Public Availability of Identities of Inert Ingredients in Pesticides, 68215-68223 [E9-30408]
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Federal Register / Vol. 74, No. 245 / Wednesday, December 23, 2009 / Proposed Rules
Sections 112(e) and 114 of the Copyright
Act. Id. at 762, 767. By order dated
October 23, 2009, the Judges established
a period commencing November 2,
2009, and concluding on December 2,
2009, for the parties to negotiate and
submit a settlement of the minimum fee
issue that was the subject of the remand.
On December 2, 2009, SoundExchange,
Inc. and the Digital Media Association
(‘‘DiMA’’) submitted a settlement
regarding the statutory minimum fee to
be paid by Commercial Webcasters.1
Having received such a settlement, the
Judges now publish for comment the
proposed change in the rule that is
necessary to implement that settlement
pursuant to order of remand from the
United States Court of Appeals for the
District of Columbia Circuit.
List of Subjects in 37 CFR Part 380
Copyright, Sound recordings.
Proposed Regulations
For the reasons set forth in the
preamble, the Copyright Royalty Judges
propose to amend part 380 of title 37 of
the Code of Federal Regulations as
follows:
PART 380—RATES AND TERMS FOR
CERTAIN ELIGIBLE
NONSUBSCRIPTION TRANSMISSIONS,
NEW SUBSCRIPTION SERVICES AND
THE MAKING OF EPHEMERAL
REPRODUCTIONS
1. The authority citation for part 380
continues to read as follows:
Authority: 17 U.S.C. 112(e), 114(f),
804(b)(3).
2. Section 380.3 is amended by
revising paragraph (b) to read as follows:
§ 380.3 Royalty fees for the public
performance of sound recordings and for
ephemeral recording.
*
*
*
*
*
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1 Since
the settlement does not include
Noncommercial Webcasters, the Judges, on remand
of the DC Circuit, will determine the minimum fee
for Noncommercial Webcasters pursuant to the
October 23, 2009, order. See Order Regarding
Conduct and Scheduling of the Remand
Proceeding, Docket No. 2005–1 CRB DTRA (October
23, 2009); see also Order Denying in Part and
Granting in Part Joint Motion to Modify Scheduling
Order, Docket No. 2005–1 CRB DTRA December 23,
2009. The Judges note that the proposed change is
to § 380.3(b), which currently addresses the
minimum fee for Commercial and Noncommercial
Webcasters in a single paragraph. For sake of
clarity, the Judges have proposed a new
§ 380.3(b)(1), which sets forth the proposed
minimum fee for Commercial Webcasters per the
settlement between SoundExchange and DiMA and
a new § 380.3(b)(2), which sets forth the minimum
fee for Noncommercial Webcasters and retains the
language in the current § 380.3(b) except all
references to Commercial Webcasters have been
deleted.
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(b) Minimum fee—(1) Commercial
Webcasters. Each Commercial
Webcaster will pay an annual,
nonrefundable minimum fee of $500 for
each calendar year or part of a calendar
year of the period 2006–2010 during
which it is a Licensee pursuant to 17
U.S.C. 112(e) or 114. This annual
minimum fee is payable for each
individual channel and each individual
station maintained by Commercial
Webcasters, and is also payable for each
individual Side Channel maintained by
Broadcasters who are Commercial
Webcasters, provided that a Commercial
Webcaster shall not be required to pay
more than $50,000 per calendar year in
minimum fees in the aggregate (for 100
or more channels or stations). The
minimum fee payable under 17 U.S.C.
112 is deemed to be included within the
minimum fee payable under 17 U.S.C.
114. Upon payment of the minimum fee,
the Commercial Webcaster will receive
a credit in the amount of the minimum
fee against any royalty fees payable in
the same calendar year.
(2) Noncommercial Webcasters. Each
Noncommercial Webcaster will pay an
annual, nonrefundable minimum fee of
$500 for each calendar year or part of a
calendar year of the license period
during which they are Licensees
pursuant to licenses under 17 U.S.C.
114. This annual minimum fee is
payable for each individual channel and
each individual station maintained by
Noncommercial Webcasters and is also
payable for each individual Side
Channel maintained by Broadcasters
who are Licensees. The minimum fee
payable under 17 U.S.C. 112 is deemed
to be included within the minimum fee
payable under 17 U.S.C. 114. Upon
payment of the minimum fee, the
Licensee will receive a credit in the
amount of the minimum fee against any
additional royalty fees payable in the
same calendar year.
Dated: December 18, 2009.
James Scott Sledge,
Chief U.S. Copyright Royalty Judge.
[FR Doc. E9–30572 Filed 12–22–09; 8:45 am]
BILLING CODE 1410–72–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 156
[EPA–HQ–OPP–2009–0635; FRL–8803–3]
RIN 2070–AJ62
Public Availability of Identities of Inert
Ingredients in Pesticides
AGENCY: Environmental Protection
Agency (EPA).
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ACTION: Advance notice of proposed
rulemaking.
SUMMARY: In response to two petitions
seeking disclosure of selected inert
ingredients on pesticide labels, based on
hazard, EPA is initiating rulemaking to
increase public availability of the
identities of the inert ingredients in
pesticide products. This action would
assist consumers and users of pesticides
in making informed decisions and
reduce the presence of potentially
hazardous ingredients in pesticides.
DATES: Comments must be received on
or before February 22, 2010.
ADDRESSES: Submit your comments,
identified by docket identification (ID)
number EPA–HQ–OPP–2009–0635, by
one of the following methods:
• Federal eRulemaking Portal:
https://www.regulations.gov. Follow the
on-line instructions for submitting
comments.
• Mail: Office of Pesticide Programs
(OPP) Regulatory Public Docket (7502P),
Environmental Protection Agency, 1200
Pennsylvania Ave., NW., Washington,
DC 20460–0001.
• Delivery: OPP Regulatory Public
Docket (7502P), Environmental
Protection Agency, Rm. S–4400, One
Potomac Yard (South Bldg.), 2777 S.
Crystal Dr., Arlington, VA. Deliveries
are only accepted during the Docket
Facility’s normal hours of operation
(8:30 a.m. to 4 p.m., Monday through
Friday, excluding legal holidays).
Special arrangements should be made
for deliveries of boxed information. The
Docket Facility telephone number is
(703) 305–5805.
Instructions: Direct your comments to
docket ID number EPA–HQ–OPP–2009–
0635. EPA’s policy is that all comments
received will be included in the docket
without change and may be made
available on-line at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through regulations.gov or email. The regulations.gov website is an
‘‘anonymous access’’ system, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an e-mail comment directly
to EPA without going through
regulations.gov, your e-mail address
will be automatically captured and
included as part of the comment that is
placed in the docket and made available
on the Internet. If you submit an
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electronic comment, EPA recommends
that you include your name and other
contact information in the body of your
comment and with any disk or CD-ROM
you submit. If EPA cannot read your
comment due to technical difficulties
and cannot contact you for clarification,
EPA may not be able to consider your
comment. Electronic files should avoid
the use of special characters, any form
of encryption, and be free of any defects
or viruses.
Docket: All documents in the docket
are listed in the docket index available
at https://www.regulations.gov. Although
listed in the index, some information is
not publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
is not placed on the Internet and will be
publicly available only in hard copy
form. Publicly available docket
materials are available either in the
electronic docket at https://
www.regulations.gov, or, if only
available in hard copy, at the OPP
Regulatory Public Docket in Rm. S–
4400, One Potomac Yard (South Bldg.),
2777 S. Crystal Dr., Arlington, VA. The
hours of operation of this Docket
Facility are from 8:30 a.m. to 4 p.m.,
Monday through Friday, excluding legal
holidays. The Docket Facility telephone
number is (703) 305–5805.
FOR FURTHER INFORMATION CONTACT:
Kerry B. Leifer, Registration Division,
Office of Pesticide Programs,
Environmental Protection Agency, 1200
Pennsylvania Ave., NW., Washington,
DC 20460–0001; telephone number:
(703) 308–8811; fax number: (703) 605–
0781; e-mail address:
leifer.kerry@epa.gov.
SUPPLEMENTARY INFORMATION:
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I. General Information
A. Does this Action Apply to Me?
You may be potentially affected by
this action if you engage in activities
related to the registration of pesticide
products. Potentially affected entities
may include, but are not limited to,
engaging in the formulation and
preparation of agricultural and
household pest control chemicals or
pesticide and other agricultural
chemical manufacturing (NAICS) code
32532.
You may also be affected by this
action if you are a consumer or user of
pesticides, or if you are exposed to
pesticides.
This listing is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
affected by this action. Other types of
entities not listed in this unit could also
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be affected. The North American
Industrial Classification System
(NAICS) codes have been provided to
assist you and others in determining
whether this action might apply to
certain entities. If you have any
questions regarding the applicability of
this action to a particular entity, consult
the person listed under FOR FURTHER
INFORMATION CONTACT.
B. What Should I Consider as I Prepare
My Comments for EPA?
1. Submitting CBI. Do not submit this
information to EPA through
regulations.gov or e-mail. Clearly mark
the part or all of the information that
you claim to be CBI. For CBI
information in a disk or CD-ROM that
you mail to EPA, mark the outside of the
disk or CD-ROM as CBI and then
identify electronically within the disk or
CD-ROM the specific information that is
claimed as CBI. In addition to one
complete version of the comment that
includes information claimed as CBI, a
copy of the comment that does not
contain the information claimed as CBI
must be submitted for inclusion in the
public docket. Information so marked
will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
2. Tips for preparing your comments.
When submitting comments, remember
to:
i. Identify the document by docket ID
number and other identifying
information (subject heading, Federal
Register date and page number).
ii. Follow directions. The Agency may
ask you to respond to specific questions
or organize comments by referencing a
Code of Federal Regulations (CFR) part
or section number.
iii. Explain why you agree or disagree;
suggest alternatives and substitute
language for your requested changes.
iv. Describe any assumptions and
provide any technical information and/
or data that you used.
v. If you estimate potential costs or
burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced.
vi. Provide specific examples to
illustrate your concerns and suggest
alternatives.
vii. Explain your views as clearly as
possible, avoiding the use of profanity
or personal threats.
viii. Make sure to submit your
comments by the comment period
deadline identified.
II. Discussion
A. What Action is the Agency Taking?
EPA is seeking comment on options
for increasing the public availability of
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the identities of inert ingredients in
pesticides registered under the Federal
Insecticide, Fungicide, and Rodenticide
Act (FIFRA), 7 U.S.C. 136 et seq. This
action is in response to two petitions
filed in 2006 that identified a set of over
350 pesticide inert ingredients as
hazardous and requested that EPA act to
require that these inert ingredient
identities appear on the labels of
products that include these ingredients
in their formulations (Refs. 1 and 2).
On September 30, 2009, EPA partially
granted the petitions, committing to
initiate rulemaking to increase the
public availability of the identities of
inert ingredients (beginning with this
ANPR), but seeking comment on a range
of options to achieve this goal (Ref. 3.)
B. Background
1. Statutory background. In enacting
FIFRA, Congress chose to distinguish
between active and inert ingredients in
pesticides. Section 2(a)(1) defines
‘‘active ingredient’’ to include an
ingredient ‘‘which will prevent, destroy,
repel, or mitigate any pest.’’ Section
2(m) defines ‘‘inert ingredient’’ as an
ingredient which is ‘‘not active.’’
FIFRA does not directly regulate
active and inert ingredients per se.
Rather, by means of a registration
process, the statute regulates the sale,
distribution, use and labeling of the
pesticide products (often referred to in
shorthand as ‘‘pesticides’’) that contain
these ingredients. An applicant who
seeks to register a pesticide must
demonstrate that, among other things,
‘‘when used in accordance with
widespread and commonly recognized
practice it will not generally cause
unreasonable adverse effects on the
environment.’’ FIFRA section 3(c)(5)(D).
An applicant who seeks to register a
pesticide must also submit or cite test
and other data to demonstrate the safety
(and in some cases the efficacy) of the
pesticide. See FIFRA section 3(c)(1)(F)
and 40 CFR part 158. Among other
information, EPA requires a complete
description of the composition of a
pesticide formulation, including the
identity of each active ingredient,
intentionally added inert ingredient,
each impurity present in an amount
greater than 0.1% of the technical grade
material, and each other impurity of
toxicological significance.
In order to determine if a pesticide
product meets the unreasonable adverse
effects standard, EPA conducts risk
assessments for pesticide products in
accordance with guidelines developed
by the National Academy of Sciences
(NAS)/National Research Council
(NRC). The NRC risk assessment
guidelines consist of four general steps:
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Hazard identification, dose-response
assessment, exposure assessment, and
risk characterization. In the case of an
inert ingredient, information on its
hazard (the ability to cause adverse
health and/or environmental effects)
informs the risk assessment process but
by itself is not sufficient to determine
the risk (the likelihood that an adverse
health effect will result from exposure)
associated with a particular product.
Active ingredients must be identified
by name and percentage on the
pesticide’s ingredient statement, which
is a necessary component of the
pesticide product label under FIFRA
section 2(q)(2)(A). By contrast, only the
total percentage of all inert ingredients
in the pesticide must be contained on
the ingredient statement. FIFRA section
2(n)(1). There is no statutory
requirement that the names of all inert
ingredients be contained on the
ingredient statement.
Confidentiality of information
submitted under FIFRA is governed by
section 10 (with additional provisions
in sections 7 and 12). With certain
limited exceptions, FIFRA section 10(b)
bars EPA from disclosing information
‘‘which in the Administrator’s judgment
contains or relates to trade secrets or
commercial or financial information
obtained from a person and privileged
or confidential.’’
Among the exceptions to
confidentiality in section 10 is the
requirement in FIFRA section 10(d)(1)
to make safety and efficacy data
available to the public. Safety and
efficacy data constitute much of the
information provided to EPA to support
pesticide registration.
Though FIFRA section 10(d)(1) is
important to public understanding of
the risks and benefits of specific
pesticides, the provision is sometimes
misunderstood in its effect on the
confidentiality of inert ingredients.
Section 10(d)(1) excludes three
categories of information from the
mandatory disclosure requirement for
health and safety data:
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(A) manufacturing or quality control
processes, (B) methods for testing, detecting,
or measuring the quantity of inert
ingredients, and (C) the identity or
percentage quantity of inert ingredients.
The FIFRA section 10(d)(1)(C) exclusion
for inert ingredient information has
been taken by some to mean that any
disclosure of inert ingredients is
prohibited by statute, regardless of
whether the information meets the
confidentiality test in FIFRA section
10(b), but in fact the information must
meet the FIFRA section 10(b) standard
in order to be eligible for confidential
treatment. See Northwest Coalition for
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Alternatives to Pesticides (NCAP) v.
Browner, 941 F. Supp. 197, 201 (D.D.C.
1996).
FIFRA section 12(a)(2)(D) provides
authority for limited disclosures of
confidential information, such as to
medical professionals for evaluation and
treatment purposes.
2. EPA treatment of inert ingredient
identities. Even with the limitations on
confidentiality in section 10 of FIFRA,
EPA is required by its confidentiality
regulations at 40 CFR part 2, subpart B
to protect information claimed as
confidential until and unless the
Agency makes a final determination that
the information is not entitled to
confidentiality. Moreover, under certain
circumstances, if EPA possesses
information for which an affected
business might be expected to assert a
confidentiality claim if it knew EPA
proposed to disclose it, EPA must
contact the submitter regarding any
possible confidentiality claims prior to
public release of the information. See 40
CFR 2.204(c)(2); 2.201(d).
Inert ingredient identities are often
claimed as confidential by pesticide
applicants and registrants. In addition,
registrants often include in pesticide
formulations proprietary inert
ingredients or proprietary mixtures of
inert ingredients whose identities are
not disclosed to the registrants by the
manufacturers of these products. The
complete chemical identities of
proprietary inert ingredients and
proprietary mixtures of inert ingredients
are reported to EPA by the
manufacturers rather than by the
registrants, and EPA normally does not
disclose these identities to the
registrants.
Therefore the identities of inert
ingredients are often difficult for
pesticide users and other interested
persons to obtain. Pesticide registrants
may in certain circumstances be willing
to provide such information directly to
those who ask for it, and EPA, when
necessary, provides inert ingredient
information to medical professionals
treating persons in connection with
exposure to a pesticide in accordance
with FIFRA section 12(a)(2)(D), as
discussed previously. Nonetheless, the
identities of inert ingredients in
pesticides are not as a matter of course
available to consumers in the way that,
for example, cosmetic ingredients are
disclosed.
In some cases, however, EPA has
determined that in order to meet the
requirements of FIFRA certain inert
ingredient identities must be disclosed
on the labels of products in which they
are present. In 1975, EPA promulgated
40 CFR 156.10(g)(7), which provides
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that ‘‘[t]he Administrator may require
the name of any inert ingredient(s) to be
listed in the ingredient statement if he
determines that such ingredient(s) may
pose a hazard to man or the
environment.’’ When the provision was
promulgated (originally as 40 CFR
162.10(g)(7)), EPA discussed the
provision as implementing ‘‘the
Administrator’s basic obligation under
the amended FIFRA of determining the
risks which may be posed by a pesticide
and imposing the necessary regulatory
requirement to adequately control an
unreasonable risk. Depending on the
risk involved, the Administrator is
authorized by the amended FIFRA to:
(1) Deny registration or cancel an
existing registration, (2) classify the
pesticide for restricted use, or (3)
require specific label statements.’’ (40
FR 28252, July 3, 1975).
Additionally, in 1987, EPA published
a Federal Register notice (52 FR 13305,
April 22, 1987) announcing ‘‘certain
policies designed to reduce the potential
for adverse effects from the use of
pesticide products containing toxic inert
ingredients.’’ This notice announced,
among other things, that the identities of
‘‘inerts of toxicological concern,’’
otherwise known as List 1 inert
ingredients, would be required to be
listed on pesticide labels.
Approximately 50 ingredients were put
onto List 1, based on data demonstrating
‘‘carcinogenicity, adverse reproductive
effects, neurotoxicity or other chronic
effects, or developmental toxicity (birth
defects)’’ as well as ‘‘ecological effects
and the potential for bioaccumulation.’’
The notice also indicated that EPA
intended to require the registrants of
products containing List 1 ingredients to
generate additional data to support the
continued registration of the products.
After publication of the notice, most List
1 ingredients disappeared from
pesticide formulations. The notice
created additional categories of inert
ingredients, including List 2
ingredients, ‘‘which the Agency believes
are potentially toxic and should be
assessed for effects of concern. . . .Many
of these inert ingredients are
structurally similar to chemicals known
to be toxic; some have data suggesting
a basis for concern about the toxicity of
the chemical.’’
3. Petitions for disclosure of inert
ingredients. In August 2006, EPA
received two similar petitions, one from
a group of 22 non-governmental
organizations (NGOs) and the other from
the Attorneys General of 15 U.S. States
and territories. These petitions
identified inert ingredients that were
contained within the categories listed
later in this section, which the
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petitioners stated were indicators that
the inert ingredients met the standard
for 40 CFR 156.10(g)(7) and should
therefore be required to be listed on
pesticide labels. The NGO petition
argued, among other things, that
disclosing inert ingredients that may be
hazardous ‘‘is in the public interest by
supporting the public’s ability to make
informed consumer decisions, enabling
faster and more accurate medical
diagnoses after exposure to pesticides,
and providing an incentive for
manufacturers to use less toxic
ingredients.’’ Similarly, the state
petition stated that ‘‘EPA should require
that pesticide product labels disclose
the identity of all hazardous ingredients
used in the formulation of the product,
for whatever purpose they are used in
that product, in order to adequately
protect the public and fulfill the
purposes of FIFRA.’’
Following are the categories specified in
the petitions:
• Organic pesticide active
ingredients listed in 40 CFR part 455,
Table 1, in conjunction with section 304
of the Clean Water Act (CWA).
• Inert ingredients on List 2.
• Extremely Hazardous Substances Emergency Planning and Community
Right-to-Know Act (EPCRA) section
302(a).
• Chemicals on the Toxics Release
Inventory (TRI)--EPCRA section 313.
• Chemicals regulated under section
6 of the Toxic Substances Control Act.
• Listed and characteristic wastes
regulated under the Resource
Conservation and Recovery Act and
EPA regulations at 40 CFR part 261,
including F, P, and U wastes.
• Chemicals regulated under CWA
section 311: Discharges to navigable
waters or adjoining shorelines.
• Chemicals regulated under CWA
section 307: Pretreatment standards for
indirect dischargers whose waste water
passes through publicly owned
treatment plants.
• Chemicals regulated under Clean
Air Act (CAA) section 112: Hazardous
air pollutants.
• Chemicals regulated under CAA
section 112(r): Substances known to
cause death, injury, or serious adverse
effects to human health or the
environment.
• Chemicals regulated under CAA
section 202(a): Motor vehicle pollutants.
• Chemicals designated as hazardous
mixtures consistent with section 101(14)
of the Comprehensive Environmental
Response, Compensation, and Liability
Act (CERCLA).
• Chemicals designated under
CERCLA section 104(i)(2) as priority list
chemicals.
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• Chemicals subject to the
Occupational Safety and Health
Administration’s (OSHA) Occupational
Safety and Health Standards at 29 CFR
part 1910.
• Chemicals contained in the
American Conference of Governmental
Industrial Hygienists’ Threshold Limit
Values for Chemical Substances and
Physical Agents in the Work
Environment (see https://www.acgih.org/
TLV/PolicyStmt.htm).
On September 30, 2009, EPA partially
granted the petitions by committing to
initiate rulemaking to broaden the
public availability of inert ingredient
identities but reserving the scope and
details of such rulemaking. The Agency
agrees with the petitioners that inert
ingredient disclosure should be greatly
increased (EPA’s policy considerations
are discussed in this document), and
believes that rulemaking is the most
practical and efficient means to bring
about such disclosure. Because there
remain a number of significant
questions regarding the scope and
nature of such disclosure, as well as the
means by which such disclosure should
be achieved, and because the changes
involved will require significant input
from persons that could be affected by
such a rule, the Agency is initiating this
rulemaking via an ANPR.
4. Current efforts to increase public
availability of the identities of
ingredients in consumer products.
EPA’s efforts to increase public
availability of the identities of
ingredients in consumer products build
on the substantial work done by the
Inert Disclosure Stakeholder Workgroup
(IDSW) which has helped shape the
Agency understanding of the complex
nature of inert disclosure issues. In
1999, the Pesticide Program Dialogue
Committee (PPDC, established under the
Federal Advisory Committee Act to
advise EPA regarding pesticide matters)
approved the establishment of the
subgroup, the IDSW, a diverse
workgroup of members from public
health, environmental, industry,
academic and state government
organizations, as well as EPA, to create
proposals for submission to the PPDC
regarding enhanced disclosure to the
public of information about inert
ingredients in pesticides products. (This
examination was spurred in part by
earlier petitions from essentially the
same groups of petitioners regarding
disclosure of inert ingredients.)
The IDSW compiled a final report in
2002 (Ref. 4). This report helped the
Agency identify target audience groups
and their informational needs regarding
inert ingredients, documented several
different proposals to enhance inert
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disclosure, and published position
papers covering topics such as reverse
engineering, response to medical
emergencies, ingredient information
readily available to the medical
community, identification of inert
ingredients, and labeling changes. The
final report also discusses other Federal
regulatory schemes for handling the
confidentiality of ingredient information
implemented by the Food and Drug
Administration, OSHA, and the
Consumer Product Safety Commission.
The IDSW discussions and final
report continue to inform the Agency as
EPA contemplates rulemaking to
increase public availability of inert
ingredients.
5. Problem statement. EPA believes
that the lack of information available to
consumers and users about the inert
ingredients in pesticide products results
in a market failure that causes pesticide
products to contain inert ingredients
that are more hazardous than is
efficient. Consumers may prefer to use
pesticide products with non-hazardous
inert ingredients. In general, however,
pesticide producers currently do not
publicly disclose the identities of inert
ingredients. Consequently, consumers
cannot base their decisions about which
pesticides to use or whether the
pesticides contain hazardous inert
ingredients. If this information were
available, it could influence consumers’
decisions on which pesticides to
purchase and use. Moreover, if
consumers prefer pesticides without
hazardous inert ingredients, their ability
to choose such pesticides would create
incentives for producers of pesticide
products to offer products without
hazardous inert ingredients. The current
lack of information about inert
ingredients interferes with the fair and
efficient functioning of the market by
adversely affecting consumers’ ability to
exercise individual choice or express
preferences and thus the market-driven
incentives for producers and suppliers
of pesticide products. As a result,
pesticide products may contain levels of
hazardous ingredients that are higher
than society needs or wants and/or
people may use a pesticide product or
combination of products that lead to
more adverse health or environmental
outcomes than would otherwise occur.
In this section, the use of the term
‘‘consumer’’ is not intended to limit this
discussion to individuals purchasing or
using pesticide ‘‘consumer products’’
that are marketed for residential use but
also includes consumers of other kinds
of pesticide products such as those used
in agricultural and institutional settings.
As such, the term goes beyond the usual
point-of-sale consumer to include a
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wide range of individuals, entities and
organizations that purchase or use
different kinds of pesticide products.
This wide range of consumers, represent
a complex and diverse range of
knowledge and understanding about
pesticides. Consumer knowledge is not
limited to an individual’s understanding
of specific chemicals. Such knowledge
may be supplemented via training,
websites or other independent sources
of pesticide information. In addition,
purchasers or users of pesticides for
agricultural and institutional settings
often rely on organizational knowledge
and preferences to inform their
decisions.
There is an overall societal benefit
from individual choice. This is one
reason that legislation has favored
informing consumers about products in
commerce through product labeling. For
example, the Fair Packaging and
Labeling Act, 15 U.S.C. 1450 et seq.,
states that ‘‘Informed consumers are
essential to the fair and efficient
functioning of a free market economy.’’
(Ref. 6). When consumers are
knowledgeable about the product
choices available to them, they are
better able to compare the products and
vote with their pocketbook by selecting
that product which best satisfies their
needs and/or preferences. For example,
consumers of pesticide products may
have specific preferences related to
reducing potential exposures to
chemicals due to allergies or concerns
over potential hazards to human health
or the environment.
Increased public disclosure of inert
ingredients in pesticides, particularly
hazardous inert ingredients, could
enable consumers and users of
pesticides to make more informed
decisions when choosing or using
pesticide products. It could also provide
important information regarding the use
of a pesticide, potentially enabling the
consumer to avoid choosing a particular
product to use in a situation where one
or more of the inert ingredients might
have an adverse health or ecological
impact (e.g., using a pesticide
containing a specific inert ingredient
where a person with a known sensitivity
to that ingredient might be exposed to
the product, or where the inert
ingredient might adversely affect nontarget organisms).
By interfering with the consumers’
ability to fully express their preferences
through informed purchasing, the lack
of information on inert ingredients in
pesticide products also adversely affects
the potential for market-driven
incentives for pesticide producers to
provide products that better meet the
needs and/or preferences of the
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consumer. For example, where
consumers that have a preference for
pesticide products with less hazardous
inert ingredients are able to fully
express that preference, pesticide
producers have a market-based
incentive to select less hazardous inert
ingredients for the product
formulations.
Ultimately, by enabling more
informed consumer choices, disclosure
of inert ingredients in pesticides,
particularly hazardous inert ingredients,
may lead the market to provide more
product choices that could reduce
overall exposures to potentially
hazardous chemicals. For example,
public disclosure of the presence of a
potentially hazardous inert ingredient in
a specific pesticide formulation may
lead to less exposure to that hazardous
inert ingredient because consumers will
likely choose products informed by the
label and pesticide producers will likely
respond by producing products with
less hazardous inert ingredients. The
ability of public disclosure of
information as a market-driver to reduce
the use of potentially hazardous
chemicals has been demonstrated by
publication of the TRI under EPCRA
section 313 (Ref. 5).
On the other hand, mandatory inert
ingredient disclosure could have
potential negative effects on innovation
in the pesticide market. Producers of
pesticides invest in developing
formulations that are effective. Public
disclosure of ingredients could give
competitors the ability to ‘‘free ride’’ on
another company’s investment in
research and development required to
bring a pesticide product to the market.
The presence of such ‘‘free riders’’ could
deter further investments needed to
bring new, improved products to the
market in the future. However, as
discussed in Unit II.C.2., the Agency
believes a closer examination of those
circumstances under which
confidentiality of inert ingredient
identities is necessary for preserving
manufacturers’ returns to research and
development investments will reveal
situations where public availability of
inert ingredient identities may occur
without significant detriment to
innovation in the pesticides market.
EPA believes in the value of
transparency to consumers and users of
pesticides, above and beyond those
issues pertaining to potentially
hazardous inert ingredients. EPA is also
mindful of potential ‘‘label clutter,’’ i.e.,
the inclusion of so much information in
the labeling of a product that it becomes
difficult for a user to find the relevant
information necessary to use the
pesticide safely, effectively, and legally.
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The Agency therefore wishes to
explore what avenues are available to
maximize the public availability of inert
ingredient identities generally. In
addition to the policy considerations
raised in the discussion in Unit II.C.,
EPA is specifically interested in
comments on the relationship of inert
ingredient labeling to the fair and
efficient functioning of the market.
C. Possible Approaches
EPA is considering two general types
of approaches to increasing public
availability of inert ingredient identities.
One would mandate disclosure only of
potentially hazardous ingredients, and
the other would promote or mandate
public availability of most or all inert
ingredient identities, regardless of
hazard. Each approach has variations
and issues associated with it. Further,
EPA solicits ideas for alternative
approaches, both regulatory and nonregulatory.
1. Require the identities of potentially
hazardous inert ingredients to be listed
on pesticide labels. This approach
involves identifying a set of potentially
hazardous inert ingredients and
amending labeling regulations in 40
CFR part 156 to require that pesticides
containing those ingredients list them in
the ingredient statement. There are a
number of issues that would need to be
resolved in order to implement this
option; EPA solicits comment on these
issues:
a. How should the list of potentially
hazardous ingredients be identified?
EPA is interested in comments on three
potential approaches.
(1) EPA could by rule require
disclosure of the identity of an
ingredient if the ingredient appeared on
specified lists; this is the approach
advocated by the petitioners. The
petitions identify a variety of statutory,
regulatory, and other listings that relate
in some way to hazard. Some of the
ingredients have been placed on these
listings by Congress, and some have
been included based on EPA or other
agency evaluations of hazard (which
may or may not be in a specific
exposure context).
(2) EPA could by rule establish
objective criteria for determining
whether to require disclosure, applying
those criteria on an ingredient-byingredient basis. Unit II.E. of this ANPR
contains an example of possible criteria.
(3) EPA could by rule list specific
chemicals used as inert ingredients that
would trigger a disclosure requirement.
While approach number 2 would
present criteria to use on a case-by-case
basis, this approach would present a list
of chemicals. In developing this list,
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EPA could use approach number 1 or 2
or a combination of both approaches to
identify the individual chemicals to
include on the list and would need to
identify a process for revisions to the
list.
EPA considers the set of ingredients and
categories identified in the petitions to
be a useful starting point for discussion,
but desires input regarding the
categories and the chemicals contained
within them. For example, should
chemicals placed in the TRI by Congress
be considered presumptively hazardous
for purposes of label disclosure? In
addition, EPA solicits suggestions for
other hazard criteria to be used as a
basis for identifying ingredients to be
listed in the ingredient statement.
b. How should specific ingredients be
added to or removed from the disclosure
requirements? EPA could add (or
remove) individual ingredients via
regulation, or, at least for those
categories established and amended via
statute or regulation, could simply
require that all ingredients in the
category be subject to the disclosure
requirement. EPA desires comment on
both science and process implications of
these two alternatives, as well as
additional ideas.
c. Should EPA consider the amount of
an ingredient in a product in
determining whether to require
disclosure, and if so how? Should there
be a de minimis concentration, below
which a potentially hazardous inert
ingredient would not be required to
appear in the ingredient statement? EPA
is initially inclined not to use the
quantity of an inert ingredient—
including any de minimis threshold—as
a factor in determining what
information should be disclosed. EPA is
concerned that using a quantity factor
could interfere with the consumers’
ability to fully express their choices
through informed purchasing and
thereby adversely affect the potential for
market-driven incentives for pesticide
producers to provide products with less
hazardous inert ingredients. It could
also compromise the consumers’ ability
to limit their total exposure to a
hazardous substance. In providing
comments on using a quantity factor,
please also provide suggestions for how
EPA might address these concerns.
d. Does disclosing the identities of
hazardous inert ingredients on the label
without further information provide
consumers and users with information
that is useful? EPA is soliciting
comments on additional disclosure
approaches to provide such information,
including the effectiveness of such an
approach, as well as the associated costs
and benefits. EPA also seeks comment
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as to the possible positive or negative
impacts of each such approach on the
development of new pesticide products,
in providing for more informed
consumer decision-making, and in
providing an incentive for
manufacturers to use less hazardous
inert ingredients.
e. Should potentially hazardous
impurities be required to appear on the
label? While inert ingredients are
intentionally added to a product,
impurities are not. See 40 CFR 158.300.
Impurities are often leftover reactants
from the manufacturing process, and
their disclosure thus might in some
cases reveal sensitive manufacturing
process information. What are the pros
and cons of including impurities in a
disclosure requirement? Should
impurities have a de minimis
concentration threshold, even if inert
ingredients ultimately do not? Note that
impurities below a concentration of
0.1% are not normally reported to EPA
unless the impurity is of toxicological
significance. See 40 CFR 158.320.
Would a 0.1% threshold make sense for
impurities? How should the Agency
determine which impurities need to be
identified on the label?
2. Require all or most inert ingredients
to be listed on pesticide labels. In
addition to the hazard-based disclosure
discussed previously, EPA is also
interested in broader availability of inert
ingredient identities. Many consumer
products, such as food products and
cosmetics and, to an increasing extent,
other household products, disclose
some information about their
ingredients. The Agency believes that
consumers and users of pesticides
should have comparable kinds of
ingredient information available to them
about pesticides as they do regarding
many other, often less hazardous
products. Such information assists
consumers in making informed choices.
Requiring disclosure of all inert
ingredients would be possible if inert
ingredients as a class were not entitled
to confidential treatment under FIFRA
section 10(b). Though confidentiality is
normally determined on a case-by-case
basis, see NCAP v. Browner, 941 F.
Supp. 197 (D.D.C. 1996), EPA desires
input on an issue pertinent to the
confidentiality of inert ingredients in
general. Among the factors in
determining eligibility for confidential
treatment is whether competitors could
reverse engineer the product to obtain
the information on their own, without
undue cost. Though this question is
itself normally answered on a case-bycase basis, EPA solicits comment
regarding whether analytical techniques
have increased in accuracy and
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decreased in cost to the extent that
essentially complete analysis of
competitors’ products is now both
routinely performed and successful
when attempted in the pesticide
industry.
Do registrants and inert ingredient
manufacturers know (or can they easily
find out) what is in their competitors’
products? Do they believe that their own
products are safe from reverse
engineering due to the limits of
analytical techniques or prohibitive
cost? To what extent do patents or other
public sources of information provide
this kind of information? Are there
types of products or ingredients where
reverse engineering is more or less
likely to be performed or successful?
Are there characteristics of a
formulation (e.g., concentration of
certain ingredients) that can make
reverse engineering economically
infeasible? Do other countries disclose
this information and if so under what
circumstances? When commenting on
this issue please distinguish qualitative
analysis (determining which ingredients
are present) from quantitative analysis
(determining the concentrations of
ingredients). In addition, bear in mind
the distinction between disclosure of
the chemical name of an inert ingredient
and disclosure of the identity of a
particular vendor of the ingredient.
Please also comment upon whether
these questions would be answered
differently for impurities.
Are there classes or sectors where the
identities of inert ingredients are
generally known among competitors?
The Agency assumes that there would
be no substantial competitive harm from
the disclosure of inert ingredients where
the technology is generally known
among competitors. EPA solicits
comment on these questions.
EPA is not only seeking input from
knowledgeable persons regarding the
factors that influence whether
competitors are aware of one another’s
formulations, but is also challenging
registrants and inert ingredient
manufacturers to reexamine their own
assumptions about the competitive
landscape for their products. What role
does confidentiality of inert ingredient
identities play today in product
competitiveness? Are there sectors of
the industry where this role is enhanced
or diminished?
Even to the extent that particular inert
ingredients are entitled to confidential
treatment under FIFRA section 10(b),
EPA can amend its regulations to
increase the public availability of inert
ingredient identities. As discussed
previously, Agency practice results in
sparse disclosure of inert ingredient
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identities because there is seldom a
clear indication up front of which
ingredient identities are claimed as
confidential. Where specific identities
are not claimed as confidential by the
registrant or inert ingredient
manufacturer, EPA could make the
information public without further
analysis. EPA therefore solicits
comment regarding whether the Agency
should require the identities of all inert
ingredients (and perhaps impurities) to
be specifically claimed as confidential
upon submission to the Agency, such
that in the absence of a confidentiality
claim the name will be required to
appear on the label (or elsewhere) as
discussed in Unit II.C.3.i.). EPA also
solicits comment on requiring that all
confidentiality claims for inert
ingredient identities be accompanied by
a substantiation of the confidentiality
claim in order to help ensure that the
confidentiality claims have substance.
See 40 CFR 2.204(e)(4) for EPA’s
standard substantiation questions. If
EPA were to require up-front
substantiation of confidentiality claims,
what kinds of information in addition to
the questions in 40 CFR 2.204(e)(4)
would be of value to assess the merits
of a confidentiality claim for inert
ingredient information?
EPA also notes some policy tension
between the two approaches: Hazardbased disclosure is intended to reduce
the prevalence of hazardous ingredients
by highlighting their presence, and to
the extent that the Agency achieves a
broader (non-hazard-based) disclosure
of inert ingredients, that highlighting
would be absent. By knowing the
ingredients in a product, motivated
users and consumers could research the
hazard, but this information would not
be readily apparent simply from the
ingredient list. EPA would appreciate
comment on the interaction between
these policy objectives.
The following issues apply to broad
public availability of inert ingredient
identities:
a. Are there classes of ingredients that
should be identified only by the name
of the class? Examples might be
functional (e.g., fragrances, surfactants),
a chemical class (e.g., clay, modified
starch), or otherwise. When would the
use of chemical classes be appropriate
or inappropriate? Note that EPA is
considering allowing substitution of
fragrances in a formulation without
requiring the reporting of the individual
fragrance ingredients which comprise
the fragrance, provided that the
ingredients are on the Fragrance
Ingredient List and that the fragrance
meets concentration and other
conditions in EPA’s Fragrance
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Notification Program such as was
described as part of the Pesticide
Fragrance Notification Pilot Program
(https://www.epa.gov/opprd001/inerts/
fragrancenote.pdf).
b. Should impurities potentially
appear on the label regardless of hazard?
See Unit II.C.1.e., for more discussion of
impurities.
3. Common issues. EPA also solicits
comment on the following issues, which
apply to both hazard-based and nonhazard-based disclosure:
a. How might consumers respond to
the disclosure approaches presented
previously? Would there be any
difficulty in interpreting the
information? How would consumers
judge risks from hazardous inert
ingredients that have broader
environmental impacts as opposed to
risks that are borne more directly by the
user? What evidence exists regarding
how disclosure affects consumer
decisions and market outcomes in
similar contexts? How should disclosure
be designed to achieve better user
decision-making?
b. If inert ingredients are required to
be listed on the label, would consumers
and users be able to weigh the risk from
the listed inert ingredients against that
from the active ingredients, which often
pose greater risks than the disclosed
inert ingredients? What steps would
assist consumers and users in taking
into account all risks posed by the
pesticide?
c. What are the possible positive or
negative impacts of the approaches
described in Unit II.C. on the
development of new pesticide products?
d. Should the concentration of
ingredients be disclosed, along with
their identities? How might the
concentration inform the decisionmaking of the consumer or user? Is there
sufficient benefit to consumers and
users to do so? What are the interests of
registrants and manufacturers of
proprietary inert ingredients and
proprietary mixtures of inert ingredients
in concentration information?
e. Should inert ingredients be listed in
order of concentration? Although
specific concentrations are not provided
for food products and cosmetics, the
ingredients are typically listed in order
of concentration as instructed at 21 CFR
101.4 and 21 CFR 701.3, respectively,
under FDA regulations implementing
the Federal Food, Drug, and Cosmetic
Act. How might listing the inert
ingredients in order of concentration
inform the decision-making of the
consumer and user? What would be the
value of this type of listing for pesticide
consumers and users? Could listing
inert ingredients in order of
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concentration mislead consumers or
users regarding the safety of the
formulation?
f. EPA has on occasion rejected
pesticide labels with partial disclosure
of inert ingredient identities as
misleading under FIFRA section
2(q)(1)(A) on the theory that
emphasizing ingredients widely
considered innocuous can mislead
consumers as to the overall safety of the
formulation. What features of a label (or
other disclosure) could help avoid this
outcome?
g. In PR Notice 97–6, https://
www.epa.gov/opppmsd1/PRlNotices/
pr97-6.html, EPA allowed and
encouraged pesticide registrants to
replace the designation ‘‘inert
ingredients’’ with ‘‘other ingredients’’
on pesticide labels, because inert
ingredients may in some cases be
associated with hazard, and the term
‘‘inert ingredients’’ might therefore be
confusing. Under a full or partial
disclosure of inert ingredients, should
EPA discontinue to allow the
substitution of the term ‘‘other
ingredients’’ for ‘‘inert ingredients’’ on
product labels?
h. Should inert ingredients continue
to be listed in a separate location from
active ingredients? Current EPA
guidelines contained in the Label
Review Manual specify that active
ingredients be listed on the product
label separately from inert ingredients.
Should EPA preserve this distinction
between inert and active ingredients?
Should the inert ingredient listing be
divided into hazardous and nonhazardous sections?
i. Should disclosure of the inert
ingredient identities be made elsewhere
than on the label, such as in
accompanying labeling materials, by a
registrant-operated toll free telephone
system, or on an EPA-maintained
website? What information would be
useful to provide on a website? What
other alternative ways of
communicating information to users
about ingredients and safety of
pesticides might be effective? What are
the advantages and disadvantages of
such alternatives?
j. Should unique procedures apply to
products containing proprietary inert
ingredients or proprietary mixtures of
inert ingredients? Because registrants
may not know the identity of a
proprietary inert ingredient or the
identities of all the ingredients in a
proprietary mixture of inert ingredients,
there may be confidentiality concerns
when informing registrants of new
requirements applying to their pesticide
products, and such registrants might
face additional barriers to adjusting to a
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disclosure requirement. In addition,
manufacturers of proprietary inert
ingredients and proprietary mixtures of
inert ingredients might raise
confidentiality and other issues that do
not apply to registrants.
k. Should disclosure of the identity of
inert ingredients apply to all types of
pesticide products or should EPA
exempt certain types of products, e.g.,
manufacturing use products, plantincorporated protectants, biopesticides,
products intended only for use in
industrial settings such as wood
preservative treatment facilities, from
disclosure rules?
l. What form of ingredient identity
should appear on the label? There are a
variety of ways to identify an ingredient,
such as Chemical Abstracts Service
(CAS) name, CAS Registry Number,
trade name, and common chemical
name (of which there may be several).
Which form would be most useful to
consumers and users of pesticides? See
40 CFR 156.10(g) for requirements
regarding common names for active
ingredients, and Pesticide Registration
(PR) Notice 97-5: Use of Common
Names for Active Ingredients on
Pesticide Labeling, https://www.epa.gov/
opppmsd1/PRlNotices/pr97-5.html, for
Agency policy and guidance.
m. How would a non-regulatory
approach, such as voluntary disclosure
of inert ingredients by pesticide
registrants, affect consumer decisions
and market outcomes? What would be
the advantages and disadvantages of
voluntary disclosure versus required
disclosure in considering the issues
noted in items a. through l. of this unit?
n. What lead time should be given
before the effective date of any
regulatory changes, and should there be
any special process for approving new
labels? Registrants and manufacturers of
proprietary inert ingredients/proprietary
mixtures of inert ingredients may wish
to reformulate rather than continue with
a formulation where potentially
hazardous ingredients are listed in the
ingredient statement. Since EPA
normally requires acute toxicity data on
each new formulation of a pesticide, any
large-scale movement toward
reformulation of pesticides could result
in a significant amount of additional
animal toxicity studies. Further, the
logistics of widespread label change or
possible product reformulation may
present special challenges for EPA,
States and the regulated community.
What procedures would minimize
disruption? Are there alternatives to
requiring the testing of products
reformulated to eliminate hazardous
inert ingredients?
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o. Are there other regulatory
approaches that may promote the use of
less hazardous inert ingredients that
might be considered in lieu of inert
ingredient disclosure? For example,
what would be the potential impacts on
consumers, pesticide manufacturers,
and the general public if EPA were to
limit or prohibit the use of any
hazardous inert ingredient in a pesticide
product?
D. What is the Agency’s Authority for
Taking this Action?
The authority to require public
availability of potentially hazardous
inert ingredients (on the ingredient
statement or elsewhere) can be found in
the registration requirements of FIFRA
section 3, the definition of
‘‘unreasonable adverse effects on the
environment’’ in FIFRA section 2(bb),
and EPA’s rulemaking authority under
FIFRA section 25(a). The safety of the
formulation, including all its
ingredients, is a critical factor in
whether the pesticide ‘‘will perform its
intended function without unreasonable
adverse effects on the environment.’’
FIFRA section 3(c)(5)(C). Under FIFRA
section 2(bb), the term ‘‘unreasonable
adverse effects on the environment’’
takes into account ‘‘the economic,
social, and environmental costs and
benefits of the use of any pesticide.’’
The FIFRA section 2(bb) definition thus
highlights cost/benefit comparisons
pertaining to use of a particular
pesticide in the consideration of its
eligibility for registration.
While there is no definition for
hazardous inert ingredients in FIFRA
(and this document asks for comment
regarding how to define such
ingredients for the purpose of this
rulemaking), hazardous inert
ingredients can in general be described
as those that may pose physical hazards
(e.g., flammability, explodibility), health
hazards (i.e., adverse acute/chronic
health effects), or environmental
hazards (e.g., adverse ecological effects,
persistence, bioaccumulation). Use of
any pesticide will involve some
exposure to persons and the
environment, and if the formulation
contains potentially hazardous inert
ingredients there will be some exposure
to those ingredients, and therefore some
level of risk resulting from this
exposure. And though EPA reviews data
regarding the entire formulation to
ensure that this risk of a particular
pesticide is not unreasonable,
formulations that contain hazardous
inert ingredients as a general matter may
have a less favorable cost/benefit ratio
than similar formulations that perform
the same function and do not contain
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potentially hazardous inert ingredients.
Therefore, under FIFRA section 2(bb),
any risk from hazardous ingredients,
however small, should in general be less
reasonable than the risk from a
formulation not containing potentially
hazardous ingredients, even though the
risk from a particular formulation is not
itself unreasonable so that the
registration standard is met.
EPA solicits comment on the
contribution to risk from hazardous
inert ingredients. For example, are there
situations where the presence of a
particular hazardous inert ingredient
results in a lower application rate than
could be achieved through the use of a
less hazardous ingredient?
EPA could address relative levels of
risk on a case-by-case basis via label
reviews, approvals of specific
formulations, or even cancellation
under FIFRA section 6 where
appropriate, but such actions would be
very slow and resource-intensive. It is
more efficient to use the authority
provided in FIFRA section 25(a)(1) ‘‘to
prescribe regulations to carry out the
provisions of [FIFRA]. Such regulations
shall take into account the difference in
concept and usage between various
classes of pesticides. . . and differences
in environmental risk.’’ EPA considers
pesticides containing potentially
hazardous inert ingredients to be in a
separate class from formulations that do
not contain such ingredients, and
believes it appropriate to use its FIFRA
section 25(a) rulemaking authority to
take action to reduce the presence of
potentially hazardous ingredients.
As to requiring public availability of
inert ingredients on a basis other than
hazard, EPA has such authority where
inert ingredient identities are not
subject to claims of confidentiality or
where such information is not entitled
to confidential treatment under law.
E. Suggested Hazard Criteria
The following are the suggested
hazard criteria as discussed in Unit
II.C.1.a. that could be used as a basis for
identifying ingredients to be listed in
the ingredient statement.
Physical Hazards
• Extremely flammable or combustible
• Explosive
• Pyrophoric
• Strong organic peroxide
• Strong oxidizer
Health Hazards
Acute Toxicity
• Acute oral, dermal, and/or inhalation toxicity study resulting in assignment to EPA
Toxicity Category I (40 CFR 156.62)
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• Skin corrosion
• Eye damage
• Strong skin and/or respiratory sensitizer
Mutagenicity
• Known to induce heritable germ cell
mutations in humans
• Positive result(s) from in vivo heritable
germ cell mutagenicity tests in mammals
Carcinogenicity
• Known or presumed human carcinogen
• Classified as: Group 1 or Group 2 by the
International Agency for Research on
Cancer (IARC); having evidence of carcinogenic activity by the National Toxicology Program (NTP) and/or the Environmental Protection Agency (EPA); and/
or a Category I Potential Carcinogen by
the Occupational Safety and Health Administration (OSHA)
Reproductive and Developmental Toxicity
• Known or presumed human reproductive or developmental toxicant
• Clear evidence of adverse effects on reproductive ability or capacity and/or development of the offspring in peer-reviewed experimental animal studies
Target Organ/Systemic Toxicity
• Causes hepatotoxicity, nephrotoxicity,
neurotoxicity,
hematopoetic
effects,
immunotoxic effects, pulmonary toxicity,
thyroid toxicity, cutaneous toxicity or other
specific target organ/systemic toxicity in
peer-reviewed experimental animal studies at doses below 50 mg/kg/day
Environmental Hazard
• Highly toxic to avian and mammals
(acute oral toxicity <50 mg/kg) based on
peer-reviewed studies
• Highly toxic to aquatic organisms at concentrations of 1 ppm or below based on
peer-reviewed studies
• Highly toxic in avian dietary studies (<50
ppm) based on peer-reviewed studies
• Very slow biodegradation (<30% degradation in >28 days) in an EPA Office of
Prevention, Pesticides and Toxic Substances (OPPTS) Harmonized Test
Guideline Test 835.3110, Organisation for
Economic Co-operation and Development
(OECD) Guideline Test 301, or equivalent
for biodegradability
• Partition coefficient (n-octanol/water)
value (P) of log P ≥4 in OPPTS Harmonized Test Guideline 830.7550, OECD
Guideline 117, or equivalent study
• Fish Bioconcentration Factor (BCF) of
≥1,000 in OPPTS Harmonized Test
Guideline 850.1730 (draft), OECD Guideline 305, or equivalent study
VerDate Nov<24>2008
13:33 Dec 22, 2009
Jkt 220001
•
Class I/Class II Ozone-depleting Substance or High Global Warming Potential
Gas
III. Statutory and Executive Order
Reviews
Under Executive Order 12866,
entitled ‘‘Regulatory Planning and
Review’’ (58 FR 51735, October 4, 1993),
this action was submitted to the Office
of Management and Budget (OMB) for
review. Any changes to the document
that were made in response to OMB
comments received by EPA during that
review have been documented in the
docket as required by the Executive
Order.
Since this document does not impose
or propose any requirements, and
instead seeks comments and suggestions
for the Agency to consider in possibly
developing a subsequent proposed rule,
the various other review requirements
that apply when an agency imposes
requirements do not apply to this
action. Nevertheless, as part of your
comments on this document, you may
include any comments or information
that you have regarding the various
other review requirements.
In particular, EPA is interested in any
information that would help the Agency
to assess the potential impact of a rule
on small entities pursuant to the
Regulatory Flexibility Act (RFA) (5
U.S.C. 601 et seq.); to consider
voluntary consensus standards pursuant
to section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (NTTAA), Public Law 104–
113, section 12(d) (15 U.S.C. 272 note);
to consider environmental health or
safety effects on children pursuant to
Executive Order 13045, entitled
‘‘Protection of Children from
Environmental Health Risks and Safety
Risks’’ (62 FR 19885, April 23, 1997); or
to consider human health or
environmental effects on minority or
low-income populations pursuant to
Executive Order 12898, entitled
‘‘Federal Actions to Address
Environmental Justice in Minority
Populations and Low-Income
PO 00000
Frm 00032
Fmt 4702
Sfmt 4702
68223
Populations’’ (59 FR 7629, February 16,
1994).
The Agency will consider such
comments during the development of
any subsequent proposed rule as it takes
appropriate steps to address any
applicable requirements.
IV. References
1. Petition of New York, et al.,
Requesting that the United States
Environmental Protection Agency
Amend Its Rules Governing the
Disclosure of ‘‘Inert’’ Ingredients on
Pesticide Product Labels to Require the
Disclosure of Ingredients for Which
Federal Determinations of Hazard Have
Already Been Made, August 2006.
2. Petition of Northwest Coalition for
Alternatives to Pesticides, et al., To
Require Disclosure of Hazardous Inert
Ingredients on Pesticide Product Labels,
August 2006.
3. EPA’s Response to Petitions
Requesting Disclosure of Inert
Ingredients, September 30, 2009, https://
www.epa.gov/opprd001/inerts/
petitionresponse.pdf.
4. Final Report to the Pesticide
Program Dialogue Committee on the
Activities of the Inert Disclosure
Stakeholder Workgroup, March 2000
through April 2002, https://
www.epa.gov/oppfead1/cb/ppdc/inertfinalreport.html.
5. How Are the Toxics Release
Inventory Data Used? -- Government,
business, academic and citizen uses.
EPA–260–R–002–004 (May 2003),
https://www.epa.gov/TRI/guideldocs/
pdf/2003/2003ldatausepaper.pdf.
6. Fair Packaging and Labeling Act, 15
U.S.C. 1450 et seq. https://www.fda.gov/
RegulatoryInformation/Legislation/
ucm148722.htm.
List of Subjects in 40 CFR Part 156
Environmental protection, Pesticides
and pests.
Dated: December 14, 2009.
Lisa Jackson,
Administrator.
[FR Doc. E9–30408 Filed 12–22–09; 8:45 am]
BILLING CODE 6560–50–S
E:\FR\FM\23DEP1.SGM
23DEP1
Agencies
[Federal Register Volume 74, Number 245 (Wednesday, December 23, 2009)]
[Proposed Rules]
[Pages 68215-68223]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: E9-30408]
=======================================================================
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 156
[EPA-HQ-OPP-2009-0635; FRL-8803-3]
RIN 2070-AJ62
Public Availability of Identities of Inert Ingredients in
Pesticides
AGENCY: Environmental Protection Agency (EPA).
ACTION: Advance notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: In response to two petitions seeking disclosure of selected
inert ingredients on pesticide labels, based on hazard, EPA is
initiating rulemaking to increase public availability of the identities
of the inert ingredients in pesticide products. This action would
assist consumers and users of pesticides in making informed decisions
and reduce the presence of potentially hazardous ingredients in
pesticides.
DATES: Comments must be received on or before February 22, 2010.
ADDRESSES: Submit your comments, identified by docket identification
(ID) number EPA-HQ-OPP-2009-0635, by one of the following methods:
Federal eRulemaking Portal: https://www.regulations.gov.
Follow the on-line instructions for submitting comments.
Mail: Office of Pesticide Programs (OPP) Regulatory Public
Docket (7502P), Environmental Protection Agency, 1200 Pennsylvania
Ave., NW., Washington, DC 20460-0001.
Delivery: OPP Regulatory Public Docket (7502P),
Environmental Protection Agency, Rm. S-4400, One Potomac Yard (South
Bldg.), 2777 S. Crystal Dr., Arlington, VA. Deliveries are only
accepted during the Docket Facility's normal hours of operation (8:30
a.m. to 4 p.m., Monday through Friday, excluding legal holidays).
Special arrangements should be made for deliveries of boxed
information. The Docket Facility telephone number is (703) 305-5805.
Instructions: Direct your comments to docket ID number EPA-HQ-OPP-
2009-0635. EPA's policy is that all comments received will be included
in the docket without change and may be made available on-line at
https://www.regulations.gov, including any personal information
provided, unless the comment includes information claimed to be
Confidential Business Information (CBI) or other information whose
disclosure is restricted by statute. Do not submit information that you
consider to be CBI or otherwise protected through regulations.gov or e-
mail. The regulations.gov website is an ``anonymous access'' system,
which means EPA will not know your identity or contact information
unless you provide it in the body of your comment. If you send an e-
mail comment directly to EPA without going through regulations.gov,
your e-mail address will be automatically captured and included as part
of the comment that is placed in the docket and made available on the
Internet. If you submit an
[[Page 68216]]
electronic comment, EPA recommends that you include your name and other
contact information in the body of your comment and with any disk or
CD-ROM you submit. If EPA cannot read your comment due to technical
difficulties and cannot contact you for clarification, EPA may not be
able to consider your comment. Electronic files should avoid the use of
special characters, any form of encryption, and be free of any defects
or viruses.
Docket: All documents in the docket are listed in the docket index
available at https://www.regulations.gov. Although listed in the index,
some information is not publicly available, e.g., CBI or other
information whose disclosure is restricted by statute. Certain other
material, such as copyrighted material, is not placed on the Internet
and will be publicly available only in hard copy form. Publicly
available docket materials are available either in the electronic
docket at https://www.regulations.gov, or, if only available in hard
copy, at the OPP Regulatory Public Docket in Rm. S-4400, One Potomac
Yard (South Bldg.), 2777 S. Crystal Dr., Arlington, VA. The hours of
operation of this Docket Facility are from 8:30 a.m. to 4 p.m., Monday
through Friday, excluding legal holidays. The Docket Facility telephone
number is (703) 305-5805.
FOR FURTHER INFORMATION CONTACT: Kerry B. Leifer, Registration
Division, Office of Pesticide Programs, Environmental Protection
Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460-0001;
telephone number: (703) 308-8811; fax number: (703) 605-0781; e-mail
address: leifer.kerry@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this Action Apply to Me?
You may be potentially affected by this action if you engage in
activities related to the registration of pesticide products.
Potentially affected entities may include, but are not limited to,
engaging in the formulation and preparation of agricultural and
household pest control chemicals or pesticide and other agricultural
chemical manufacturing (NAICS) code 32532.
You may also be affected by this action if you are a consumer or
user of pesticides, or if you are exposed to pesticides.
This listing is not intended to be exhaustive, but rather provides
a guide for readers regarding entities likely to be affected by this
action. Other types of entities not listed in this unit could also be
affected. The North American Industrial Classification System (NAICS)
codes have been provided to assist you and others in determining
whether this action might apply to certain entities. If you have any
questions regarding the applicability of this action to a particular
entity, consult the person listed under FOR FURTHER INFORMATION
CONTACT.
B. What Should I Consider as I Prepare My Comments for EPA?
1. Submitting CBI. Do not submit this information to EPA through
regulations.gov or e-mail. Clearly mark the part or all of the
information that you claim to be CBI. For CBI information in a disk or
CD-ROM that you mail to EPA, mark the outside of the disk or CD-ROM as
CBI and then identify electronically within the disk or CD-ROM the
specific information that is claimed as CBI. In addition to one
complete version of the comment that includes information claimed as
CBI, a copy of the comment that does not contain the information
claimed as CBI must be submitted for inclusion in the public docket.
Information so marked will not be disclosed except in accordance with
procedures set forth in 40 CFR part 2.
2. Tips for preparing your comments. When submitting comments,
remember to:
i. Identify the document by docket ID number and other identifying
information (subject heading, Federal Register date and page number).
ii. Follow directions. The Agency may ask you to respond to
specific questions or organize comments by referencing a Code of
Federal Regulations (CFR) part or section number.
iii. Explain why you agree or disagree; suggest alternatives and
substitute language for your requested changes.
iv. Describe any assumptions and provide any technical information
and/or data that you used.
v. If you estimate potential costs or burdens, explain how you
arrived at your estimate in sufficient detail to allow for it to be
reproduced.
vi. Provide specific examples to illustrate your concerns and
suggest alternatives.
vii. Explain your views as clearly as possible, avoiding the use of
profanity or personal threats.
viii. Make sure to submit your comments by the comment period
deadline identified.
II. Discussion
A. What Action is the Agency Taking?
EPA is seeking comment on options for increasing the public
availability of the identities of inert ingredients in pesticides
registered under the Federal Insecticide, Fungicide, and Rodenticide
Act (FIFRA), 7 U.S.C. 136 et seq. This action is in response to two
petitions filed in 2006 that identified a set of over 350 pesticide
inert ingredients as hazardous and requested that EPA act to require
that these inert ingredient identities appear on the labels of products
that include these ingredients in their formulations (Refs. 1 and 2).
On September 30, 2009, EPA partially granted the petitions,
committing to initiate rulemaking to increase the public availability
of the identities of inert ingredients (beginning with this ANPR), but
seeking comment on a range of options to achieve this goal (Ref. 3.)
B. Background
1. Statutory background. In enacting FIFRA, Congress chose to
distinguish between active and inert ingredients in pesticides. Section
2(a)(1) defines ``active ingredient'' to include an ingredient ``which
will prevent, destroy, repel, or mitigate any pest.'' Section 2(m)
defines ``inert ingredient'' as an ingredient which is ``not active.''
FIFRA does not directly regulate active and inert ingredients per
se. Rather, by means of a registration process, the statute regulates
the sale, distribution, use and labeling of the pesticide products
(often referred to in shorthand as ``pesticides'') that contain these
ingredients. An applicant who seeks to register a pesticide must
demonstrate that, among other things, ``when used in accordance with
widespread and commonly recognized practice it will not generally cause
unreasonable adverse effects on the environment.'' FIFRA section
3(c)(5)(D). An applicant who seeks to register a pesticide must also
submit or cite test and other data to demonstrate the safety (and in
some cases the efficacy) of the pesticide. See FIFRA section 3(c)(1)(F)
and 40 CFR part 158. Among other information, EPA requires a complete
description of the composition of a pesticide formulation, including
the identity of each active ingredient, intentionally added inert
ingredient, each impurity present in an amount greater than 0.1% of the
technical grade material, and each other impurity of toxicological
significance.
In order to determine if a pesticide product meets the unreasonable
adverse effects standard, EPA conducts risk assessments for pesticide
products in accordance with guidelines developed by the National
Academy of Sciences (NAS)/National Research Council (NRC). The NRC risk
assessment guidelines consist of four general steps:
[[Page 68217]]
Hazard identification, dose-response assessment, exposure assessment,
and risk characterization. In the case of an inert ingredient,
information on its hazard (the ability to cause adverse health and/or
environmental effects) informs the risk assessment process but by
itself is not sufficient to determine the risk (the likelihood that an
adverse health effect will result from exposure) associated with a
particular product.
Active ingredients must be identified by name and percentage on the
pesticide's ingredient statement, which is a necessary component of the
pesticide product label under FIFRA section 2(q)(2)(A). By contrast,
only the total percentage of all inert ingredients in the pesticide
must be contained on the ingredient statement. FIFRA section 2(n)(1).
There is no statutory requirement that the names of all inert
ingredients be contained on the ingredient statement.
Confidentiality of information submitted under FIFRA is governed by
section 10 (with additional provisions in sections 7 and 12). With
certain limited exceptions, FIFRA section 10(b) bars EPA from
disclosing information ``which in the Administrator's judgment contains
or relates to trade secrets or commercial or financial information
obtained from a person and privileged or confidential.''
Among the exceptions to confidentiality in section 10 is the
requirement in FIFRA section 10(d)(1) to make safety and efficacy data
available to the public. Safety and efficacy data constitute much of
the information provided to EPA to support pesticide registration.
Though FIFRA section 10(d)(1) is important to public understanding
of the risks and benefits of specific pesticides, the provision is
sometimes misunderstood in its effect on the confidentiality of inert
ingredients. Section 10(d)(1) excludes three categories of information
from the mandatory disclosure requirement for health and safety data:
(A) manufacturing or quality control processes, (B) methods for
testing, detecting, or measuring the quantity of inert ingredients,
and (C) the identity or percentage quantity of inert ingredients.
The FIFRA section 10(d)(1)(C) exclusion for inert ingredient
information has been taken by some to mean that any disclosure of inert
ingredients is prohibited by statute, regardless of whether the
information meets the confidentiality test in FIFRA section 10(b), but
in fact the information must meet the FIFRA section 10(b) standard in
order to be eligible for confidential treatment. See Northwest
Coalition for Alternatives to Pesticides (NCAP) v. Browner, 941 F.
Supp. 197, 201 (D.D.C. 1996).
FIFRA section 12(a)(2)(D) provides authority for limited
disclosures of confidential information, such as to medical
professionals for evaluation and treatment purposes.
2. EPA treatment of inert ingredient identities. Even with the
limitations on confidentiality in section 10 of FIFRA, EPA is required
by its confidentiality regulations at 40 CFR part 2, subpart B to
protect information claimed as confidential until and unless the Agency
makes a final determination that the information is not entitled to
confidentiality. Moreover, under certain circumstances, if EPA
possesses information for which an affected business might be expected
to assert a confidentiality claim if it knew EPA proposed to disclose
it, EPA must contact the submitter regarding any possible
confidentiality claims prior to public release of the information. See
40 CFR 2.204(c)(2); 2.201(d).
Inert ingredient identities are often claimed as confidential by
pesticide applicants and registrants. In addition, registrants often
include in pesticide formulations proprietary inert ingredients or
proprietary mixtures of inert ingredients whose identities are not
disclosed to the registrants by the manufacturers of these products.
The complete chemical identities of proprietary inert ingredients and
proprietary mixtures of inert ingredients are reported to EPA by the
manufacturers rather than by the registrants, and EPA normally does not
disclose these identities to the registrants.
Therefore the identities of inert ingredients are often difficult
for pesticide users and other interested persons to obtain. Pesticide
registrants may in certain circumstances be willing to provide such
information directly to those who ask for it, and EPA, when necessary,
provides inert ingredient information to medical professionals treating
persons in connection with exposure to a pesticide in accordance with
FIFRA section 12(a)(2)(D), as discussed previously. Nonetheless, the
identities of inert ingredients in pesticides are not as a matter of
course available to consumers in the way that, for example, cosmetic
ingredients are disclosed.
In some cases, however, EPA has determined that in order to meet
the requirements of FIFRA certain inert ingredient identities must be
disclosed on the labels of products in which they are present. In 1975,
EPA promulgated 40 CFR 156.10(g)(7), which provides that ``[t]he
Administrator may require the name of any inert ingredient(s) to be
listed in the ingredient statement if he determines that such
ingredient(s) may pose a hazard to man or the environment.'' When the
provision was promulgated (originally as 40 CFR 162.10(g)(7)), EPA
discussed the provision as implementing ``the Administrator's basic
obligation under the amended FIFRA of determining the risks which may
be posed by a pesticide and imposing the necessary regulatory
requirement to adequately control an unreasonable risk. Depending on
the risk involved, the Administrator is authorized by the amended FIFRA
to: (1) Deny registration or cancel an existing registration, (2)
classify the pesticide for restricted use, or (3) require specific
label statements.'' (40 FR 28252, July 3, 1975).
Additionally, in 1987, EPA published a Federal Register notice (52
FR 13305, April 22, 1987) announcing ``certain policies designed to
reduce the potential for adverse effects from the use of pesticide
products containing toxic inert ingredients.'' This notice announced,
among other things, that the identities of ``inerts of toxicological
concern,'' otherwise known as List 1 inert ingredients, would be
required to be listed on pesticide labels. Approximately 50 ingredients
were put onto List 1, based on data demonstrating ``carcinogenicity,
adverse reproductive effects, neurotoxicity or other chronic effects,
or developmental toxicity (birth defects)'' as well as ``ecological
effects and the potential for bioaccumulation.'' The notice also
indicated that EPA intended to require the registrants of products
containing List 1 ingredients to generate additional data to support
the continued registration of the products. After publication of the
notice, most List 1 ingredients disappeared from pesticide
formulations. The notice created additional categories of inert
ingredients, including List 2 ingredients, ``which the Agency believes
are potentially toxic and should be assessed for effects of concern. .
. .Many of these inert ingredients are structurally similar to
chemicals known to be toxic; some have data suggesting a basis for
concern about the toxicity of the chemical.''
3. Petitions for disclosure of inert ingredients. In August 2006,
EPA received two similar petitions, one from a group of 22 non-
governmental organizations (NGOs) and the other from the Attorneys
General of 15 U.S. States and territories. These petitions identified
inert ingredients that were contained within the categories listed
later in this section, which the
[[Page 68218]]
petitioners stated were indicators that the inert ingredients met the
standard for 40 CFR 156.10(g)(7) and should therefore be required to be
listed on pesticide labels. The NGO petition argued, among other
things, that disclosing inert ingredients that may be hazardous ``is in
the public interest by supporting the public's ability to make informed
consumer decisions, enabling faster and more accurate medical diagnoses
after exposure to pesticides, and providing an incentive for
manufacturers to use less toxic ingredients.'' Similarly, the state
petition stated that ``EPA should require that pesticide product labels
disclose the identity of all hazardous ingredients used in the
formulation of the product, for whatever purpose they are used in that
product, in order to adequately protect the public and fulfill the
purposes of FIFRA.''
Following are the categories specified in the petitions:
Organic pesticide active ingredients listed in 40 CFR part
455, Table 1, in conjunction with section 304 of the Clean Water Act
(CWA).
Inert ingredients on List 2.
Extremely Hazardous Substances - Emergency Planning and
Community Right-to-Know Act (EPCRA) section 302(a).
Chemicals on the Toxics Release Inventory (TRI)--EPCRA
section 313.
Chemicals regulated under section 6 of the Toxic
Substances Control Act.
Listed and characteristic wastes regulated under the
Resource Conservation and Recovery Act and EPA regulations at 40 CFR
part 261, including F, P, and U wastes.
Chemicals regulated under CWA section 311: Discharges to
navigable waters or adjoining shorelines.
Chemicals regulated under CWA section 307: Pretreatment
standards for indirect dischargers whose waste water passes through
publicly owned treatment plants.
Chemicals regulated under Clean Air Act (CAA) section 112:
Hazardous air pollutants.
Chemicals regulated under CAA section 112(r): Substances
known to cause death, injury, or serious adverse effects to human
health or the environment.
Chemicals regulated under CAA section 202(a): Motor
vehicle pollutants.
Chemicals designated as hazardous mixtures consistent with
section 101(14) of the Comprehensive Environmental Response,
Compensation, and Liability Act (CERCLA).
Chemicals designated under CERCLA section 104(i)(2) as
priority list chemicals.
Chemicals subject to the Occupational Safety and Health
Administration's (OSHA) Occupational Safety and Health Standards at 29
CFR part 1910.
Chemicals contained in the American Conference of
Governmental Industrial Hygienists' Threshold Limit Values for Chemical
Substances and Physical Agents in the Work Environment (see https://www.acgih.org/TLV/PolicyStmt.htm).
On September 30, 2009, EPA partially granted the petitions by
committing to initiate rulemaking to broaden the public availability of
inert ingredient identities but reserving the scope and details of such
rulemaking. The Agency agrees with the petitioners that inert
ingredient disclosure should be greatly increased (EPA's policy
considerations are discussed in this document), and believes that
rulemaking is the most practical and efficient means to bring about
such disclosure. Because there remain a number of significant questions
regarding the scope and nature of such disclosure, as well as the means
by which such disclosure should be achieved, and because the changes
involved will require significant input from persons that could be
affected by such a rule, the Agency is initiating this rulemaking via
an ANPR.
4. Current efforts to increase public availability of the
identities of ingredients in consumer products. EPA's efforts to
increase public availability of the identities of ingredients in
consumer products build on the substantial work done by the Inert
Disclosure Stakeholder Workgroup (IDSW) which has helped shape the
Agency understanding of the complex nature of inert disclosure issues.
In 1999, the Pesticide Program Dialogue Committee (PPDC, established
under the Federal Advisory Committee Act to advise EPA regarding
pesticide matters) approved the establishment of the subgroup, the
IDSW, a diverse workgroup of members from public health, environmental,
industry, academic and state government organizations, as well as EPA,
to create proposals for submission to the PPDC regarding enhanced
disclosure to the public of information about inert ingredients in
pesticides products. (This examination was spurred in part by earlier
petitions from essentially the same groups of petitioners regarding
disclosure of inert ingredients.)
The IDSW compiled a final report in 2002 (Ref. 4). This report
helped the Agency identify target audience groups and their
informational needs regarding inert ingredients, documented several
different proposals to enhance inert disclosure, and published position
papers covering topics such as reverse engineering, response to medical
emergencies, ingredient information readily available to the medical
community, identification of inert ingredients, and labeling changes.
The final report also discusses other Federal regulatory schemes for
handling the confidentiality of ingredient information implemented by
the Food and Drug Administration, OSHA, and the Consumer Product Safety
Commission.
The IDSW discussions and final report continue to inform the Agency
as EPA contemplates rulemaking to increase public availability of inert
ingredients.
5. Problem statement. EPA believes that the lack of information
available to consumers and users about the inert ingredients in
pesticide products results in a market failure that causes pesticide
products to contain inert ingredients that are more hazardous than is
efficient. Consumers may prefer to use pesticide products with non-
hazardous inert ingredients. In general, however, pesticide producers
currently do not publicly disclose the identities of inert ingredients.
Consequently, consumers cannot base their decisions about which
pesticides to use or whether the pesticides contain hazardous inert
ingredients. If this information were available, it could influence
consumers' decisions on which pesticides to purchase and use. Moreover,
if consumers prefer pesticides without hazardous inert ingredients,
their ability to choose such pesticides would create incentives for
producers of pesticide products to offer products without hazardous
inert ingredients. The current lack of information about inert
ingredients interferes with the fair and efficient functioning of the
market by adversely affecting consumers' ability to exercise individual
choice or express preferences and thus the market-driven incentives for
producers and suppliers of pesticide products. As a result, pesticide
products may contain levels of hazardous ingredients that are higher
than society needs or wants and/or people may use a pesticide product
or combination of products that lead to more adverse health or
environmental outcomes than would otherwise occur.
In this section, the use of the term ``consumer'' is not intended
to limit this discussion to individuals purchasing or using pesticide
``consumer products'' that are marketed for residential use but also
includes consumers of other kinds of pesticide products such as those
used in agricultural and institutional settings. As such, the term goes
beyond the usual point-of-sale consumer to include a
[[Page 68219]]
wide range of individuals, entities and organizations that purchase or
use different kinds of pesticide products. This wide range of
consumers, represent a complex and diverse range of knowledge and
understanding about pesticides. Consumer knowledge is not limited to an
individual's understanding of specific chemicals. Such knowledge may be
supplemented via training, websites or other independent sources of
pesticide information. In addition, purchasers or users of pesticides
for agricultural and institutional settings often rely on
organizational knowledge and preferences to inform their decisions.
There is an overall societal benefit from individual choice. This
is one reason that legislation has favored informing consumers about
products in commerce through product labeling. For example, the Fair
Packaging and Labeling Act, 15 U.S.C. 1450 et seq., states that
``Informed consumers are essential to the fair and efficient
functioning of a free market economy.'' (Ref. 6). When consumers are
knowledgeable about the product choices available to them, they are
better able to compare the products and vote with their pocketbook by
selecting that product which best satisfies their needs and/or
preferences. For example, consumers of pesticide products may have
specific preferences related to reducing potential exposures to
chemicals due to allergies or concerns over potential hazards to human
health or the environment.
Increased public disclosure of inert ingredients in pesticides,
particularly hazardous inert ingredients, could enable consumers and
users of pesticides to make more informed decisions when choosing or
using pesticide products. It could also provide important information
regarding the use of a pesticide, potentially enabling the consumer to
avoid choosing a particular product to use in a situation where one or
more of the inert ingredients might have an adverse health or
ecological impact (e.g., using a pesticide containing a specific inert
ingredient where a person with a known sensitivity to that ingredient
might be exposed to the product, or where the inert ingredient might
adversely affect non-target organisms).
By interfering with the consumers' ability to fully express their
preferences through informed purchasing, the lack of information on
inert ingredients in pesticide products also adversely affects the
potential for market-driven incentives for pesticide producers to
provide products that better meet the needs and/or preferences of the
consumer. For example, where consumers that have a preference for
pesticide products with less hazardous inert ingredients are able to
fully express that preference, pesticide producers have a market-based
incentive to select less hazardous inert ingredients for the product
formulations.
Ultimately, by enabling more informed consumer choices, disclosure
of inert ingredients in pesticides, particularly hazardous inert
ingredients, may lead the market to provide more product choices that
could reduce overall exposures to potentially hazardous chemicals. For
example, public disclosure of the presence of a potentially hazardous
inert ingredient in a specific pesticide formulation may lead to less
exposure to that hazardous inert ingredient because consumers will
likely choose products informed by the label and pesticide producers
will likely respond by producing products with less hazardous inert
ingredients. The ability of public disclosure of information as a
market-driver to reduce the use of potentially hazardous chemicals has
been demonstrated by publication of the TRI under EPCRA section 313
(Ref. 5).
On the other hand, mandatory inert ingredient disclosure could have
potential negative effects on innovation in the pesticide market.
Producers of pesticides invest in developing formulations that are
effective. Public disclosure of ingredients could give competitors the
ability to ``free ride'' on another company's investment in research
and development required to bring a pesticide product to the market.
The presence of such ``free riders'' could deter further investments
needed to bring new, improved products to the market in the future.
However, as discussed in Unit II.C.2., the Agency believes a closer
examination of those circumstances under which confidentiality of inert
ingredient identities is necessary for preserving manufacturers'
returns to research and development investments will reveal situations
where public availability of inert ingredient identities may occur
without significant detriment to innovation in the pesticides market.
EPA believes in the value of transparency to consumers and users of
pesticides, above and beyond those issues pertaining to potentially
hazardous inert ingredients. EPA is also mindful of potential ``label
clutter,'' i.e., the inclusion of so much information in the labeling
of a product that it becomes difficult for a user to find the relevant
information necessary to use the pesticide safely, effectively, and
legally.
The Agency therefore wishes to explore what avenues are available
to maximize the public availability of inert ingredient identities
generally. In addition to the policy considerations raised in the
discussion in Unit II.C., EPA is specifically interested in comments on
the relationship of inert ingredient labeling to the fair and efficient
functioning of the market.
C. Possible Approaches
EPA is considering two general types of approaches to increasing
public availability of inert ingredient identities. One would mandate
disclosure only of potentially hazardous ingredients, and the other
would promote or mandate public availability of most or all inert
ingredient identities, regardless of hazard. Each approach has
variations and issues associated with it. Further, EPA solicits ideas
for alternative approaches, both regulatory and non-regulatory.
1. Require the identities of potentially hazardous inert
ingredients to be listed on pesticide labels. This approach involves
identifying a set of potentially hazardous inert ingredients and
amending labeling regulations in 40 CFR part 156 to require that
pesticides containing those ingredients list them in the ingredient
statement. There are a number of issues that would need to be resolved
in order to implement this option; EPA solicits comment on these
issues:
a. How should the list of potentially hazardous ingredients be
identified? EPA is interested in comments on three potential
approaches.
(1) EPA could by rule require disclosure of the identity of an
ingredient if the ingredient appeared on specified lists; this is the
approach advocated by the petitioners. The petitions identify a variety
of statutory, regulatory, and other listings that relate in some way to
hazard. Some of the ingredients have been placed on these listings by
Congress, and some have been included based on EPA or other agency
evaluations of hazard (which may or may not be in a specific exposure
context).
(2) EPA could by rule establish objective criteria for determining
whether to require disclosure, applying those criteria on an
ingredient-by-ingredient basis. Unit II.E. of this ANPR contains an
example of possible criteria.
(3) EPA could by rule list specific chemicals used as inert
ingredients that would trigger a disclosure requirement. While approach
number 2 would present criteria to use on a case-by-case basis, this
approach would present a list of chemicals. In developing this list,
[[Page 68220]]
EPA could use approach number 1 or 2 or a combination of both
approaches to identify the individual chemicals to include on the list
and would need to identify a process for revisions to the list.
EPA considers the set of ingredients and categories identified in the
petitions to be a useful starting point for discussion, but desires
input regarding the categories and the chemicals contained within them.
For example, should chemicals placed in the TRI by Congress be
considered presumptively hazardous for purposes of label disclosure? In
addition, EPA solicits suggestions for other hazard criteria to be used
as a basis for identifying ingredients to be listed in the ingredient
statement.
b. How should specific ingredients be added to or removed from the
disclosure requirements? EPA could add (or remove) individual
ingredients via regulation, or, at least for those categories
established and amended via statute or regulation, could simply require
that all ingredients in the category be subject to the disclosure
requirement. EPA desires comment on both science and process
implications of these two alternatives, as well as additional ideas.
c. Should EPA consider the amount of an ingredient in a product in
determining whether to require disclosure, and if so how? Should there
be a de minimis concentration, below which a potentially hazardous
inert ingredient would not be required to appear in the ingredient
statement? EPA is initially inclined not to use the quantity of an
inert ingredient--including any de minimis threshold--as a factor in
determining what information should be disclosed. EPA is concerned that
using a quantity factor could interfere with the consumers' ability to
fully express their choices through informed purchasing and thereby
adversely affect the potential for market-driven incentives for
pesticide producers to provide products with less hazardous inert
ingredients. It could also compromise the consumers' ability to limit
their total exposure to a hazardous substance. In providing comments on
using a quantity factor, please also provide suggestions for how EPA
might address these concerns.
d. Does disclosing the identities of hazardous inert ingredients on
the label without further information provide consumers and users with
information that is useful? EPA is soliciting comments on additional
disclosure approaches to provide such information, including the
effectiveness of such an approach, as well as the associated costs and
benefits. EPA also seeks comment as to the possible positive or
negative impacts of each such approach on the development of new
pesticide products, in providing for more informed consumer decision-
making, and in providing an incentive for manufacturers to use less
hazardous inert ingredients.
e. Should potentially hazardous impurities be required to appear on
the label? While inert ingredients are intentionally added to a
product, impurities are not. See 40 CFR 158.300. Impurities are often
leftover reactants from the manufacturing process, and their disclosure
thus might in some cases reveal sensitive manufacturing process
information. What are the pros and cons of including impurities in a
disclosure requirement? Should impurities have a de minimis
concentration threshold, even if inert ingredients ultimately do not?
Note that impurities below a concentration of 0.1% are not normally
reported to EPA unless the impurity is of toxicological significance.
See 40 CFR 158.320. Would a 0.1% threshold make sense for impurities?
How should the Agency determine which impurities need to be identified
on the label?
2. Require all or most inert ingredients to be listed on pesticide
labels. In addition to the hazard-based disclosure discussed
previously, EPA is also interested in broader availability of inert
ingredient identities. Many consumer products, such as food products
and cosmetics and, to an increasing extent, other household products,
disclose some information about their ingredients. The Agency believes
that consumers and users of pesticides should have comparable kinds of
ingredient information available to them about pesticides as they do
regarding many other, often less hazardous products. Such information
assists consumers in making informed choices.
Requiring disclosure of all inert ingredients would be possible if
inert ingredients as a class were not entitled to confidential
treatment under FIFRA section 10(b). Though confidentiality is normally
determined on a case-by-case basis, see NCAP v. Browner, 941 F. Supp.
197 (D.D.C. 1996), EPA desires input on an issue pertinent to the
confidentiality of inert ingredients in general. Among the factors in
determining eligibility for confidential treatment is whether
competitors could reverse engineer the product to obtain the
information on their own, without undue cost. Though this question is
itself normally answered on a case-by-case basis, EPA solicits comment
regarding whether analytical techniques have increased in accuracy and
decreased in cost to the extent that essentially complete analysis of
competitors' products is now both routinely performed and successful
when attempted in the pesticide industry.
Do registrants and inert ingredient manufacturers know (or can they
easily find out) what is in their competitors' products? Do they
believe that their own products are safe from reverse engineering due
to the limits of analytical techniques or prohibitive cost? To what
extent do patents or other public sources of information provide this
kind of information? Are there types of products or ingredients where
reverse engineering is more or less likely to be performed or
successful? Are there characteristics of a formulation (e.g.,
concentration of certain ingredients) that can make reverse engineering
economically infeasible? Do other countries disclose this information
and if so under what circumstances? When commenting on this issue
please distinguish qualitative analysis (determining which ingredients
are present) from quantitative analysis (determining the concentrations
of ingredients). In addition, bear in mind the distinction between
disclosure of the chemical name of an inert ingredient and disclosure
of the identity of a particular vendor of the ingredient. Please also
comment upon whether these questions would be answered differently for
impurities.
Are there classes or sectors where the identities of inert
ingredients are generally known among competitors? The Agency assumes
that there would be no substantial competitive harm from the disclosure
of inert ingredients where the technology is generally known among
competitors. EPA solicits comment on these questions.
EPA is not only seeking input from knowledgeable persons regarding
the factors that influence whether competitors are aware of one
another's formulations, but is also challenging registrants and inert
ingredient manufacturers to reexamine their own assumptions about the
competitive landscape for their products. What role does
confidentiality of inert ingredient identities play today in product
competitiveness? Are there sectors of the industry where this role is
enhanced or diminished?
Even to the extent that particular inert ingredients are entitled
to confidential treatment under FIFRA section 10(b), EPA can amend its
regulations to increase the public availability of inert ingredient
identities. As discussed previously, Agency practice results in sparse
disclosure of inert ingredient
[[Page 68221]]
identities because there is seldom a clear indication up front of which
ingredient identities are claimed as confidential. Where specific
identities are not claimed as confidential by the registrant or inert
ingredient manufacturer, EPA could make the information public without
further analysis. EPA therefore solicits comment regarding whether the
Agency should require the identities of all inert ingredients (and
perhaps impurities) to be specifically claimed as confidential upon
submission to the Agency, such that in the absence of a confidentiality
claim the name will be required to appear on the label (or elsewhere)
as discussed in Unit II.C.3.i.). EPA also solicits comment on requiring
that all confidentiality claims for inert ingredient identities be
accompanied by a substantiation of the confidentiality claim in order
to help ensure that the confidentiality claims have substance. See 40
CFR 2.204(e)(4) for EPA's standard substantiation questions. If EPA
were to require up-front substantiation of confidentiality claims, what
kinds of information in addition to the questions in 40 CFR 2.204(e)(4)
would be of value to assess the merits of a confidentiality claim for
inert ingredient information?
EPA also notes some policy tension between the two approaches:
Hazard-based disclosure is intended to reduce the prevalence of
hazardous ingredients by highlighting their presence, and to the extent
that the Agency achieves a broader (non-hazard-based) disclosure of
inert ingredients, that highlighting would be absent. By knowing the
ingredients in a product, motivated users and consumers could research
the hazard, but this information would not be readily apparent simply
from the ingredient list. EPA would appreciate comment on the
interaction between these policy objectives.
The following issues apply to broad public availability of inert
ingredient identities:
a. Are there classes of ingredients that should be identified only
by the name of the class? Examples might be functional (e.g.,
fragrances, surfactants), a chemical class (e.g., clay, modified
starch), or otherwise. When would the use of chemical classes be
appropriate or inappropriate? Note that EPA is considering allowing
substitution of fragrances in a formulation without requiring the
reporting of the individual fragrance ingredients which comprise the
fragrance, provided that the ingredients are on the Fragrance
Ingredient List and that the fragrance meets concentration and other
conditions in EPA's Fragrance Notification Program such as was
described as part of the Pesticide Fragrance Notification Pilot Program
(https://www.epa.gov/opprd001/inerts/fragrancenote.pdf).
b. Should impurities potentially appear on the label regardless of
hazard? See Unit II.C.1.e., for more discussion of impurities.
3. Common issues. EPA also solicits comment on the following
issues, which apply to both hazard-based and non-hazard-based
disclosure:
a. How might consumers respond to the disclosure approaches
presented previously? Would there be any difficulty in interpreting the
information? How would consumers judge risks from hazardous inert
ingredients that have broader environmental impacts as opposed to risks
that are borne more directly by the user? What evidence exists
regarding how disclosure affects consumer decisions and market outcomes
in similar contexts? How should disclosure be designed to achieve
better user decision-making?
b. If inert ingredients are required to be listed on the label,
would consumers and users be able to weigh the risk from the listed
inert ingredients against that from the active ingredients, which often
pose greater risks than the disclosed inert ingredients? What steps
would assist consumers and users in taking into account all risks posed
by the pesticide?
c. What are the possible positive or negative impacts of the
approaches described in Unit II.C. on the development of new pesticide
products?
d. Should the concentration of ingredients be disclosed, along with
their identities? How might the concentration inform the decision-
making of the consumer or user? Is there sufficient benefit to
consumers and users to do so? What are the interests of registrants and
manufacturers of proprietary inert ingredients and proprietary mixtures
of inert ingredients in concentration information?
e. Should inert ingredients be listed in order of concentration?
Although specific concentrations are not provided for food products and
cosmetics, the ingredients are typically listed in order of
concentration as instructed at 21 CFR 101.4 and 21 CFR 701.3,
respectively, under FDA regulations implementing the Federal Food,
Drug, and Cosmetic Act. How might listing the inert ingredients in
order of concentration inform the decision-making of the consumer and
user? What would be the value of this type of listing for pesticide
consumers and users? Could listing inert ingredients in order of
concentration mislead consumers or users regarding the safety of the
formulation?
f. EPA has on occasion rejected pesticide labels with partial
disclosure of inert ingredient identities as misleading under FIFRA
section 2(q)(1)(A) on the theory that emphasizing ingredients widely
considered innocuous can mislead consumers as to the overall safety of
the formulation. What features of a label (or other disclosure) could
help avoid this outcome?
g. In PR Notice 97-6, https://www.epa.gov/opppmsd1/PR_Notices/pr97-6.html, EPA allowed and encouraged pesticide registrants to replace the
designation ``inert ingredients'' with ``other ingredients'' on
pesticide labels, because inert ingredients may in some cases be
associated with hazard, and the term ``inert ingredients'' might
therefore be confusing. Under a full or partial disclosure of inert
ingredients, should EPA discontinue to allow the substitution of the
term ``other ingredients'' for ``inert ingredients'' on product labels?
h. Should inert ingredients continue to be listed in a separate
location from active ingredients? Current EPA guidelines contained in
the Label Review Manual specify that active ingredients be listed on
the product label separately from inert ingredients. Should EPA
preserve this distinction between inert and active ingredients? Should
the inert ingredient listing be divided into hazardous and non-
hazardous sections?
i. Should disclosure of the inert ingredient identities be made
elsewhere than on the label, such as in accompanying labeling
materials, by a registrant-operated toll free telephone system, or on
an EPA-maintained website? What information would be useful to provide
on a website? What other alternative ways of communicating information
to users about ingredients and safety of pesticides might be effective?
What are the advantages and disadvantages of such alternatives?
j. Should unique procedures apply to products containing
proprietary inert ingredients or proprietary mixtures of inert
ingredients? Because registrants may not know the identity of a
proprietary inert ingredient or the identities of all the ingredients
in a proprietary mixture of inert ingredients, there may be
confidentiality concerns when informing registrants of new requirements
applying to their pesticide products, and such registrants might face
additional barriers to adjusting to a
[[Page 68222]]
disclosure requirement. In addition, manufacturers of proprietary inert
ingredients and proprietary mixtures of inert ingredients might raise
confidentiality and other issues that do not apply to registrants.
k. Should disclosure of the identity of inert ingredients apply to
all types of pesticide products or should EPA exempt certain types of
products, e.g., manufacturing use products, plant-incorporated
protectants, biopesticides, products intended only for use in
industrial settings such as wood preservative treatment facilities,
from disclosure rules?
l. What form of ingredient identity should appear on the label?
There are a variety of ways to identify an ingredient, such as Chemical
Abstracts Service (CAS) name, CAS Registry Number, trade name, and
common chemical name (of which there may be several). Which form would
be most useful to consumers and users of pesticides? See 40 CFR
156.10(g) for requirements regarding common names for active
ingredients, and Pesticide Registration (PR) Notice 97-5: Use of Common
Names for Active Ingredients on Pesticide Labeling, https://www.epa.gov/opppmsd1/PR_Notices/pr97-5.html, for Agency policy and guidance.
m. How would a non-regulatory approach, such as voluntary
disclosure of inert ingredients by pesticide registrants, affect
consumer decisions and market outcomes? What would be the advantages
and disadvantages of voluntary disclosure versus required disclosure in
considering the issues noted in items a. through l. of this unit?
n. What lead time should be given before the effective date of any
regulatory changes, and should there be any special process for
approving new labels? Registrants and manufacturers of proprietary
inert ingredients/proprietary mixtures of inert ingredients may wish to
reformulate rather than continue with a formulation where potentially
hazardous ingredients are listed in the ingredient statement. Since EPA
normally requires acute toxicity data on each new formulation of a
pesticide, any large-scale movement toward reformulation of pesticides
could result in a significant amount of additional animal toxicity
studies. Further, the logistics of widespread label change or possible
product reformulation may present special challenges for EPA, States
and the regulated community. What procedures would minimize disruption?
Are there alternatives to requiring the testing of products
reformulated to eliminate hazardous inert ingredients?
o. Are there other regulatory approaches that may promote the use
of less hazardous inert ingredients that might be considered in lieu of
inert ingredient disclosure? For example, what would be the potential
impacts on consumers, pesticide manufacturers, and the general public
if EPA were to limit or prohibit the use of any hazardous inert
ingredient in a pesticide product?
D. What is the Agency's Authority for Taking this Action?
The authority to require public availability of potentially
hazardous inert ingredients (on the ingredient statement or elsewhere)
can be found in the registration requirements of FIFRA section 3, the
definition of ``unreasonable adverse effects on the environment'' in
FIFRA section 2(bb), and EPA's rulemaking authority under FIFRA section
25(a). The safety of the formulation, including all its ingredients, is
a critical factor in whether the pesticide ``will perform its intended
function without unreasonable adverse effects on the environment.''
FIFRA section 3(c)(5)(C). Under FIFRA section 2(bb), the term
``unreasonable adverse effects on the environment'' takes into account
``the economic, social, and environmental costs and benefits of the use
of any pesticide.'' The FIFRA section 2(bb) definition thus highlights
cost/benefit comparisons pertaining to use of a particular pesticide in
the consideration of its eligibility for registration.
While there is no definition for hazardous inert ingredients in
FIFRA (and this document asks for comment regarding how to define such
ingredients for the purpose of this rulemaking), hazardous inert
ingredients can in general be described as those that may pose physical
hazards (e.g., flammability, explodibility), health hazards (i.e.,
adverse acute/chronic health effects), or environmental hazards (e.g.,
adverse ecological effects, persistence, bioaccumulation). Use of any
pesticide will involve some exposure to persons and the environment,
and if the formulation contains potentially hazardous inert ingredients
there will be some exposure to those ingredients, and therefore some
level of risk resulting from this exposure. And though EPA reviews data
regarding the entire formulation to ensure that this risk of a
particular pesticide is not unreasonable, formulations that contain
hazardous inert ingredients as a general matter may have a less
favorable cost/benefit ratio than similar formulations that perform the
same function and do not contain potentially hazardous inert
ingredients. Therefore, under FIFRA section 2(bb), any risk from
hazardous ingredients, however small, should in general be less
reasonable than the risk from a formulation not containing potentially
hazardous ingredients, even though the risk from a particular
formulation is not itself unreasonable so that the registration
standard is met.
EPA solicits comment on the contribution to risk from hazardous
inert ingredients. For example, are there situations where the presence
of a particular hazardous inert ingredient results in a lower
application rate than could be achieved through the use of a less
hazardous ingredient?
EPA could address relative levels of risk on a case-by-case basis
via label reviews, approvals of specific formulations, or even
cancellation under FIFRA section 6 where appropriate, but such actions
would be very slow and resource-intensive. It is more efficient to use
the authority provided in FIFRA section 25(a)(1) ``to prescribe
regulations to carry out the provisions of [FIFRA]. Such regulations
shall take into account the difference in concept and usage between
various classes of pesticides. . . and differences in environmental
risk.'' EPA considers pesticides containing potentially hazardous inert
ingredients to be in a separate class from formulations that do not
contain such ingredients, and believes it appropriate to use its FIFRA
section 25(a) rulemaking authority to take action to reduce the
presence of potentially hazardous ingredients.
As to requiring public availability of inert ingredients on a basis
other than hazard, EPA has such authority where inert ingredient
identities are not subject to claims of confidentiality or where such
information is not entitled to confidential treatment under law.
E. Suggested Hazard Criteria
The following are the suggested hazard criteria as discussed in
Unit II.C.1.a. that could be used as a basis for identifying
ingredients to be listed in the ingredient statement.
------------------------------------------------------------------------
-------------------------------------------------------------------------
Physical Hazards
------------------------------------------------------------------------
Extremely flammable or combustible
Explosive
Pyrophoric
Strong organic peroxide
Strong oxidizer
Health Hazards
Acute Toxicity
Acute oral, dermal, and/or inhalation toxicity study resulting
in assignment to EPA Toxicity Category I (40 CFR 156.62)
[[Page 68223]]
Skin corrosion
Eye damage
Strong skin and/or respiratory sensitizer
Mutagenicity
Known to induce heritable germ cell mutations in humans
Positive result(s) from in vivo heritable germ cell
mutagenicity tests in mammals
Carcinogenicity
Known or presumed human carcinogen
Classified as: Group 1 or Group 2 by the International Agency
for Research on Cancer (IARC); having evidence of carcinogenic activity
by the National Toxicology Program (NTP) and/or the Environmental
Protection Agency (EPA); and/or a Category I Potential Carcinogen by
the Occupational Safety and Health Administration (OSHA)
Reproductive and Developmental Toxicity
Known or presumed human reproductive or developmental toxicant
Clear evidence of adverse effects on reproductive ability or
capacity and/or development of the offspring in peer-reviewed
experimental animal studies
Target Organ/Systemic Toxicity
Causes hepatotoxicity, nephrotoxicity, neurotoxicity,
hematopoetic effects, immunotoxic effects, pulmonary toxicity, thyroid
toxicity, cutaneous toxicity or other specific target organ/systemic
toxicity in peer-reviewed experimental animal studies at doses below 50
mg/kg/day
Environmental Hazard
Highly toxic to avian and mammals (acute oral toxicity <50 mg/
kg) based on peer-reviewed studies
Highly toxic to aquatic organisms at concentrations of 1 ppm or
below based on peer-reviewed studies
Highly toxic in avian dietary studies (<50 ppm) based on peer-
reviewed studies
Very slow biodegradation (<30% degradation in >28 days) in an
EPA Office of Prevention, Pesticides and Toxic Substances (OPPTS)
Harmonized Test Guideline Test 835.3110, Organisation for Economic Co-
operation and Development (OECD) Guideline Test 301, or equivalent for
biodegradability
Partition coefficient (n-octanol/water) value (P) of log P >=4
in OPPTS Harmonized Test Guideline 830.7550, OECD Guideline 117, or
equivalent study
Fish Bioconcentration Factor (BCF) of >=1,000 in OPPTS
Harmonized Test Guideline 850.1730 (draft), OECD Guideline 305, or
equivalent study
Class I/Class II Ozone-depleting Substance or High Global
Warming Potential Gas
------------------------------------------------------------------------
III. Statutory and Executive Order Reviews
Under Executive Order 12866, entitled ``Regulatory Planning and
Review'' (58 FR 51735, October 4, 1993), this action was submitted to
the Office of Management and Budget (OMB) for review. Any changes to
the document that were made in response to OMB comments received by EPA
during that review have been documented in the docket as required by
the Executive Order.
Since this document does not impose or propose any requirements,
and instead seeks comments and suggestions for the Agency to consider
in possibly developing a subsequent proposed rule, the various other
review requirements that apply when an agency imposes requirements do
not apply to this action. Nevertheless, as part of your comments on
this document, you may include any comments or information that you
have regarding the various other review requirements.
In particular, EPA is interested in any information that would help
the Agency to assess the potential impact of a rule on small entities
pursuant to the Regulatory Flexibility Act (RFA) (5 U.S.C. 601 et
seq.); to consider voluntary consensus standards pursuant to section
12(d) of the National Technology Transfer and Advancement Act of 1995
(NTTAA), Public Law 104-113, section 12(d) (15 U.S.C. 272 note); to
consider environmental health or safety effects on children pursuant to
Executive Order 13045, entitled ``Protection of Children from
Environmental Health Risks and Safety Risks'' (62 FR 19885, April 23,
1997); or to consider human health or environmental effects on minority
or low-income populations pursuant to Executive Order 12898, entitled
``Federal Actions to Address Environmental Justice in Minority
Populations and Low-Income Populations'' (59 FR 7629, February 16,
1994).
The Agency will consider such comments during the development of
any subsequent proposed rule as it takes appropriate steps to address
any applicable requirements.
IV. References
1. Petition of New York, et al., Requesting that the United States
Environmental Protection Agency Amend Its Rules Governing the
Disclosure of ``Inert'' Ingredients on Pesticide Product Labels to
Require the Disclosure of Ingredients for Which Federal Determinations
of Hazard Have Already Been Made, August 2006.
2. Petition of Northwest Coalition for Alternatives to Pesticides,
et al., To Require Disclosure of Hazardous Inert Ingredients on
Pesticide Product Labels, August 2006.
3. EPA's Response to Petitions Requesting Disclosure of Inert
Ingredients, September 30, 2009, https://www.epa.gov/opprd001/inerts/petitionresponse.pdf.
4. Final Report to the Pesticide Program Dialogue Committee on the
Activities of the Inert Disclosure Stakeholder Workgroup, March 2000
through April 2002, https://www.epa.gov/oppfead1/cb/ppdc/inert-finalreport.html.
5. How Are the Toxics Release Inventory Data Used? -- Government,
business, academic and citizen uses. EPA-260-R-002-004 (May 2003),
https://www.epa.gov/TRI/guide_docs/pdf/2003/2003_datausepaper.pdf.
6. Fair Packaging and Labeling Act, 15 U.S.C. 1450 et seq. https://www.fda.gov/RegulatoryInformation/Legislation/ucm148722.htm.
List of Subjects in 40 CFR Part 156
Environmental protection, Pesticides and pests.
Dated: December 14, 2009.
Lisa Jackson,
Administrator.
[FR Doc. E9-30408 Filed 12-22-09; 8:45 am]
BILLING CODE 6560-50-S