small governmental jurisdictions.
For the purposes of assessing the
impacts of this rule on small entities,
small entity is defined as: (1) A small
business that meets the Small Business
Administration size standards for small
businesses found at 13 CFR 121.201; (2)
a small governmental jurisdiction that is
a government of a city, county, town,
school district, or special district with a
population of less than 50,000; and (3)
a small organization that is any not-forprofit enterprise which is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of this rule on small entities, I
certify that this action will not have a
significant economic impact on a
substantial number of small entities.
This rule is estimated to impact a total
of almost 2,200 area source paints and
allied products manufacturing facilities;
over ninety percent of these facilities are
estimated to be small entities. We have
determined that small entity compliance
costs, as assessed by the facilities’ costto-sales ratio, are expected to be
approximately 0.13 percent for the
estimated 460 facilities that would not
initially be in compliance. Although
this final rule contains requirements for
new area sources, we are not aware of
any new area sources being constructed
now or planned in the next 3 years, and
consequently, we did not estimate any
impacts for new sources.
Although this final rule will not have
a significant economic impact on a
substantial number of small entities,
EPA nonetheless has tried to reduce
such impact. The standards represent
practices and controls that are common
throughout the paints and allied
products manufacturing industry. The
PO 00000
Frm 00022
Fmt 4701
Sfmt 4700
standards also require only the essential
recordkeeping and reporting needed to
demonstrate and verify compliance.
These standards were developed in
consultation with small business
representatives on the state and national
levels and the trade associations that
represent small businesses.
D. Unfunded Mandates Reform Act
This final rule does not contain a
Federal mandate that may result in
expenditures of $100 million or more
for State, local, and tribal governments,
in the aggregate, or to the private sector
in any one year. This rule is not
expected to impact State, local, or tribal
governments. The nationwide
annualized cost of this rule for affected
industrial sources is $3.1 million/yr.
Thus, this rule would not be subject to
the requirements of sections 202 and
205 of the Unfunded Mandates Reform
Act (UMRA).
This final rule would also not be
subject to the requirements of section
203 of UMRA because it contains no
regulatory requirements that might
significantly or uniquely affect small
governments. The rule would not apply
to such governments and would impose
no obligations upon them.
E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the States, on the
relationship between the national
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. This rule does
not impose any requirements on State
and local governments. Thus, Executive
Order 13132 does not apply to this final
rule.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175 (65 FR 67249, November 9,
2000). This final rule imposes no
requirements on tribal governments;
thus, Executive Order 13175 does not
apply to this action.
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
EPA interprets Executive Order 13045
(62 FR 19885, April 23, 1997) as
applying to those regulatory actions that
concern health or safety risks, such that
the analysis required under section
5–501 of the Order has the potential to
influence the regulation. This action is
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
not subject to EO 13045 because it is
based solely on technology
performance.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution, or Use
This final rule is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211 (66 FR 28355, May 22,
2001) because it is not likely to have a
significant adverse effect on the supply,
distribution, or use of energy. Further,
we have concluded that this rule is not
likely to have any adverse energy
effects. Existing energy requirements for
this industry would not be significantly
impacted by the additional controls or
other equipment that may be required
by this rule.
I. National Technology Transfer and
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law
104–113 (15 U.S.C. 272 note) directs
EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, and business
practices) that are developed or adopted
by voluntary consensus standards
bodies. NTTAA directs EPA to provide
Congress, through OMB, explanations
when the Agency decides not to use
available and applicable voluntary
consensus standards.
This rulemaking involves technical
standards. Therefore, the Agency
conducted a search to identify
potentially applicable voluntary
consensus standards. However, we
identified no such standards, and none
were brought to our attention in
comments. Therefore, EPA has decided
to use EPA Method 203C and EPA
Method 22.
Under § 63.7(f) and § 63.8(f) of
Subpart A of the General Provisions, a
source may apply to EPA for permission
to use alternative test methods or
alternative monitoring requirements in
place of any required testing methods,
performance specifications, or
procedures in the final rule and
amendments.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has determined that this final
rule would not have disproportionately
high and adverse human health or
environmental effects on minority or
low-income populations because it
increases the level of environmental
protection for all affected populations
without having any disproportionately
high and adverse human health or
environmental effects on any
population, including any minority or
low-income population. This rule
establishes national standards for the
Paints and Allied Products
Manufacturing area source category; this
will reduce HAP emissions, therefore
decreasing the amount of emissions to
which all affected populations are
exposed.
K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801, et seq., as added by the
Small Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this final rule and
other required information to the U.S.
Senate, the U.S. House of
Representatives, and the Comptroller
General of the United States prior to
publication of this final rule in the
Federal Register. A major rule cannot
take effect until 60 days after it is
published in the Federal Register. This
action is not a ‘‘major rule’’ as defined
by 5 U.S.C. 804(2). This final rule will
be effective on December 3, 2009.
List of Subjects in 40 CFR Part 63
Environmental protection, Air
pollution control, Hazardous
substances, Reporting and
recordkeeping requirements.
Dated: November 16, 2009.
Lisa P. Jackson,
Administrator.
For the reasons stated in the preamble,
title 40, chapter I, part 63 of the Code
of Federal Regulations is amended as
follows:
■
PO 00000
Frm 00023
Fmt 4701
Sfmt 4700
63525
PART 63—[AMENDED]
1. The authority citation for part 63
continues to read as follows:
■
Authority: 42 U.S.C. 7401 et seq.
Subpart A—[Amended]
2. Part 63 is amended by adding
subpart CCCCCCC to read as follows:
■
Subpart CCCCCCC—National Emission
Standards for Hazardous Air Pollutants for
Area Sources: Paints and Allied Products
Manufacturing
Applicability and Compliance Dates
Sec.
63.11599 Am I subject to this subpart?
63.11600 What are my compliance dates?
Standards, Monitoring, and Compliance
Requirements
63.11601 What are the standards for new
and existing paints and allied products
manufacturing facilities?
63.11602 What are the performance test and
compliance requirements for new and
existing sources?
63.11603 What are the notification,
reporting, and recordkeeping
requirements?
63.11604 [Reserved]
Other Requirements and Information
63.11605 What General Provisions apply to
this subpart?
63.11606 Who implements and enforces
this subpart?
63.11607 What definitions apply to this
subpart?
63.11608–63.11638 [RESERVED]
Tables to Subpart CCCCCCC of Part 63
Table 1 to Subpart CCCCCCC of Part 63—
Applicability of General Provisions to
Subpart CCCCCCC
Subpart CCCCCCC—National
Emission Standards for Hazardous Air
Pollutants for Area Sources: Paints
and Allied Products Manufacturing
Applicability and Compliance Dates
§ 63.11599
Am I subject to this subpart?
(a) You are subject to this subpart if
you own or operate a facility that
performs paints and allied products
manufacturing that is an area source of
hazardous air pollutant (HAP) emissions
and processes, uses, or generates
materials containing HAP, as defined in
§ 63.11607.
(b) The affected source consists of all
paints and allied products
manufacturing processes that process,
use, or generate materials containing
HAP at the facility.
(1) An affected source is existing if
you commenced construction or
reconstruction of the affected source on
or before June 1, 2009.
(2) An affected source is new if you
commenced construction or
E:\FR\FM\03DER2.SGM
03DER2
63526
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
reconstruction of the affected source on
or after June 1, 2009.
(3) A facility becomes an affected
source when you commence processing,
using, or generating materials
containing HAP, as defined in
§ 63.11607.
(c) You are exempt from the
obligation to obtain a permit under 40
CFR part 70 or 40 CFR part 71, provided
you are not otherwise required by law
to obtain a permit under 40 CFR 70.3(a)
or 40 CFR 71.3(a). Whether you have a
title V permit or not, you must continue
to comply with the provisions of this
subpart.
(d) An affected source is no longer
subject to this subpart if the facility no
longer processes, uses, or generates
materials containing HAP and does not
plan to process, use or generate
materials containing HAP in the future.
(e) The standards of this subpart do
not apply to research and development
facilities, as defined in section 112(c)(7)
of the CAA.
§ 63.11600
dates?
What are my compliance
(a) If you own or operate an existing
affected source, you must achieve
compliance with the applicable
provisions in this subpart by December
3, 2012.
(b) If you own or operate a new
affected source, you must achieve
compliance with the applicable
provisions of this subpart by December
3, 2009, or upon startup of your affected
source, whichever is later.
(c) If you own or operate a facility that
becomes an affected source in
accordance with § 63.11599(b)(3) after
the applicable compliance date in
paragraphs (a) or (b) of this section, you
must achieve compliance with the
applicable provisions of this subpart by
the date that you commence processing,
using, or generating materials
containing HAP, as defined in
§ 63.11607.
Standards, Monitoring, and
Compliance Requirements
WReier-Aviles on DSKGBLS3C1PROD with RULES2
§ 63.11601 What are the standards for new
and existing paints and allied products
manufacturing facilities?
(a) For each new and existing affected
source, you must comply with the
requirements in paragraphs (a)(1)
through (6) of this section. These
requirements apply at all times.
(1) You must add the dry pigments
and solids that contain compounds of
cadmium, chromium, lead, or nickel
and operate a capture system that
minimizes fugitive particulate emissions
during the addition of dry pigments and
solids that contain compounds of
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
cadmium, chromium, lead, or nickel to
a process vessel or to the grinding and
milling process.
(2) You must capture particulate
emissions and route them to a
particulate control device meeting the
requirements of paragraph (a)(6) of this
section during the addition of dry
pigments and solids that contain
compounds of cadmium, chromium,
lead, or nickel to a process vessel. This
requirement does not apply to pigments
and other solids that are in paste, slurry,
or liquid form.
(3) You must: (i) Capture particulate
emissions and route them to a
particulate control device meeting the
requirements of paragraph (a)(6) of this
section during the addition of dry
pigments and solids that contain
compounds of cadmium, chromium,
lead, or nickel to a process vessel; or
(ii) Add pigments and other solids
that contain compounds of cadmium,
chromium, lead, or nickel only in paste,
slurry, or liquid form.
(4) You must: (i) Capture particulate
emissions and route them to a
particulate control device meeting the
requirements of paragraph (a)(6) of this
section during the addition of dry
pigments and solids that contain
compounds of cadmium, chromium,
lead, or nickel to the grinding and
milling process; or
(ii) Add pigments and other solids
that contain compounds of cadmium,
chromium, lead, or nickel to the
grinding and milling process only in
paste, slurry, or liquid form.
(5) You must: (i) Capture particulate
emissions and route them to a
particulate control device meeting the
requirements of paragraph (a)(6) of this
section during the grinding and milling
of materials containing compounds of
cadmium, chromium, lead, or nickel;
(ii) Fully enclose the grinding and
milling equipment during the grinding
and milling of materials containing
compounds of cadmium, chromium,
lead, or nickel; or
(iii) Ensure that the pigments and
solids are in the solution during the
grinding and milling of materials
containing compounds of cadmium,
chromium, lead, or nickel.
(6) The visible emissions from the
particulate control device exhaust must
not exceed 10-percent opacity for
particulate control devices that vent to
the atmosphere. This requirement does
not apply to particulate control devices
that do not vent to the atmosphere.
(7) [RESERVED]
(b) For each new and existing affected
source, you must comply with the
requirements in paragraphs (b)(1)
through (5) of this section.
PO 00000
Frm 00024
Fmt 4701
Sfmt 4700
(1) Process and storage vessels that
store or process materials containing
benzene or methylene chloride, except
for process vessels which are mixing
vessels, must be equipped with covers
or lids meeting the requirements of
paragraphs (b)(1)(i) through (iii) of this
section.
(i) The covers or lids can be of solid
or flexible construction, provided they
do not warp or move around during the
manufacturing process.
(ii) The covers or lids must maintain
contact along at least 90-percent of the
vessel rim. The 90-percent contact
requirement is calculated by subtracting
the length of any visible gaps from the
circumference of the process vessel, and
dividing this number by the
circumference of the process vessel. The
resulting ratio must not exceed 90percent.
(iii) The covers or lids must be
maintained in good condition.
(2) Mixing vessels that store or
process materials containing benzene or
methylene chloride must be equipped
with covers that completely cover the
vessel, except as necessary to allow for
safe clearance of the mixer shaft.
(3) All vessels that store or process
materials containing benzene or
methylene chloride must be kept
covered at all times, except for quality
control testing and product sampling,
addition of materials, material removal,
or when the vessel is empty. The vessel
is empty if:
(i) All materials containing benzene or
methylene chloride have been removed
that can be removed using the practices
commonly employed to remove
materials from that type of vessel, e.g.,
pouring, pumping, and aspirating; and
(ii) No more than 2.5 centimeters (one
inch) depth of residue remains on the
bottom of the vessel, or no more than 3
percent by weight of the total capacity
of the vessel remains in the vessel.
(4) Leaks and spills of materials
containing benzene or methylene
chloride must be minimized and
cleaned up as soon as practical, but no
longer than 1 hour from the time of
detection.
(5) Rags or other materials that use a
solvent containing benzene or
methylene chloride for cleaning must be
kept in a closed container. The closed
container may contain a device that
allows pressure relief, but does not
allow liquid solvent to drain from the
container.
§ 63.11602 What are the performance test
and compliance requirements for new and
existing sources?
(a) For each new and existing affected
source, you must demonstrate initial
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
compliance by conducting the
inspection and monitoring activities in
paragraph (a)(1) of this section and
ongoing compliance by conducting the
inspection and testing activities in
paragraph (a)(2) of this section.
(1) Initial particulate control device
inspections and tests. You must conduct
an initial inspection of each particulate
control device according to the
requirements in paragraphs (a)(1)(i)
through (iii) of this section and perform
a visible emissions test according to the
requirements of paragraph (a)(1)(iv) of
this section. You must record the results
of each inspection and test according to
paragraph (b) of this section and
perform corrective action where
necessary.You must conduct each
inspection no later than 180 days after
your applicable compliance date for
each control device which has been
operated within 60 days following the
compliance date. For a control device
which has not been installed or
operated within 60 days following the
compliance date, you must conduct an
initial inspection prior to startup of the
control device.
(i) For each wet particulate control
system, you must verify the presence of
water flow to the control equipment.
You must also visually inspect the
system ductwork and control equipment
for leaks and inspect the interior of the
control equipment (if applicable) for
structural integrity and the condition of
the control system.
(ii) For each dry particulate control
system, you must visually inspect the
system ductwork and dry particulate
control unit for leaks. You must also
inspect the inside of each dry
particulate control unit for structural
integrity and condition.
(iii) An initial inspection of the
internal components of a wet or dry
particulate control system is not
required if there is a record that an
inspection meeting the requirements of
this subsection has been performed
within the past 12 months and any
maintenance actions have been
resolved.
(iv) For each particulate control
device, you must conduct a visible
emission test consisting of three 1minute test runs using Method 203C (40
CFR part 51, appendix M). The visible
emission test runs must be performed
during the addition of dry pigments and
solids containing compounds of
cadmium, chromium, lead, or nickel to
a process vessel or to the grinding and
milling equipment. If the average test
results of the visible emissions test runs
indicate an opacity greater than the
applicable limitation in § 63.11601(a),
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
you must take corrective action and
retest within 15 days.
(2) Ongoing particulate control device
inspections and tests. Following the
initial inspections, you must perform
periodic inspections of each PM control
device according to the requirements in
paragraphs (a)(2)(i) or (ii) of this section.
You must record the results of each
inspection according to paragraph (b) of
this section and perform corrective
action where necessary. You must also
conduct tests according to the
requirements in paragraph (a)(2)(iii) of
this section and record the results
according to paragraph (b) of this
section.
(i) You must inspect and maintain
each wet particulate control system
according to the requirements in
paragraphs (a)(2)(i)(A) through (C) of
this section.
(A) You must conduct a daily
inspection to verify the presence of
water flow to the wet particulate control
system.
(B) You must conduct weekly visual
inspections of any flexible ductwork for
leaks.
(C) You must conduct inspections of
the rigid, stationary ductwork for leaks,
and the interior of the wet control
system (if applicable) to determine the
structural integrity and condition of the
control equipment every 12 months.
(ii) You must inspect and maintain
each dry particulate control unit
according to the requirements in
paragraphs (a)(2)(ii)(A) and (B) of this
section.
(A) You must conduct weekly visual
inspections of any flexible ductwork for
leaks.
(B) You must conduct inspections of
the rigid, stationary ductwork for leaks,
and the interior of the dry particulate
control unit for structural integrity and
to determine the condition of the fabric
filter (if applicable) every 12 months.
(iii) For each particulate control
device, you must conduct a 5-minute
visual determination of emissions from
the particulate control device every 3
months using Method 22 (40 CFR part
60, appendix A–7). The visible emission
test must be performed during the
addition of dry pigments and solids
containing compounds of cadmium,
chromium, lead, or nickel to a process
vessel or to the grinding and milling
equipment. If visible emissions are
observed for two minutes of the
required 5-minute observation period,
you must conduct a Method 203C (40
CFR part 51, appendix M) test within 15
days of the time when visible emissions
were observed. The Method 203C test
will consist of three 1-minute test runs
and must be performed during the
PO 00000
Frm 00025
Fmt 4701
Sfmt 4700
63527
addition of dry pigments and solids
containing compounds of cadmium,
chromium, lead, or nickel HAP to a
process vessel or to the grinding and
milling equipment. If the Method 203C
test runs indicates an opacity greater
than the limitation in § 63.11601(a)(4),
you must comply with the requirements
in paragraphs (a)(2)(iii)(A) through (C)
of this section.
(A) You must take corrective action
and retest using Method 203C within 15
days. The Method 203C test will consist
of three 1-minute test runs and must be
performed during the addition of dry
pigments and solids containing
compounds of cadmium, chromium,
lead, or nickel to a process vessel or to
the grinding and milling equipment.
You must continue to take corrective
action and retest each 15 days until a
Method 203C test indicates an opacity
equal to or less than the limitation in
§ 63.11601(a)(6).
(B) You must prepare a deviation
report in accordance with
§ 63.11603(b)(3) for each instance in
which the Method 203C opacity results
were greater than the limitation in
§ 63.11601(a)(6).
(C) You must resume the visible
determinations of emissions from the
particulate control device in accordance
with paragraph (a)(2)(iii) of this section
3 months after the previous visible
determination.
(b) You must record the information
specified in paragraphs (b)(1) through
(6) of this section for each inspection
and testing activity.
(1) The date, place, and time;
(2) Person conducting the activity;
(3) Technique or method used;
(4) Operating conditions during the
activity;
(5) Results; and
(6) Description of correction actions
taken.
§ 63.11603 What are the notification,
reporting, and recordkeeping
requirements?
(a) Notifications. You must submit the
notifications identified in paragraphs
(a)(1) and (2) of this section.
(1) Initial Notification of
Applicability. If you own or operate an
existing affected source, you must
submit an initial notification of
applicability required by § 63.9(b)(2) no
later than June 1, 2010. If you own or
operate a new affected source, you must
submit an initial notification of
applicability required by § 63.9(b)(2) no
later than 180 days after initial start-up
of the operations or June 1, 2010,
whichever is later. The notification of
applicability must include the
information specified in paragraphs
(a)(1)(i) through (iii) of this section.
E:\FR\FM\03DER2.SGM
03DER2
WReier-Aviles on DSKGBLS3C1PROD with RULES2
63528
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
(i) The name and address of the owner
or operator;
(ii) The address (i.e., physical
location) of the affected source; and
(iii) An identification of the relevant
standard, or other requirement, that is
the basis of the notification and the
source’s compliance date.
(2) Notification of Compliance Status.
If you own or operate an existing
affected source, you must submit a
Notification of Compliance Status in
accordance with § 63.9(h) of the General
Provisions by June 3, 2013. If you own
or operate a new affected source, you
must submit a Notification of
Compliance Status within 180 days after
initial start-up, or by June 1, 2010,
whichever is later. If you own or operate
an affected source that becomes an
affected source in accordance with
§ 63.11599(b)(3) after the applicable
compliance date in § 63.11600 (a) or (b),
you must submit a Notification of
Compliance Status within 180 days of
the date that you commence processing,
using, or generating materials
containing HAP, as defined in 63.11607.
This Notification of Compliance Status
must include the information specified
in paragraphs (a)(2)(i) and (ii) of this
section.
(i) Your company’s name and address;
(ii) A statement by a responsible
official with that official’s name, title,
phone number, e-mail address and
signature, certifying the truth, accuracy,
and completeness of the notification, a
description of the method of compliance
(i.e., compliance with management
practices, installation of a wet or dry
scrubber) and a statement of whether
the source has complied with all the
relevant standards and other
requirements of this subpart.
(b) Annual Compliance Certification
Report. You must prepare an annual
compliance certification report
according to the requirements in
paragraphs (b)(1) through (b)(3) of this
section. This report does not need to be
submitted unless a deviation from the
requirements of this subpart has
occurred. When a deviation from the
requirements of this subpart has
occurred, the annual compliance
certification report must be submitted
along with the deviation report.
(1) Dates. You must prepare and, if
applicable, submit each annual
compliance certification report
according to the dates specified in
paragraphs (b)(1)(i) through (iii) of this
section.
(i) The first annual compliance
certification report must cover the first
annual reporting period which begins
the day of the compliance date and ends
on December 31.
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
(ii) Each subsequent annual
compliance certification report must
cover the annual reporting period from
January 1 through December 31.
(iii) Each annual compliance
certification report must be prepared no
later than January 31 and kept in a
readily-accessible location for inspector
review. If a deviation has occurred
during the year, each annual
compliance certification report must be
submitted along with the deviation
report, and postmarked no later than
February 15.
(2) General Requirements. The annual
compliance certification report must
contain the information specified in
paragraphs (b)(2)(i) through (iii) of this
section.
(i) Company name and address;
(ii) A statement in accordance with
§ 63.9(h) of the General Provisions that
is signed by a responsible official with
that official’s name, title, phone
number, e-mail address and signature,
certifying the truth, accuracy, and
completeness of the notification and a
statement of whether the source has
complied with all the relevant standards
and other requirements of this subpart;
and
(iii) Date of report and beginning and
ending dates of the reporting period.
The reporting period is the 12-month
period beginning on January 1 and
ending on December 31.
(3) Deviation Report. If a deviation
has occurred during the reporting
period, you must include a description
of deviations from the applicable
requirements, the time periods during
which the deviations occurred, and the
corrective actions taken. This deviation
report must be submitted along with
your annual compliance certification
report, as required by paragraph
(b)(1)(iii) of this section.
(c) Records. You must maintain the
records specified in paragraphs (c)(1)
through (4) of this section in accordance
with paragraphs (c)(5) through (7) of this
section, for five years after the date of
each recorded action.
(1) As required in § 63.10(b)(2)(xiv),
you must keep a copy of each
notification that you submitted in
accordance with paragraph (a) of this
section, and all documentation
supporting any Notification of
Applicability and Notification of
Compliance Status that you submitted.
(2) You must keep a copy of each
Annual Compliance Certification Report
prepared in accordance with paragraph
(b) of this section.
(3) You must keep records of all
inspections and tests as required by
§ 63.11602(b).
PO 00000
Frm 00026
Fmt 4701
Sfmt 4700
(4) Your records must be in a form
suitable and readily available for
expeditious review, according to
§ 63.10(b)(1).
(5) As specified in § 63.10(b)(1), you
must keep each record for 5 years
following the date of each recorded
action.
(6) You must keep each record onsite
for at least 2 years after the date of each
recorded action according to
§ 63.10(b)(1). You may keep the records
offsite for the remaining 3 years.
(e) If you no longer process, use, or
generate materials containing HAP after
December 3, 2009, you must submit a
Notification in accordance with
§ 63.11599(d), which must include the
information specified in paragraphs
(e)(1) and (2) of this section.
(1) Your company’s name and
address;
(2) A statement by a responsible
official indicating that the facility no
longer processes, uses, or generates
materials containing HAP, as defined in
§ 63.11607, and that there are no plans
to process, use or generate such
materials in the future. This statement
should also include the date by which
the company ceased using materials
containing HAP, as defined in 63.11607,
and the responsible official’s name, title,
phone number, e-mail address and
signature.
§ 63.11604
[Reserved]
Other Requirements and Information
§ 63.11605 What General Provisions apply
to this subpart?
Table 1 of this subpart shows which
parts of the General Provisions in
§§ 63.1 through 63.16 apply to you.
§ 63.11606 Who implements and enforces
this subpart?
(a) This subpart can be implemented
and enforced by the U.S. EPA or a
delegated authority such as a state,
local, or tribal agency. If the U.S. EPA
Administrator has delegated authority to
a State, local, or tribal agency pursuant
to 40 CFR part 63, subpart E, then that
Agency has the authority to implement
and enforce this subpart. You should
contact your U.S. EPA Regional Office
to find out if this subpart is delegated
to your state, local, or tribal agency.
(b) In delegating implementation and
enforcement authority of this subpart to
a state, local, or tribal agency under 40
CFR part 63, subpart E, the authorities
contained in paragraphs (b)(1) through
(4) of this section are retained by the
Administrator of the U.S. EPA and are
not transferred to the State, local, or
tribal agency.
E:\FR\FM\03DER2.SGM
03DER2
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
(1) Approval of an alternative
nonopacity emissions standard under
§ 63.6(g).
(2) Approval of a major change to test
methods under § 63.7(e)(2)(ii) and (f). A
‘‘major change to test method’’ is
defined in § 63.90
(3) Approval of a major change to
monitoring under § 63.8(f). A ‘‘major
change to monitoring’’ is defined in
§ 63.90.
(4) Approval of a major change to
recordkeeping/reporting under
§ 63.10(f). A ‘‘major change to
recordkeeping/reporting’’ is defined in
§ 63.90. As required in § 63.11432, you
must comply with the requirements of
the NESHAP General Provisions (40
CFR part 63, subpart A) as shown in the
following table.
WReier-Aviles on DSKGBLS3C1PROD with RULES2
§ 63.11607
subpart?
What definitions apply to this
Terms used in this subpart are
defined in the Clean Air Act, § 63.2, and
in this section as follows:
Construction means the onsite
fabrication, erection, or installation of
an affected source. Addition of new
equipment to an affected source does
not constitute construction, but it may
constitute reconstruction of the affected
source if it satisfies the definition of
reconstruction in § 63.2.
Deviation means any instance in
which an affected source subject to this
subpart, or an owner or operator of such
a source:
(1) Fails to meet any requirement or
management practices established by
this subpart;
(2) Fails to meet any term or condition
that is adopted to implement a
requirement in this subpart and that is
included in the operating permit for any
affected source required to obtain such
a permit; or
(3) Fails to meet any emissions
limitation or management practice in
this subpart.
Dry particulate control system means
an air pollution control device that uses
filtration, impaction, or electrical forces
to remove particulate matter in the
exhaust stream.
Fabric filter means an air collection
and control system that utilizes a bag
filter to reduce the emissions of metal
HAP and other particulate matter.
Material containing HAP means a
material containing benzene, methylene
chloride, or compounds of cadmium,
chromium, lead, and/or nickel, in
amounts greater than or equal to 0.1
percent by weight, as shown in
formulation data provided by the
manufacturer or supplier, such as the
Material Safety Data Sheet for the
material. Benzene and methylene
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
chloride are volatile HAP. Compounds
of cadmium, chromium, lead and/or
nickel are metal HAP.
Paints and allied products means
materials such as paints, inks,
adhesives, stains, varnishes, shellacs,
putties, sealers, caulks, and other
coatings from raw materials that are
intended to be applied to a substrate
and consists of a mixture of resins,
pigments, solvents, and/or other
additives.
Paints and allied products
manufacturing means the production of
paints and allied products, the intended
use of which is to leave a dried film of
solid material on a substrate. Typically,
the manufacturing processes that
produce these materials are described
by Standard Industry Classification
(SIC) codes 285 or 289 and North
American Industry Classification
System (NAICS) codes 3255 and 3259
and are produced by physical means,
such as blending and mixing, as
opposed to chemical synthesis means,
such as reactions and distillation. Paints
and allied products manufacturing does
not include:
(1) The manufacture of products that
do not leave a dried film of solid
material on the substrate, such as
thinners, paint removers, brush
cleaners, and mold release agents;
(2) The manufacture of electroplated
and electroless metal films;
(3) The manufacture of raw materials,
such as resins, pigments, and solvents
used in the production of paints and
coatings; and
(4) Activities by end users of paints or
allied products to ready those materials
for application.
Paints and allied products
manufacturing process means all the
equipment which collectively function
to produce a paint or allied product. A
process may consist of one or more unit
operations. For the purposes of this
subpart, the manufacturing process
includes any, all, or a combination of,
weighing, blending, mixing, grinding,
tinting, dilution or other formulation.
Cleaning operations, material storage
and transfer, and piping are considered
part of the manufacturing process. This
definition does not cover activities by
end users of paints or allied products to
ready those materials for application.
Quality assurance and quality control
laboratories are not considered part of a
paints and allied products
manufacturing process. Research and
development facilities, as defined in
section 112(c)(7) of the CAA are not
considered part of a paints and allied
products manufacturing process.
Particulate matter control device
means any equipment, device, or other
PO 00000
Frm 00027
Fmt 4701
Sfmt 4700
63529
article that is designed and/or installed
for the purpose of reducing or
preventing the discharge of metal HAP
emissions to the atmosphere.
Process vessel means any stationary or
portable tank or other vessel of any
capacity and in which mixing, blending,
diluting, dissolving, temporary holding,
and other processing steps occur in the
manufacturing of a coating.
Responsible official means one of the
following:
(1) For a corporation: A president,
secretary, treasurer, or vice president of
the corporation in charge of a principal
business function, or any other person
who performs similar policy or
decision-making functions for the
corporation, or a duly authorized
representative of such person if the
representative is responsible for the
overall operation of one or more
manufacturing, production, or operating
facilities and either:
(i) The facilities employ more than
250 persons or have gross annual sales
or expenditures exceeding $25 million
(in second quarter 1980 dollars); or
(ii) The delegation of authority to
such representative is approved in
advance by the Administrator.
(2) For a partnership or sole
proprietorship: A general partner or the
proprietor, respectively.
(3) For a municipality, State, Federal,
or other public agency: Either a
principal executive officer or ranking
elected official. For the purposes of this
part, a principal executive officer of a
Federal agency includes the chief
executive officer having responsibility
for the overall operations of a principal
geographic unit of the agency (e.g., a
Regional Administrator of the EPA).
(4) For affected sources (as defined in
this part) applying for or subject to a
title V permit: ‘‘Responsible official’’
shall have the same meaning as defined
in part 70 or Federal title V regulations
in this chapter (42 U.S.C. 7661),
whichever is applicable.
Storage vessel means a tank, container
or other vessel that is used to store
volatile liquids that contain one or more
of the listed volatile HAP, benzene or
methylene chloride, as raw material
feedstocks or products. It also includes
objects, such as rags or other containers
which are stored in the vessel. The
following are not considered storage
vessels for the purposes of this subpart:
(1) Vessels permanently attached to
motor vehicles such as trucks, railcars,
barges, or ships;
(2) Pressure vessels designed to
operate in excess of 204.9 kilopascals
and without emissions to the
atmosphere;
E:\FR\FM\03DER2.SGM
03DER2
63530
Federal Register / Vol. 74, No. 231 / Thursday, December 3, 2009 / Rules and Regulations
(3) Vessels storing volatile liquids that
contain HAP only as impurities;
(4) Wastewater storage tanks; and
(5) Process vessels.
Wet particulate control device means
an air pollution control device that uses
water or other liquid to contact and
remove particulate matter in the exhaust
stream.
§ 63.11608–63.11638
[Reserved]
table that applies to you. Part 63 General
Provisions that apply for Paints and
Allied Products Manufacturing Area
Sources:
Tables to Subpart CCCCCCC of Part 63
As required in § 63.11599, you must
meet each requirement in the following
TABLE 1 TO SUBPART CCCCCCC OF PART 63—APPLICABILITY OF GENERAL PROVISIONS TO PAINTS AND ALLIED
PRODUCTS MANUFACTURING AREA SOURCES
Applies to
subpart
CCCCCCC
Citation
Subject
63.1 .............................................................
63.2 .............................................................
63.3 .............................................................
63.4 .............................................................
63.5 .............................................................
63.6(a), (b)(1)–(b)(5), (c), (e)(1), (f)(2),
(f)(3), (g), (i), (j).
63.7(a), (e), and (f) .....................................
63.8 .............................................................
63.9(a)–(d), (i), and (j) ................................
63.10(a), (b)(1) ...........................................
63.10(d)(1) ..................................................
63.11 ...........................................................
63.12 ...........................................................
63.13 ...........................................................
63.14 ...........................................................
63.15 ...........................................................
63.16 ...........................................................
Applicability ...................................................................................................................
Definitions ......................................................................................................................
Units and abbreviations ................................................................................................
Prohibited activities .......................................................................................................
Preconstruction review and notification requirements ..................................................
Compliance with standards and maintenance requirements ........................................
Yes.
Yes.
Yes.
Yes.
No.
Yes.
Performance testing requirements ................................................................................
Monitoring requirements ...............................................................................................
Notification Requirements .............................................................................................
Recordkeeping and Reporting ......................................................................................
Recordkeeping and Reporting ......................................................................................
Control device and work practice requirements ...........................................................
State authority and delegations ....................................................................................
Addresses of state air pollution control agencies and EPA regional offices ................
Incorporation by reference ............................................................................................
Availability of information and confidentiality ................................................................
Performance track provisions .......................................................................................
Yes.
No.
Yes.
Yes.
Yes.
No.
Yes.
Yes.
No.
Yes.
No.
[FR Doc. E9–27947 Filed 12–2–09; 8:45 am]
WReier-Aviles on DSKGBLS3C1PROD with RULES2
BILLING CODE 6560–50–P
VerDate Nov<24>2008
15:03 Dec 02, 2009
Jkt 220001
PO 00000
Frm 00028
Fmt 4701
Sfmt 4700
E:\FR\FM\03DER2.SGM
03DER2
Agencies
[Federal Register Volume 74, Number 231 (Thursday, December 3, 2009)]
[Rules and Regulations]
[Pages 63504-63530]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-27947]
[[Page 63503]]
-----------------------------------------------------------------------
Part II
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 63
National Emission Standards for Hazardous Air Pollutants: Area Source
Standards for Paints and Allied Products Manufacturing; Final Rule
Federal Register / Vol. 74 , No. 231 / Thursday, December 3, 2009 /
Rules and Regulations
[[Page 63504]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 63
[EPA-HQ-OAR-2008-0053; FRL-8983-5]
RIN 2060-AN47
National Emission Standards for Hazardous Air Pollutants: Area
Source Standards for Paints and Allied Products Manufacturing
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is issuing national emission standards for control of
hazardous air pollutants (HAP) for the Paints and Allied Products
Manufacturing area source category. The final rule establishes emission
standards in the form of management practices for volatile HAP, and
emission standards in the form of equipment standards for particulate
HAP. The emissions standards for new and existing sources are based on
EPA's determination as to what constitutes the generally available
control technology or management practices (GACT) for the area source
category.
DATES: This final rule is effective on December 3, 2009.
ADDRESSES: EPA has established a docket for this action under Docket ID
No. EPA-HQ-OAR-2008-0053. All documents in the docket are listed in the
Federal Docket Management System index at https://www.regulations.gov
index. Although listed in the index, some information is not publicly
available, e.g., confidential business information (CBI) or other
information whose disclosure is restricted by statute. Certain other
material, such as copyrighted material, will be publicly available only
in hard copy form. Publicly available docket materials are available
either electronically in https://www.regulations.gov or in hard copy at
the EPA Docket Center, Public Reading Room, EPA West, Room 3334, 1301
Constitution Ave., NW., Washington, DC. The Public Reading Room is open
from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal
holidays. The telephone number for the Public Reading Room is (202)
566-1744, and the telephone number for the Air Docket is (202) 566-
1742.
FOR FURTHER INFORMATION CONTACT: Melissa Payne, Regulatory Development
and Policy Analysis Group, Office of Air Quality Planning and Standards
(C404-05), Environmental Protection Agency, Research Triangle Park,
North Carolina 27711, telephone number: (919) 541-3609; fax number:
(919) 541-0242; e-mail address: payne.melissa@epa.gov.
SUPPLEMENTARY INFORMATION: The supplementary information in this
preamble is organized as follows:
I. General Information
A. Does this action apply to me?
B. Where can I get a copy of this document?
C. Judicial Review
II. Background Information for This Final Rule
III. Summary of Changes Since Proposal
A. Applicability
B. Standards and Compliance Requirements
C. Reporting and Recordkeeping Requirements
D. Definitions
E. Other
IV. Summary of Final Standards
A. Do these standards apply to my source?
B. When must I comply with these standards?
C. What processes does this final rule address?
D. What are the emissions control requirements?
E. What are the initial compliance requirements?
F. What are the continuous compliance requirements?
G. What are the notification, recordkeeping, and reporting
requirements?
V. Summary of Comments and Responses
A. Applicability
B. Compliance/Implementation Dates
C. De Minimis Thresholds and Subcategorization
D. Emission Standards and Management Practices
E. Testing, Monitoring, and Inspection Requirements
F. Reporting and Recordkeeping Requirements
G. Baseline Emissions and Emission Reductions
H. Title V Requirements
VI. Impacts of the Final Standards
VII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health and Safety Risks
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act
I. General Information
A. Does this action apply to me?
The regulated categories and entities potentially affected by this
final rule are shown in the table below. You are subject to this
subpart if you own or operate a facility that performs paints and
allied products manufacturing that is an area source of hazardous air
pollutant (HAP) emissions and processes, uses, or generates materials
containing the following HAP: benzene, methylene chloride, and
compounds of cadmium, chromium, lead, and nickel.
The paints and allied products manufacturing area source rule
(CCCCCCC) covers all coatings, but does not include resin
manufacturing, which is covered by the chemical manufacturing area
source standard (VVVVVV). Facilities that manufacture both resins and
coatings are required to comply with both rules. Paints and allied
products are defined in Sec. 63.11607 as any material such as a paint,
ink, or adhesive that is intended to be applied to a substrate and
consists of a mixture of resins, pigments, solvents, and/or other
additives. Typically, the industries that manufacture these products
are described by Standard Industry Classification (SIC) codes 285 or
289 and North American Industry Classification System (NAICS) codes
3255 and 3259 and are produced by physical means, such as blending and
mixing, as opposed to chemical synthesis means, such as reactions and
distillation. The source category does not include the following: (1)
The manufacture of products that do not leave a dried film of solid
material on the substrate, such as thinners, paint removers, brush
cleaners, and mold release agents; (2) the manufacture of electroplated
and electroless metal films; (3) the manufacture of raw materials, such
as resins, pigments, and solvents used in the production of paints and
allied products; \1\ and (4) activities by end users of paints or
allied products to ready those materials for application.
---------------------------------------------------------------------------
\1\ Production of paint thinners and paint remover is covered
under the Industrial Organic Chemical Manufacturing Area Source
NESHAP, and electroplated and electroless metal films are covered
under the Plating and Polishing Operations Area Source NESHAP.
Resins manufacturing is covered under the Plastic Materials and
Resins Manufacturing Area Source NESHAP and pigments manufacturing
is covered under the Inorganic Pigment Manufacturing Area Source
NESHAP.
[[Page 63505]]
------------------------------------------------------------------------
NAICS code Examples of regulated
Category \2\ entities
------------------------------------------------------------------------
Paint & Coating Manufacturing.... 325510 Area source facilities
engaged in mixing
pigments, solvents, and
binders into paints and
other coatings, such as
stains, varnishes,
lacquers, enamels,
shellacs, and water
repellant coatings for
concrete and masonry.
Adhesive Manufacturing........... 325520 Area source facilities
primarily engaged in
manufacturing
adhesives, glues, and
caulking compounds.
Printing Ink Manufacturing....... 325910 Area source facilities
primarily engaged in
manufacturing printing
inkjet inks and inkjet
cartridges.
All Other Miscellaneous Chemical 325998 Area source facilities
Product and Preparation primarily engaged in
Manufacturing. manufacturing indelible
ink, India ink writing
ink, and stamp pad ink.
------------------------------------------------------------------------
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be affected by this
action. To determine whether your facility is regulated by this action,
you should examine the applicability criteria in 40 CFR 63.11599,
subpart CCCCCCC (NESHAP for Area Sources: Paints and Allied Products
Manufacturing). If you have any questions regarding the applicability
of this action to a particular entity, consult either the state
delegated authority or the EPA regional representative as listed in 40
CFR 63.13 of subpart A (General Provisions).
---------------------------------------------------------------------------
\2\ North American Industry Classification System.
---------------------------------------------------------------------------
B. Where can I get a copy of this document?
In addition to being available in the docket, an electronic copy of
this proposed action will also be available on the Worldwide Web (WWW)
through EPA's Technology Transfer Network (TTN). A copy of this
proposed action will be posted on the TTN's policy and guidance page
for newly proposed or promulgated rules at the following address:
https://www.epa.gov/ttn/oarpg. The TTN provides information and
technology exchange in various areas of air pollution control.
C. Judicial Review
Under section 307(b)(1) of the Clean Air Act (CAA), judicial review
of this final rule is available only by filing a petition for review in
the United States Court of Appeals for the District of Columbia Circuit
by February 1, 2010. Under section 307(b)(2) of the CAA, the
requirements established by this final rule may not be challenged
separately in any civil or criminal proceedings brought by EPA to
enforce these requirements.
Section 307(d)(7)(B) of the CAA further provides that ``[o]nly an
objection to a rule or procedure which was raised with reasonable
specificity during the period for public comment (including any public
hearing) may be raised during judicial review.'' This section also
provides a mechanism for EPA to convene a proceeding for
reconsideration, ``[i]f the person raising an objection can demonstrate
to EPA that it was impracticable to raise such objection within [the
period for public comment] or if the grounds for such objection arose
after the period for public comment (but within the time specified for
judicial review) and if such objection is of central relevance to the
outcome of the rule.'' Any person seeking to make such a demonstration
to us should submit a Petition for Reconsideration to the Office of the
Administrator, U.S. EPA, Room 3000, Ariel Rios Building, 1200
Pennsylvania Ave., NW., Washington, DC 20460, with a copy to both the
person(s) listed in the preceding FOR FURTHER INFORMATION CONTACT
section, and the Associate General Counsel for the Air and Radiation
Law Office, Office of General Counsel (Mail Code 2344A), U.S. EPA, 1200
Pennsylvania Ave., NW., Washington, DC 20460.
II. Background Information for This Final Rule
Section 112(d) of the Clean Air Act requires EPA to establish
national emission standards for hazardous air pollutants (NESHAP) for
both major and area sources of HAP that are listed for regulation under
CAA section 112(c). A major source emits or has the potential to emit
10 tons per year (tpy) or more of any single HAP or 25 tpy or more of
any combination of HAP. An area source is a stationary source that is
not a major source.
Section 112(k)(3)(B) of the CAA calls for EPA to identify at least
30 HAP which, as the result of emissions from area sources, pose the
greatest threat to public health in the largest number of urban areas.
Section 112(c)(3) requires EPA to list sufficient categories or
subcategories of area sources to ensure that area sources representing
90 percent of the emissions of the 30 urban HAP are subject to
regulation. EPA implemented these provisions in 1999 in the Integrated
Urban Air Toxics Strategy, (64 FR 38715, July 19, 1999). Specifically,
in the Strategy, EPA identified 30 HAP that pose the greatest potential
health threat in urban areas, and these HAP are referred to as the ``30
urban HAP.'' A primary goal of the Strategy is to achieve a 75 percent
reduction in cancer incidence attributable to HAP emitted from
stationary sources.
Under CAA section 112(d)(5), we may elect to promulgate standards
or requirements for area sources ``which provide for the use of
generally available control technologies or management practices (GACT)
by such sources to reduce emissions of hazardous air pollutants.''
Additional information on GACT is found in the Senate report on the
legislation (Senate Report Number 101-228, December 20, 1989), which
describes GACT as:
* * * methods, practices and techniques which are commercially
available and appropriate for application by the sources in the
category considering economic impacts and the technical capabilities
of the firms to operate and maintain the emissions control systems.
Consistent with the legislative history, we can consider costs and
economic impacts in determining GACT. This is particularly important
when developing regulations, like this one, that may impact many small
businesses, as defined by the Small Business Administration.
Determining what constitutes GACT involves considering the control
technologies and management practices that are generally available to
the area sources in the source category. We also consider the standards
applicable to major sources in the same industrial sector to determine
if the control technologies and management practices are transferable
and generally available to area sources. In appropriate circumstances,
we may also consider technologies and practices at area and major
sources in similar categories to determine whether such technologies
and practices could be considered generally available for the area
source category at issue. Finally, as noted above, in determining GACT
for a particular area source category, we
[[Page 63506]]
consider the costs and economic impacts of available control
technologies and management practices on that category.
We are promulgating these national emission standards in response
to a court-ordered deadline that requires EPA to issue standards for
categories listed pursuant to section 112(c)(3) and (k) by November 16,
2009 (Sierra Club v. Johnson, no. 01-1537, D.D.C., March 2006).
III. Summary of Changes Since Proposal
This final rule contains several revisions and clarifications to
the proposed rule made after considering public comments. The following
sections present a summary of the changes to the proposed rule. We
explain the reasons for these changes in detail in the summary of
comments and responses (section V of this preamble).
A. Applicability
We made several changes to clarify the applicability of this final
rule. Specifically, we have clarified that the final rule does not
include retail and commercial paints and allied products operations
which add and mix pigments to pre-manufactured products per customer
specifications.
We have revised the definition of ``paints and allied products
manufacturing'' to exclude activities by end users of paints and allied
products to ready those materials for application. We have also revised
the definition of ``paints and allied products manufacturing process''
to exclude weighing, mixing, tinting, blending, diluting, stabilizing,
or any other handling of these paints and allied products to ready
these materials for use by end users.
Furthermore, we clarified the types of operations by end users that
are not covered by this area source category. An end user is someone
who applies a coating to substrate, similar to the Miscellaneous
Coating Manufacturing major source rule (40 CFR part 63, subpart
HHHHH). The final rule does not apply to activities conducted by end
users of coating products in preparation for application (68 FR 69164,
December 11, 2003). Thus, operations that modify a purchased coating
prior to application at the purchasing facility are not included in the
Paints and Allied Products Manufacturing area source category; this
would apply only if the purchased product is already a coating that an
end user could apply as purchased. The activities and operations
described above are not subject to today's rule because they were not
part of the listed source category under CAA section 112(c)(3).
In the proposed rule, we proposed that the affected source include
the entire facility if the facility emitted any of the paints and
allied products manufacturing target HAP. Specifically, under the
proposal, all process vessels at the facility would be subject to the
standards if any emissions source at the facility emitted one of the
paints and allied products manufacturing target HAP. \3\ After
consideration of public comments, we modified the scope of
applicability of this final rule, and we made several changes to
clarify the applicability provisions. The most significant change is
that only process vessels that emit one or more of the target HAP are
subject to the rule.
---------------------------------------------------------------------------
\3\ In this preamble, we use the term ``target HAP'' to mean the
urban HAP for which the paints and allied products manufacturing
source category is listed under section 112(c)(3). Those HAP are
benzene, methylene chloride, and compounds of cadmium, chromium,
lead, or nickel. Further, the regulations define ``materials
containing HAP'' to mean a material containing any of the target HAP
in amounts greater than or equal to 0.1 percent by weight, as shown
in formulation data provided by the manufacturer or supplier. See
63.11607.
---------------------------------------------------------------------------
B. Standards and Compliance Requirements
We have made several changes to the standards for paints and allied
products manufacturing. For the metal HAP standards, we have revised
the requirement to conduct an initial visible emission test by changing
the test method from Method 9 to Method 203C. In addition we have
revised the opacity standard from 5 percent opacity to 10 percent
opacity. We have also removed the requirement to conduct additional
visible emissions tests every six months. Instead, we have added
quarterly Method 22 visible emission observations.
We have also extended the initial particulate control device
testing date from 60 days to 180 days from the compliance date for an
existing source, and 180 days of start-up of a new system.
We have removed the requirement to cover all process tanks with a
lid or cover. Instead, only process vessels that contain benzene or
methylene chloride will be required to be covered. In addition, we have
added a provision to allow operators to open any vessel only to the
extent necessary for quality control testing and product sampling,
addition of materials, or product removal.
C. Reporting and Recordkeeping Requirements
We have revised Sec. 63.11603, ``What are my notification,
reporting, and recordkeeping requirements?'' of this final rule to
revise the submittal dates for the Initial Notification of
Applicability and Notification of Compliance Status reports. We have
extended the initial notification of applicability from 120 days after
publication of the final rule in the Federal Register to 180 days after
publication of the final rule in the Federal Register.
D. Definitions
We have made several changes to the final rule definitions in Sec.
63.11607, ``What definitions apply to this subpart?'', and have added
definitions for other terms used in this final rule. We added
definitions for construction, dry particulate control device,
responsible official, and wet particulate control device. We have
revised the definition of paints and allied products, paints and allied
products manufacturing, and paints and allied products manufacturing
process.
E. Other
We corrected several typographical errors that appeared in various
sections of the proposed rule.
IV. Summary of Final Standards
A. Do these standards apply to my source?
This final rule (subpart CCCCCCC) applies to new or existing paints
and allied products manufacturing operations which are area sources of
one of the target hazardous air pollutants (HAP) and that process, use,
or generate materials containing one or more of the following target
HAP: Benzene, methylene chloride, and compounds of cadmium, chromium,
lead, and nickel. ``Material containing HAP'' is defined in the
regulations as any material that contains benzene, methylene chloride,
or compounds of cadmium, chromium, lead, or nickel, in amounts greater
than or equal to 0.1 percent by weight, as shown by the manufacturer or
supplier, such as in the Material Safety Data Sheet (MSDS) for the
material.
In the proposed rule, we proposed that the affected source include
the entire facility if the facility processes, uses, or generates any
of the target HAP. Specifically, under the proposed rule, if the
facility processes, uses, or generates any of the target HAP, then they
would be required to control all HAP that is processed, used, or
generated at the facility. In response to comments, we
[[Page 63507]]
have revised the final rule to define the affected source as only those
processes that process, use, or generate the target HAP. In the
proposed rule, we proposed that the affected source include the entire
facility if the facility emitted any of the target HAP. Specifically,
under the proposal, all paints and allied products manufacturing
processes at the facility would be subject to the standards if any
emissions source at the facility emitted one of the target HAP. In
response to comments, we narrowed the scope of applicability of this
final rule, and we made several changes to clarify the applicability
provisions. The most significant change is that only those process
units that emit one or more of the target HAP are subject to the rule.
The final rule further specifies that each process vessel that emits
one of the target HAP is subject only to requirements that apply to the
same type of target HAP that triggered applicability, not requirements
for all types of HAP. For example, a process vessel that uses only one
or more target metal HAP (i.e., compounds of cadmium, chromium, lead,
or nickel) is required to control all CAA section 112(b) metal HAP.
Similarly, a process vessel that uses only target volatile HAP (i.e.,
benzene or methylene chloride) is required to control all CAA section
112(b) volatile HAP.
Paints and allied products manufacturing operations include the
production of paints, inks, adhesives, stains, varnishes, shellacs,
putties, sealers, caulks, and other coatings from raw materials, the
intended use of which is to leave a dried film of solid material on a
substrate. Typically, the manufacturing industries that produce these
materials are described by SIC codes 285 or 289 and NAICS codes 3255
and 3259 and are produced by physical means, such as blending and
mixing, as opposed to chemical synthesis means, such as reactions and
distillation. Paints and allied products manufacturing does not
include: (1) The manufacture of products that do not leave a dried film
of solid material on the substrate, such as thinners, paint removers,
brush cleaners, and mold release agents; (2) the manufacture of
electroplated and electroless metal films; (3) the manufacture of raw
materials, such as resins, pigments, and solvents used in the
production of paints and coatings; and (4) activities by end users of
paints or allied products to ready those materials for application.
Quality assurance and quality control laboratories are not considered
part of a paints and allied products manufacturing process, as they
were not part of the listed paints and allied products source category.
Additionally, the standards do not apply to research and development
facilities, as defined in section 112(c)(7) of the CAA. Quality
assurance and quality control laboratories and research and development
facilities were inadvertently omitted from the proposal, but the final
rule corrects this omission.
If you have any questions regarding the applicability of this
action to a particular entity, consult either the air permit authority
for the entity or your EPA regional representative as listed in 40 CFR
63.13 of subpart A (General Provisions).
B. When must I comply with these standards?
All existing area source facilities subject to this rule are
required to comply with the rule requirements no later than December 3,
2012. New sources are required to comply with the rule requirements
upon December 3, 2009 or upon startup of the facility, whichever is
later.
C. What processes does this final rule address?
There are four general process operations common to the paints and
allied products manufacturing source categories that emit one or more
of the target HAP. These four process operations are: (1) Preassembly
and premix, (2) pigment grinding, milling, and dispersing, (3) product
finishing and blending, and (4) product filling and packaging.
For premix and assembly, the final rule addresses the target HAP
emissions that are generated during the addition of pigments and other
solid materials to the process or mixing vessels. The preassembly and
premix step involves the collection of raw materials that will be used
to produce the desired coating product. These materials are added to a
high speed dispersion or mixing vessel. The types of raw materials that
are used for solvent-based coatings include resins, organic solvents,
plasticizers, dry pigment, and pigment extenders; water, ammonia,
dispersant, pigment, and pigment extenders are used for water-based
coatings.
The final rule addresses HAP emissions from pigment grinding,
milling, and dispersing. Pigment grinding or milling entails the
incorporation of the pigment into the paint or ink vehicle to yield
fine particle dispersion. The three stages of this process include
wetting, grinding, and dispersion, which may overlap in any grinding
operation. The wetting agent, normally a surfactant, wets the pigment
particles by displacing air, moisture, and gases that are adsorbed on
the surface of the pigment particles. Grinding is the mechanical
breakup and separation of pigment clusters into isolated particles and
may be facilitated by the use of grinding media such as pebbles, balls,
or beads. Finally, dispersion is the movement of wetted particles into
the body of the liquid vehicle to produce a particle suspension.
For product finishing and blending, the final rule addresses the
HAP emissions that occur during heat-up losses during operation of the
mixers; surface evaporation during mixing and blending; and the
addition of pigments and other solid materials to the process or mixing
vessels.
For product filling and packaging, the final rule addresses HAP
emissions from the addition of small amounts of pigments, solids, or
liquids to achieve the required color or consistency of the final
product.
D. What are the emissions control requirements?
The following is a description of the control requirements for the
paints and allied products manufacturing process described in section
IV.C above. The control requirements only apply when an operation is
being performed at a process vessel that uses materials containing HAP.
As stated earlier, the regulations define ``materials containing HAP''
as a material containing benzene, methylene chloride, or compounds of
cadmium, chromium, lead, and/or nickel, in amounts greater than or
equal to 0.1 percent by weight, as shown in formulation data provided
by the manufacturer or supplier for the material, such as the Material
Safety Data Sheet.\4\ For example, an area source may have two process
vessels, one containing tetrachloroethylene (which is not one of the
target HAP) and the other containing methylene chloride, and, under
this rule, only the process vessel containing methylene
[[Page 63508]]
chloride (one of the target volatile HAP) would be part of the affected
source and as such, subject to the process vessel standards.
---------------------------------------------------------------------------
\4\ The CAA section 112(k) inventory was primarily based on the
1990 Toxics Release Inventory (TRI), and that is the case for the
paints and allied products manufacturing area source category as
well. The reporting requirements for the TRI do not include de
minimis concentrations of toxic chemicals in mixtures, as reflected
in the above concentration levels; therefore, the CAA section 112(k)
inventory would not have included emissions from operations
involving chemicals below these concentration levels. See 40 CFR
372.38, Toxic Chemical Release Reporting: Community Right-To-Know
(Reporting Requirements). Accordingly, the scope of the listed
source category is limited to facilities using materials containing
one or more of the target HAP in quantities greater than 0.1
percent.
---------------------------------------------------------------------------
1. Standards for Metal HAP Emissions
This final rule requires owners or operators of all existing and
new affected facilities to operate a particulate control device during
the addition of pigments and other solids that contain compounds of
cadmium, chromium, nickel, or lead, and during the grinding and milling
of pigments and solids that contain compounds of cadmium, chromium,
nickel, or lead.
Particulate control devices that vent to the atmosphere must be
maintained such that visible emissions from the particulate control
device shall not exceed 10 percent opacity when averaged over a six-
minute period. Affected sources using particulate control devices that
do not vent to the atmosphere are not subject to the requirements of
this rule, as there are no emissions to the atmosphere.
2. Standards for Volatile HAP Emissions
This final rule requires new and existing affected sources to equip
process and storage vessels that store or process materials containing
benzene or methylene chloride with covers or lids. The covers or lids
can be of solid or flexible construction, provided they do not warp or
move around during the manufacturing process. The covers or lids must
maintain contact along at least 90 percent of the vessel rim and must
be maintained in good condition. Mixing vessels that process or store
materials containing one or more of the target volatile HAP must be
equipped with covers that completely cover the vessel, except for safe
clearance of the mixer shaft. All vessels that store or process
materials containing benzene or methylene chloride must be kept covered
at all times, except for quality control testing and product sampling,
addition of materials, material removal, or when the vessel is empty.
The final rule requires that leaks and spills of materials
containing benzene or methylene chloride must be minimized and cleaned
up as soon as practicable, but no longer than 1 hour from the time of
detection. Rags or other materials that use a solvent containing
benzene or methylene chloride for cleaning must be kept in a closed
container. The closed container may contain a device that allows
pressure relief but does not allow liquid solvent to drain from the
container.
E. What are the initial compliance requirements?
To demonstrate initial compliance with this final rule, owners or
operators of affected new or existing sources must certify that they
have implemented all required control technologies and management
practices and that all equipment associated with the processes will be
properly operated and maintained. In addition, a visual emission test
using EPA Method 203C is required to be performed on the particulate
control device on or before the compliance date.
F. What are the continuous compliance requirements?
This rule requires owners and operators of affected facilities to
inspect the particulate control device annually to check the structural
integrity of the particulate control device, and to perform a visual
emission test using EPA Method 22 on the particulate control device
every 3 months. If visible emissions are observed for two minutes of
the required 5 minute Method 22 observation period, a Method 203C (40
CFR part 51, appendix M) test must be conducted within 15 days of the
time when visible emissions were observed. If the Method 203C test
indicates an opacity greater than 10 percent, you must take corrective
action and retest using Method 203C within 15 days. The owner/operator
will continue to take corrective action and retest each 15 days until a
Method 203C test indicates an opacity equal to or less than 10 percent.
Failure to meet the 10 percent opacity standard is a deviation and must
be reported in your annual compliance report along with the corrective
actions taken.
G. What are the notification, recordkeeping, and reporting
requirements?
New and existing affected sources are required to comply with
certain requirements of the General Provisions (40 CFR part 63, subpart
A). Each new source is required to submit an Initial Notification no
later than 180 days after initial startup of the operations or June 1,
2010, whichever is later. Existing affected sources must submit the
Initial Notification no later than June 1, 2010. Notification of
Compliance Status reports are required to be submitted according to the
requirements in 40 CFR 63.9 in the General Provisions no later than
June 3, 2013 for existing sources, or no later than 180 days after
initial startup, or by June 1, 2010, whichever is later for new
sources.
The affected source is required to prepare an annual compliance
certification report. The annual compliance certification report
contains the company name and address, a statement signed by a
responsible official that certifies the truth, accuracy, and
completeness of the certification report, and a statement of whether
the source has complied with all of the relevant standards and other
requirements of this rule. If there are any deviations from the
requirements of this subpart, the facility must submit this annual
compliance certification report with any deviation reports prepared
during the year. The deviation reports must describe the circumstance
of the deviation and the corrective action taken.
Facilities are also required to maintain all records that
demonstrate initial and continuous compliance with this final rule,
including records of all required notifications and reports, with
supporting documentation; and records showing compliance with
management practices. Owners and operators must also maintain records
of the following, if applicable: Date and results of the particulate
control device inspections; date and results of all visual
determinations of visible emissions, including any follow-up tests and
corrective actions taken; and date and results of all visual
determinations of emissions opacity, and corrective actions taken.
V. Summary of Comments and Responses
We received a total of 27 comments on the proposed NESHAP from
industry representatives, trade associations, Federal and State
agencies, and the general public during the public comment period.
Sections V.A through V.F of this preamble provide responses to the
significant public comments received on the proposed NESHAP.
A. Applicability
1. General Applicability
Comment: Several commenters believe that the proposed rule subjects
all retail and commercial paints and allied products operations that
add and mix pigments to pre-manufactured products per customer
specifications to the requirements in this rule. The commenters believe
that this was not the intent of the rule, as demonstrated by the
discussion of the affected number of sources, and economic impacts of
the rule. The commenters suggest that EPA revise its definitions of
``paints and allied products,'' ``paints and allied products
manufacturing,'' and ``paints
[[Page 63509]]
and allied products manufacturing process'' to exclude operations that
only add and mix small amounts of pigment per container of pre-
manufactured paint or allied products for commercial or retail purchase
per customer specification.
One commenter suggests that EPA refer to the language used in the
major source miscellaneous coatings manufacturing rule (40 CFR part 63,
subpart HHHHH), which clarified its intent to regulate the coatings
manufacturers, not activities by end users to prepare or modify
coatings in preparation for application.
Another commenter requests that the definitions clarify that the
rule does not apply to raw material production, as some larger area
source facilities will be co-located with such operations.
Response: In response to comments, we re-examined the record
supporting the initial listing of the Paints and Allied Products
Manufacturing source category. Based on our review of the record
supporting that listing, we agree with the commenters that the source
category that was listed did not include retail and commercial paints
and allied products operations which add and mix pigments to pre-
manufactured products per customer specifications. EPA's intent in the
proposed rule was not to include the activities of end users, which
include retail and commercial paints and allied products operations
which add and mix pigments to pre-manufactured products per customer
specifications, and we recognize that the definitions used in the
proposal were confusing in this regard. In light of the scope of the
listed source category and the confusion that resulted from some of the
definitions in the proposed rule, we have revised the definitions of
``paints and allied products,'' ``paints and allied products
manufacturing,'' and ``paints and allied products manufacturing
process'' to exclude operations that add and mix pigments to pre-
manufactured products and to clarify that only facilities that
manufacture paints and allied products from raw materials, as described
under NAICS 325510, 325520, 325910 and selected sectors under 325998,
are covered by this rule. The revised definitions follow:
Paints and Allied Products Manufacturing means the production of
paints, inks, adhesives, stains, varnishes, shellacs, putties, sealers,
caulks, and other coatings from raw materials, the intended use of
which is to leave a dried film of solid material on a substrate.
Typically, the manufacturing processes that produce these materials are
described by Standard Industry Classification (SIC) codes 285 or 289
and North American Industry Classification System (NAICS) codes 3255
and 3259 and are produced by physical means, such as blending and
mixing, as opposed to chemical synthesis means, such as reactions and
distillation. Paints and allied products manufacturing does not
include:
(1) The manufacture of products that do not leave a dried film of
solid material on the substrate, such as thinners, paint removers,
brush cleaners, and mold release agents;
(2) The manufacture of electroplated and electroless metal films;
(3) The manufacture of raw materials, such as resins, pigments, and
solvents used in the production of paints and coatings; and
(4) Activities by end users of paints or allied products to ready
those materials for application.
Paints and Allied Products Manufacturing Process means all the
equipment which collectively functions to produce paints and allied
products from raw materials A process may consist of one or more unit
operations. For the purposes of this subpart, the manufacturing process
includes any, all, or a combination of, weighing, blending, mixing,
grinding, tinting, dilution, or other formulation. Cleaning operations,
material storage and transfer, and piping are considered part of the
manufacturing process. It does not cover activities by end users of
paints or allied products to ready those materials for application.
Quality assurance and quality control laboratories are not considered
part of a paints and allied products manufacturing process.
In terms of the breadth of the rule's applicability, some
manufacturing facilities may have co-located or affiliated operations
which meet the definition of paints and allied products manufacturing,
and to which this rule does apply.
2. Applicability Based on HAP Used/Emitted
Comment: Commenters note that the proposed rule would apply to
paint and allied products manufacturing area sources that process, use,
or generate one or more of the six target HAP: benzene, methylene
chloride, cadmium compounds, chromium compounds, lead compounds, and
nickel compounds. Commenters also note that these HAP are referred to
as the ``target HAP'' for this regulation. Commenters further state
that, under the proposed rule, once a facility is determined to be
subject to the rule, the emission limitations and management practices
then would apply to all processes at all times, regardless of whether
any target HAP (or any HAP) was being processed, used, generated, or
emitted. Commenters request that EPA limit applicability of the rule to
those times when a process vessel is actually processing, using,
generating, or emitting one or more of the target HAP.
One commenter supports EPA's decision to apply the standard to all
HAP. The commenter notes that EPA has the discretion under Sec. 112(d)
of the Clean Air Act to issue standards for areas sources ``to reduce
emissions of hazardous air pollutants,'' and EPA's discretion is not
limited to only regulating only the target HAP in the area source
program.
Several commenters request that EPA limit the rulemaking's
applicability to those operations at a facility that are actually
utilizing one of the target HAP. The commenters believe that EPA should
revise the applicability language to make it clear that the rule only
applies to processes with target HAP emissions at an affected source,
as opposed to any operation at an affected source, regardless of
whether or not the process involves one or more of the target HAP. One
of the commenters notes that this approach is used in the Area Source
Standards for Paint Stripping and Miscellaneous Surface Coating
Operations and the Area Source Standards for Nine Metal Fabrication and
Finishing Source Categories. Several of the commenters state that the
intent of the area source regulations was to regulate the 30 Urban Air
toxics, and EPA is significantly increasing the burden on industry,
especially small businesses, by expanding the rule beyond the target
HAP, without commensurate environmental benefit. One of the commenters
requests that only the presence of one or more of the target metal HAP
should trigger the requirements for other metal HAP, and that only the
presence of benzene or methylene chloride should trigger the
requirements for other volatile HAP emissions.
Response: Like the proposed rule, the final rule applies to any
facility that performs paints and allied products manufacturing that is
an area source of HAP emissions and processes, uses, or generates
materials containing one or more of the target HAP: Benzene, methylene
chloride, and compounds of cadmium, chromium, lead, and nickel.
To develop the emissions standards in today's rule, we identified
the emission points that emit the target HAP and determined GACT for
those emission sources. The proposed regulatory text required that
these GACT requirements apply at all times, whether any of the target
HAP was or was not being used.
[[Page 63510]]
However, the preamble to the proposed rule (74 FR 26147) stated that
the requirements of the rule would apply when any operation is being
performed that processes, uses, or generates any HAP. EPA intended to
propose regulatory text that required that the rule's requirements
apply when any operation is being performed that processes, uses, or
generates any of the target HAP. The regulatory text in the final rule
has been revised accordingly to state that the control requirements
only apply when the facility is processing, using, or generating any of
the target HAP.
The commenters requested that the GACT requirements only apply when
the target HAP are being processed, used, or generated. They did not
claim that EPA lacks the authority under Sec. 112(d) of the Clean Air
Act to regulate HAP other than the target HAP, but rather based their
arguments on claims of potential burdens of expanding the rule beyond
the target HAP. However, these commenters did not provide specific
information regarding the potential additional burden to support these
assertions. We believe there may be a minimal increase in the burden
associated with controlling emissions in the instances when a non-
target HAP is being used (without a target HAP also being present).
Facilities that process, use, or generate one or more of the target HAP
must have the required controls in place, and these same controls will
control other metal and/or volatile HAP.
We did make changes in the final rule to clarify our original
intent that the requirements apply only when a target HAP is processed,
used, or generated. We also further refined this to specify that the
requirement to keep process and storage vessels covered only applies
when the vessel contains target volatile HAP.
Comment: Several commenters suggested that EPA include an
applicability exemption for process tanks under a prescribed size. The
commenters recommend an exemption for process tanks smaller than 250
gallons, both for consistency with the Miscellaneous Coatings
Manufacturing Maximum Achievable Control Technology (MACT) rulemaking
and to limit burden. One commenter stated that it is more difficult to
install particulate controls on high dispersion process tanks that are
less than 250 gallons and install covers on process tanks less than 250
gallons. In addition, if the 250 gallon threshold is not included,
every ``process tank'' would need to be covered, including very small
containers like 5 gallon containers and 55 gallons drums.
Another commenter noted that EPA has already determined in other
Part 63 NESHAP regulations (such as the HON in subpart G container
definition at Sec. 63.111) and the RCRA Hazardous Waste Subpart CC
regulations at 40 CFR 264/265.1080(b)(2) that containers of a capacity
less than or equal to 0.1 cubic meters (m[sup3]) produce insignificant
emissions and thus are exempted from the regulations. Additionally, the
commenter stated that the HAP mandated to be regulated should be
specifically listed in order to avoid any confusion.
Response: From the permit information we obtained for the
rulemaking, we found that 8 out of 30 facilities are required to cover
storage tanks or process vessels that contain VOC or organic solvents
to prevent vaporization of VOCs. In a separate study, the Washington
State Department of Ecology found that the 18 facilities that they
visited or surveyed used lids or covers on all vessels.\5\ The survey
also stated that the use of covers or lids is considered to be a
standard practice by the paint manufacturing industry. Industry
representatives also provided estimates that around 90-95 percent of
facilities use covers on their process and storage tanks to prevent
product loss; these data do not provide any information on tank size.
---------------------------------------------------------------------------
\5\ Paint and Coatings Manufacturing Sector, Pollution
Prevention Assessment and Guidance, Washington State Department of
Ecology, Hazardous Waste and Toxics Reduction Program, Publication
98-410, Revised November 2002.
---------------------------------------------------------------------------
None of the information that we found limited the use of lids or
covers to the size of the tank. Therefore, we believe it is appropriate
to require the use of lids or covers on all process and storage tanks
that contain one or more of the target HAP, regardless of the size of
the tank. The commenters did not provide any information to explain why
covering a process tank of less than 250 gallons is burdensome. The
commenters also provided no information to support adopting different
requirements for smaller process tanks, nor do they provide any
information explaining that process tank covers for the smaller tanks
are not generally available control technology. The volatile HAP to be
controlled are listed at Sec. 63.11599(3).
3. Pollution Prevention Alternative Exemption
Comment: The commenters stated that a facility should be able to
``opt out'' of this rule in the future if the facility eliminates the
processing, use, production or generation of the target HAP; otherwise,
there is no incentive for coatings manufacturers or their raw material
suppliers to move away from these HAP. Additionally, several commenters
stated that facilities that do reformulate or cease producing a certain
product that subjected them to the rulemaking in the first place will
be mandated to continue to operate costly and energy-consuming control
equipment (e.g., particulate controls) for no environmental benefit.
The facility's continued recordkeeping and reporting would be
additional cost and burden.
One commenter believes that EPA's 1995 ``once in/always in'' policy
applies to major sources subject to MACT standards and would not apply
to this area source regulation. The commenter requested that EPA
officially confirm that this policy does not apply to this final
rulemaking and/or facilities that no longer use the target HAP after
the date of implementation have the ability to opt-out of the rule.
Response: The comment concerning the ``once in/always in'' policy
is not relevant to this rule. The regulated entities subject to this
rule include the owner/operator of a facility that performs paints and
allied products manufacturing is an area source of HAP emissions and
processes, uses, or generates materials containing the following target
HAP: Benzene, methylene chloride, and compounds of cadmium, chromium,
lead, or nickel. If a facility that was covered under the rule
discontinues processing, using, or generating the target HAP through
pollution prevention practices or otherwise, then that facility is no
longer covered by the rule. However, should the same facility reinstate
processing, using or generating the target HAP, it would once again be
subject to the requirements of this rule, including notification,
recordkeeping, and reporting. Additionally, terminating use of the
target HAP would require submittal of a report pursuant to Sec.
63.9(j) and also require maintenance of the record as required by Sec.
63.1(b)(3).
B. Compliance/Implementation Dates
Comment: Two commenters state that Sec. 63.11603(a)(1) requires
existing sources to notify EPA within 60 days of publication of the
final rule, and for new sources within 60 days of startup. The
commenters state that the notification of Compliance Status found in
Sec. 63.11603(a)(2) requires that all sources report on their
compliance status within 120 days of their respective compliance date.
The commenters recommended that the deadlines be changed to 180 days in
all cases, to provide time for small sources to comply and to be
consistent with other similar Federal rules.
[[Page 63511]]
Response: We agree with the commenters that because most of the
affected facilities are small businesses, and some might be complying
with EPA regulations for the first time, they should be provided
additional time to comply with the requirements. Per the General
Provisions, we have pushed back the initial notification date to 120
days from the date of publication of the final rule. The compliance
date is 180 days from the date of publication of the final rule.
C. De Minimis Thresholds and Subcategorization
1. De Minimis Thresholds
Comment: Several commenters suggest that EPA exempt small paints
and allied products manufacturing facilities from the final regulation.
The commenters propose using a de minimis level of 100 lbs/year of one
or more of the target HAP. The commenters claim that sources with lower
emissions levels were not included in the 1990 baseline emissions
inventory. Another commenter suggests a mass-based de minimis level of
2.0 Megagrams (2.2 tons per year) for target HAP that are processed,
used, produced, or generated. Alternatively, commenters suggested
subcategorization of the source category into ``small emission'' and
``large emission'' facilities based on a 100 lb/year HAP actual
emission threshold, and then exempting the small emission subcategory
from all requirements.
The commenters claim that EPA has provided de minimis exemptions in
previous area source rules, including Clay Ceramics, Glass
Manufacturing, and the Benzene NESHAP for Waste Operations. One
commenter states that precedence for a de minimis threshold (beyond the
Occupational Safety and Health Administration (OSHA) de minimis
threshold) is established in earlier NESHAP rulemakings, where EPA
determined that the use of coatings containing urban air toxics below
certain thresholds do not negatively impact human health and the
environment. Specifically, the commenter notes that in the Clay
Manufacturing Area Source Rule, EPA included an applicability de
minimis based on the argument that emissions from facilities with
annual production of less than 50 tons/year were not included in the
1990 baseline emissions inventory that was used in the basis for the
area source category listing. The commenter states that only those
above the 50 ton/year threshold were in the basis for listing, so only
those facilities are covered by the rule. The commenter believes the
same is true for the paints and allied products manufacturing rule.
Other commenters stated that state rules for paints and allied products
manufacturing contain de minimis thresholds that exclude lower volume
production facilities, waterborne production facilities, and small
process tanks. The commenters state that since EPA can look to state
regulations as part of the GACT analysis, EPA has the authority to
adopt a 100 lb/year emission de minimis threshold. Several commenters
believe that without a de minimis emission threshold, a facility that
relies on a supplier MSDS may find itself out of compliance if, for
example, a supplier reports a new trace metal constituent on the MSDS.
The commenters note that the metals of concern are often contaminants
in purchased raw materials. The commenters note that if the supplier's
raw material source changes and the supplier's analysis begins to show
higher traces of a metal, a manufacturer would be out of compliance
upon receiving this new MSDS, even though no reportable emissions of
the metal have occurred.
Response: EPA does not believe it is appropriate to establish a de
minimis threshold exempting sources emitting less than 100 lb/year of
the target HAP, or sources processing, using, or producing less than
2.0 Megagrams (2.2 tons per year) of the target HAP from the final
regulations. Section 112(c)(3) requires that EPA list categories or
subcategories of area sources sufficient to ensure that area sources
representing 90 percent of the area source emissions of the 30 HAP that
present the greatest threat to public health in the largest number of
urban areas are regulated. EPA listed the Paints and Allied Products
Manufacturing area source category in 2002 as one of the categories
needed to ensure that 90 percent of such area source emissions are
regulated. The listed source category included sources emitting less
than 100 lbs/year of the target HAP for the Paints and Allied Products
Manufacturing source category. Therefore, were EPA to exempt those
sources from regulation, the statutory requirement to regulate area
sources representing 90 percent of area source emissions of the urban
HAP would not be met. For this reason, EPA does not believe a de
minimis exemption would be appropriate. The rules commenters cite where
de minimis thresholds were established were issued under section
112(d)(2) for major sources (i.e., MACT standards), not for area
sources under section 112(d)(5). Therefore, those major source
categories were not part of the list of source categories established
to meet EPA's obligation under section 112(c)(3). Further, commenters'
claims that EPA established de minimis exemptions in several area
source rules are incorrect. In these rules, after examining the record
on which the initial listing was based, EPA clarified the scope of the
listed source category. Contrary to commenters' assertion, EPA did not
create any exemptions in those rules. For example, in the case of Clay
Ceramics, EPA stated:
``With this action, we are also clarifying that artisan potters,
small ceramics studios, noncommercial entities, and schools and
universities with ceramic arts programs, which typically have annual
production rates of 45 Mg/yr (50 tpy) or less, are not a part of the
source category listed pursuant to section 112(c)(3) and (k)(3)(B),
and are, therefore, not covered by this area source standard. Urban
HAP emissions from these facilities were not included in the 1990
baseline emissions inventory that was used as the basis for the area
source category listing.''
EPA set standards in each of the area source rules cited above for all
sources that were part of the listed source category to meet the
statutory obligation in section 112(d)(3) to regulate sources
representing 90 percent of area source emissions of the urban HAP. EPA
also notes that the commenter's reference to state law requirements is
irrelevant. EPA is required to establish area source standards pursuant
to the requirements of section 112(d), and cannot create exemptions to
those standards based on state law requirements.
Finally, commenters are concerned that without a de minimis
emission threshold, a facility that relies on a MSDS may find itself
out of compliance if a raw material source changes and the supplier's
analysis begins to show higher traces of a metal, and those higher
levels are not reflected on the MSDS. The CAA section 112(k) inventory
was primarily based on the 1990 Toxics Release Inventory (TRI), and
that is the case for the paints and allied products manufacturing area
source category as well. The reporting requirements for the TRI do not
require reporting of de minimis concentrations of toxic chemicals in
mixtures, as reflected in the above concentration levels; therefore,
the CAA section 112(k) inventory would not have included emissions from
operations involving chemicals below these concentration levels. See 40
CFR 372.38, Toxic Chemical Release Reporting: Community Right-To-Know
(Reporting Requirements). Accordingly, the scope of the listed source
category is limited
[[Page 63512]]
to facilities using materials containing one or more of the target HAP
in quantities greater than 0.1 percent.
In addition, EPA believes the regulations as proposed adequately
address the commenters' concern regarding reliance on the MSDS. For
facilities that rely on a supplier MSDS, the manufacturer would only be
out of compliance if the materials containing one or more of the target
HAP greater than 0.1 percent are used in the process, without the
required controls in place. Therefore, a manufacturer would be required
to submit the appropriate forms if the manufacturer intends to use the
material containing HAP greater than 0.1 percent by weight in the
manufacturing process. Commenters provide no evidence to indicate that
MSDS from suppliers will be inaccurate and will result in noncompliance
with the regulation.
2. Subcategorization
Comment: One commenter states that the legal basis for EPA's
subcategorization of the Paints and Allied Products Manufacturing area
source category into large and small facilities is well established.
The commenter asserts that section 112(d)(1) of the Clean Air Act
provides that EPA ``may distinguish among classes, types, and sizes
within a source category or subcategory in establishing such
standards.'' 42 U.S.C. 7412(d)(1). The commenter also notes that the
Clean Air Act supports an EPA determination that work practice
standards and general management practices constitute GACT for small
Paints and Allied Products Manufacturing sources.
According to the commenter, a review of the commenter's internal
data show significant differences between larger and smaller facilities
based on production levels, matching EPA estimates that the metal HAP
emissions for a typical ``small emission'' area source facility are
only about 10 percent of the level of emissions for a typical ``large
emission'' area source facility.
The commenter states that in the area source rule for Chemical
Manufacturing, EPA evaluated impacts for two groupings or subcategories
for metal HAP and considered a threshold because of an observed
difference in operation depending on the emission rate. The commenter
further notes that EPA realized that there was a difference between
facilities with higher HAP emissions that manufactured products
containing HAP as an intended part of the product, and a majority of
facilities with low emissions where the HAP originated from impurities
in raw materials. The commenter believes there is a similar observed
difference in operations depending on the emission rate for the paints
and allied products manufacturing industry as well. The commenter
states that facilities with actual emissions of paints and allied
products manufacturing metal HAP (cadmium, chromium, nickel and lead)
above 100 lb/yr produce products that contain the HAP as an intended
part of the product. The commenter also asserts that EPA has the
discretion to create subcategories of area sources, and that EPA should
do so in the paints and allied products manufacturing rule based on
cost considerations, as well as differing industry practices and
processes.
The commenter claims that two of the management practices EPA
proposed to identify as GACT are used frequently: (1) Sweeping/
cleaning, and (2) purchasing only materials that are free (to the
greatest extent possible) of HAP metals. Of the particulate matter (PM)
control technologies EPA proposed as GACT, the commenter claims that
large paints and allied products manufacturing facilities frequently
use baghouses to reduce PM/HAP emissions, while smaller (less than 100
lb/year emission) facilities most often do not. The commenter also