Prevention of Significant Deterioration and Title V Greenhouse Gas Tailoring Rule, 31514-31608 [2010-11974]
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Federal Register / Vol. 75, No. 106 / Thursday, June 3, 2010 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 51, 52, 70, and 71
[EPA–HQ–OAR–2009–0517; FRL–9152–8]
RIN 2060–AP86
Prevention of Significant Deterioration
and Title V Greenhouse Gas Tailoring
Rule
AGENCY: Environmental Protection
Agency (EPA).
ACTION: Final rule.
SUMMARY: EPA is tailoring the
applicability criteria that determine
which stationary sources and
modification projects become subject to
permitting requirements for greenhouse
gas (GHG) emissions under the
Prevention of Significant Deterioration
(PSD) and title V programs of the Clean
Air Act (CAA or Act). This rulemaking
is necessary because without it PSD and
title V requirements would apply, as of
January 2, 2011, at the 100 or 250 tons
per year (tpy) levels provided under the
CAA, greatly increasing the number of
required permits, imposing undue costs
on small sources, overwhelming the
resources of permitting authorities, and
severely impairing the functioning of
the programs. EPA is relieving these
resource burdens by phasing in the
applicability of these programs to GHG
sources, starting with the largest GHG
emitters. This rule establishes two
initial steps of the phase-in. The rule
also commits the agency to take certain
actions on future steps addressing
smaller sources, but excludes certain
smaller sources from PSD and title V
permitting for GHG emissions until at
least April 30, 2016.
DATES: This action is effective on
August 2, 2010.
ADDRESSES: EPA has established a
docket for this rulemaking under Docket
ID No. EPA–HQ–OAR–2009–0517. All
documents in the docket are listed in
the https://www.regulations.gov index.
Although listed in the index, some
information is not publicly available,
e.g., Confidential Business Information
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.
Publicly available docket materials are
available either electronically in https://
www.regulations.gov or in hard copy at
the EPA Docket Center EPA/DC, EPA
West, Room 3334, 1301 Constitution
Avenue, Northwest, Washington, DC.
The Public Reading Room is open from
8:30 a.m. to 4:30 p.m., Monday through
Friday, excluding legal holidays. The
telephone number for the Public
Reading Room is (202) 566–1744, and
the telephone number for the EPA
Docket Center is (202) 566–1742.
FOR FURTHER INFORMATION CONTACT: Mr.
Joseph Mangino, Air Quality Policy
Division, Office of Air Quality Planning
and Standards (C504–03),
Environmental Protection Agency,
Research Triangle Park, NC 27711;
telephone number: (919) 541–9778; fax
number: (919) 541–5509; e-mail address:
mangino.joseph@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this action apply to me?
Entities affected by this action include
sources in all sectors of the economy,
including commercial and residential
sources. Entities potentially affected by
this action also include States, local
permitting authorities, and tribal
authorities. The majority of categories
and entities potentially affected by this
action are expected to be in the
following groups:
Industry group
NAICS a
Agriculture, fishing, and hunting ...............................................................
Mining .......................................................................................................
Utilities (electric, natural gas, other systems) ..........................................
Manufacturing (food, beverages, tobacco, textiles, leather) ....................
Wood product, paper manufacturing ........................................................
Petroleum and coal products manufacturing ...........................................
Chemical manufacturing ...........................................................................
Rubber product manufacturing .................................................................
Miscellaneous chemical products .............................................................
Nonmetallic mineral product manufacturing .............................................
Primary and fabricated metal manufacturing ...........................................
11.
21.
2211, 2212, 2213.
311, 312, 313, 314, 315, 316.
321, 322.
32411, 32412, 32419.
3251, 3252, 3253, 3254, 3255, 3256, 3259.
3261, 3262.
32552, 32592, 32591, 325182, 32551.
3271, 3272, 3273, 3274, 3279.
3311, 3312, 3313, 3314, 3315, 3321, 3322, 3323, 3324, 3325, 3326,
3327, 3328, 3329.
3331, 3332, 3333, 3334, 3335, 3336, 3339.
3341, 3342, 3343, 3344, 3345, 4446.
3351, 3352, 3353, 3359.
3361, 3362, 3363, 3364, 3365, 3366, 3366, 3369.
3371, 3372, 3379.
3391, 3399.
5622, 5629.
6221, 6231, 6232, 6233, 6239.
8122, 8123.
8141.
Not available. Codes only exist for private households, construction,
and leasing/sales industries.
Machinery manufacturing .........................................................................
Computer and electronic products manufacturing ...................................
Electrical equipment, appliance, and component manufacturing ............
Transportation equipment manufacturing .................................................
Furniture and related product manufacturing ...........................................
Miscellaneous manufacturing ...................................................................
Waste management and remediation ......................................................
Hospitals/Nursing and residential care facilities .......................................
Personal and laundry services .................................................................
Residential/private households .................................................................
Non-Residential (Commercial) .................................................................
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a
North American Industry Classification System.
B. How is this preamble organized?
The information presented in this
preamble is organized as follows:
Outline
I. General Information
A. Does this action apply to me?
B. How is this preamble organized?
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C. Preamble Acronyms and Abbreviations
II. Overview of the Final Rule
III. Background
A. What are GHGs and their sources?
B. Endangerment Finding and the LDVR
1. Endangerment Finding
2. Light-Duty Vehicle Rule
C. What are the general requirements of the
PSD program?
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1. Overview of the PSD Program
2. General Requirements for PSD
D. What are the general requirements of the
Title V operating permits program?
1. Overview of Title V
2. Title V Permit Requirements
E. The Interpretive Memo
IV. Summary of Final Actions
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A. How do you define the GHG pollutant
for PSD and Title V purposes?
1. GHG Pollutant Defined as the Sum-ofSix Well-Mixed GHGs
2. What GWP values should be used for
calculating CO2e?
B. When will PSD and Title V applicability
begin for GHGs and emission sources?
1. What are the Step 1 thresholds, timing,
and calculation methodology?
2. What are the Step 2 thresholds, timing,
and calculation methodology?
3. What about Step 3?
4. What about the proposed 6-year
exclusion for smaller sources?
5. When and how will EPA take further
action on smaller sources?
C. How do state, local, and tribal area
programs adopt the final GHG
applicability thresholds?
D. How do you treat GHGs for purposes of
Title V permit fees?
E. Other Actions and Issues
1. Timing for Permit Streamlining
Techniques
2. Guidance for BACT Determinations
3. Requests for Higher Category-Specific
Thresholds and Exemptions From
Applicability
4. Transitional Issues Including Requests
for Grandfathering
V. What is the legal and policy rationale for
the final actions?
A. Rationale for Our Approach to
Calculating GHG Emissions for PSD and
Title V Applicability Purposes
1. Grouping of GHGs Into a Single
Pollutant
2. Identifying Which GHGs Are Included in
the Group
3. Use of GWP vs. Mass-Based GHG
Thresholds
4. Determining What GWP Values Are To
Be Used
5. Use of Short Tons vs. Metric Tons
B. Rationale for Thresholds and Timing for
PSD and Title V Applicability to GHG
Emissions Sources
1. Overview
2. Data Concerning Costs to Sources and
Administrative Burdens to Permitting
Authorities
3. ‘‘Absurd Results,’’ ‘‘Administrative
Necessity,’’ and ‘‘One-Step-at-a-Time’’
Legal Doctrines
4. The PSD and Title V Programs
5. Application of the ‘‘Absurd Results’’
Doctrine for the PSD Program
6. Application of the ‘‘Absurd Results’’
Doctrine for the Title V Program
7. Additional Rulemaking for the PSD and
Title V Programs
8. Rationale for the Phase-in Schedule for
Applying PSD and Title V to GHG
Sources
9. ‘‘Administrative Necessity’’ Basis for PSD
and Title V Requirements in Tailoring
Rule
10. ‘‘One-Step-at-a-Time’’ Basis for
Tailoring Rule
C. Mechanisms for Implementing and
Adopting the Tailoring Approach
1. PSD Approach: Background and
Proposal
2. Rationale for Our Final Approach to
Implementing PSD
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3. Other Mechanisms
4. Codification of Interpretive Memo
5. Delaying Limited Approvals and Request
for Submission of Information From
States Implementing a SIP-Approved
PSD Program
6. Title V Programs
D. Rationale for Treatment of GHGs for
Title V Permit Fees
E. Other Actions and Issues
1. Permit Streamlining Techniques
2. Guidance for BACT Determinations
3. Requests for Higher Category-Specific
Thresholds or Exemptions From
Applicability
4. Transitional Issues Including Requests
for Grandfathering
VI. What are the economic impacts of the
final rule?
A. What entities are affected by this final
rule?
B. What are the estimated annual benefits
to sources due to regulatory relief from
the statutory requirements?
1. What are annual estimated benefits or
avoided burden costs for title V permits?
2. What are annual benefits or avoided
costs associated with NSR permitting
regulatory relief?
C. What are the economic impacts of this
rulemaking?
D. What are the costs of the final rule for
society?
E. What are the net benefits of this final
rule?
VII. Comments on Statutory and Executive
Order Reviews
A. Comments on Executive Order 12866—
Regulatory Planning and Review
B. Comments on the Paperwork Reduction
Act
C. Comments on the RFA
D. Comments on the Unfunded Mandates
Reform Act
E. Comments on Executive Order 13132—
Federalism
F. Comments on Executive Order 13175—
Consultation and Coordination With
Indian Tribal Governments
G. Comments on Executive Order 13211—
Actions That Significantly Affect Energy
Supply, Distribution, or Use
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866—Regulatory
Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132—Federalism
F. Executive Order 13175—Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045—Protection of
Children From Environmental Health
and Safety Risks
H. Executive Order 13211—Actions That
Significantly Affect Energy Supply,
Distribution, or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898—Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Congressional Review Act
L. Judicial Review
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IX. Statutory Authority
C. Preamble Acronyms and
Abbreviations
The following are abbreviations of
terms used in this preamble.
ANPR Advance Notice of Proposed
Rulemaking
APA Administrative Procedure Act
AQRVs Air Quality Related Values
BACT Best Available Control Technology
Btu British thermal units
Btu/hr British thermal units per hour
CAA or Act Clean Air Act
CAAAC Clean Air Act Advisory Committee
CAFE Corporate Average Fuel Economy
CH4 Methane
CO Carbon Monoxide
CO2 Carbon Dioxide
CO2e Carbon Dioxide Equivalent
EPA U.S. Environmental Protection Agency
FDA Food and Drug Administration
FIP Federal Implementation Plan
FTEs Full-Time Equivalents
GHG Greenhouse Gas
GHz Gigahertz
GWP Global Warming Potential
HAP Hazardous Air Pollutant
HFCs Hydrofluorocarbons
ICR Information Collection Request
IPCC Intergovernmental Panel on Climate
Change
LDVR Light-Duty Vehicle Rule
MACT Maximum Achievable Control
Technology
MCL Maximum Contaminant Level
N2O Nitrous Oxide
NAAQS National Ambient Air Quality
Standard
NHTSA National Highway Traffic Safety
Administration
NMOC Nonmethane Organic Compounds
NOX Nitrogen Oxides
NPDES National Pollutant Discharge
Elimination System
NSPS New Source Performance Standard
NSR New Source Review
NTAA National Tribal Air Association
NTTAA National Technology Transfer and
Advancement Act
OMB Office of Management and Budget
PFCs Perfluorocarbons
PM Particulate Matter
PSD Prevention of Significant Deterioration
PTE Potential to Emit
RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
RTC Response to Comment
SBA Small Business Administration
SBAR Small Business Advocacy Review
SBREFA Small Business Regulatory
Enforcement Fairness Act
SF6 Sulfur Hexafluoride
SIP State Implementation Plan
SNPR Supplemental Notice of Proposed
Rulemaking
TIP Tribal Implementation Plan
TRS Total Reduced Sulfur
TSD Technical Support Document
tpy Tons Per Year
UMRA Unfunded Mandates Reform Act
UNFCCC United Nations Framework
Convention on Climate Change
VOC Volatile Organic Compound
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II. Overview of the Final Rule
EPA is relieving overwhelming
permitting burdens that would, in the
absence of this rule, fall on permitting
authorities and sources. We accomplish
this by tailoring the applicability criteria
that determine which GHG emission
sources become subject to the PSD and
title V programs 1 of the CAA. In
particular, EPA is establishing with this
rulemaking a phase-in approach for PSD
and title V applicability, and is
establishing the first two steps of the
phase-in for the largest emitters of
GHGs. We also commit to certain
follow-up actions regarding future steps
beyond the first two, discussed in more
detail later. Our legal basis for this rule
is our interpretation of the PSD and title
V applicability provisions under the
familiar Chevron 2 two-step framework
for interpreting administrative statutes,
taking account of three legal doctrines,
both separately and interdependently:
They are what we will call (1) The
‘‘absurd results’’ doctrine, which
authorizes agencies to apply statutory
requirements differently than a literal
reading would indicate, as necessary to
effectuate congressional intent and
avoid absurd results, (2) the
‘‘administrative necessity’’ doctrine,
which authorizes agencies to apply
statutory requirements in a way that
avoids impossible administrative
burdens; and (3) the ‘‘one-step-at-a-time’’
doctrine, which authorizes agencies to
implement statutory requirements a step
at a time. This legal basis justifies each
of the actions we take with this rule—
e.g., each of the first two steps of the
phase-in approach—both (1) as part of
the overall tailoring approach, and (2)
independently of each other action we
take with this rule. EPA also has
authority for this Tailoring Rule under
CAA section 301(a)(1), which authorizes
the Administrator ‘‘to prescribe such
regulations as are necessary to carry out
his functions under [the CAA].’’
For the first step of this Tailoring
Rule, which will begin on January 2,
2011, PSD or title V requirements will
apply to sources’ GHG emissions only if
the sources are subject to PSD or title V
anyway due to their non-GHG
pollutants. Therefore, EPA will not
require sources or modifications to
evaluate whether they are subject to
PSD or title V requirements solely on
1 Unless otherwise indicated, references in this
preamble to ‘‘title V,’’ ‘‘title V requirements,’’ the
‘‘title V program,’’ and similar references are to the
operating permit provisions in CAA sections 501–
506, and not the ‘‘small business stationary source
technical and environmental compliance assistance
program’’ under CAA section 507.
2 Chevron U.S.A. Inc. v. NRDC, 467 U.S. 837
(1984).
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account of their GHG emissions.
Specifically, for PSD, Step 1 requires
that as of January 2, 2011, the applicable
requirements of PSD, most notably, the
best available control technology
(BACT) requirement, will apply to
projects that increase net GHG
emissions by at least 75,000 tpy carbon
dioxide equivalent (CO2e), but only if
the project also significantly increases
emissions of at least one non-GHG
pollutant. For the title V program, only
existing sources with, or new sources
obtaining, title V permits for non-GHG
pollutants will be required to address
GHGs during this first step.
The second step of the Tailoring Rule,
beginning on July 1, 2011, will phase in
additional large sources of GHG
emissions. New sources as well as
existing sources not already subject to
title V that emit, or have the potential
to emit, at least 100,000 tpy CO2e will
become subject to the PSD and title V
requirements. In addition, sources that
emit or have the potential to emit at
least 100,000 tpy CO2e and that
undertake a modification that increases
net emissions of GHGs by at least 75,000
tpy CO2e will also be subject to PSD
requirements. For both steps, we also
note that if sources or modifications
exceed these CO2e-adjusted GHG
triggers, they are not covered by
permitting requirements unless their
GHG emissions also exceed the
corresponding mass-based triggers
(i.e., unadjusted for CO2e.)
EPA believes that the costs to the
sources and the administrative burdens
to the permitting authorities of PSD and
title V permitting will be manageable at
the levels in these initial two steps, and
that it would be administratively
infeasible to subject additional sources
to PSD and title V requirements at those
times. However, we also intend to issue
a supplemental notice of proposed
rulemaking (SNPR) in 2011, in which
we will propose or solicit comment on
a third step of the phase-in that would
include more sources, beginning by July
1, 2013. In the same rulemaking, we
may propose or solicit comment on a
permanent exclusion from permitting
for some category of sources, based on
the doctrine of ‘‘absurd results,’’ within
the Chevron framework. We are
establishing an enforceable commitment
that we will complete this rulemaking
by July 1, 2012, which will allow for 1
year’s notice before Step 3 would take
effect.
In addition, we commit to explore
streamlining techniques that may well
make the permitting programs much
more efficient to administer for GHGs,
and that therefore may allow their
expansion to smaller sources. We expect
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that the initial streamlining techniques
will take several years to develop and
implement.
We are also including in this action a
rule that no source with emissions
below 50,000 tpy CO2e, and no
modification resulting in net GHG
increases of less than 50,000 tpy CO2e,
will be subject to PSD or title V
permitting before at least 6 years from
now, April 30, 2016. This is because we
are able to conclude at the present time
that the administrative burdens that
would accompany permitting sources
below this level will be so great that
even the streamlining actions that EPA
may be able to develop and implement
in the next several years, and even with
the increases in permitting resources
that we can reasonably expect the
permitting authorities to acquire, it will
be impossible to administer the permit
programs for these sources until at least
2016.
Further, we are establishing an
enforceable commitment that we will (1)
Complete a study by April 30, 2015, to
evaluate the status of PSD and title V
permitting for GHG-emitting sources,
including progress in developing
streamlining techniques; and (2)
complete further rulemaking based on
that study by April 30, 2016, to address
the permitting of smaller sources. That
rulemaking may also consider
additional permanent exclusions based
on the ‘‘absurd results’’ doctrine, where
applicable.
This Tailoring Rulemaking is
necessary because without it, PSD and
title V would apply to all stationary
sources that emit or have the potential
to emit more than 100 or 250 tons of
GHGs per year beginning on January 2,
2011. This is the date when EPA’s
recently promulgated Light-Duty
Vehicle Rule (LDVR) takes effect,
imposing control requirements for the
first time on carbon dioxide (CO2) and
other GHGs. If this January 2, 2011 date
were to pass without this Tailoring Rule
being in effect, PSD and title V
requirements would apply at the
100/250 tpy applicability levels
provided under a literal reading of the
CAA as of that date. From that point
forward, a source owner proposing to
construct any new major source that
emits at or higher than the applicability
levels (and which therefore may be
referred to as a ‘‘major’’ source) or
modify any existing major source in a
way that would increase GHG emissions
would need to obtain a permit under the
PSD program that addresses these
emissions before construction or
modification could begin. Similarly,
title V would apply to a new or existing
source exceeding the 100 tpy
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applicability level in the Act, if the
source did not already have a title V
permit.
Under these circumstances, many
small sources would be burdened by the
costs of the individualized PSD control
technology requirements and permit
applications that the PSD provisions,
absent streamlining, require.
Additionally, state and local permitting
authorities would be burdened by the
extraordinary number of these permit
applications, which are orders of
magnitude greater than the current
inventory of permits and would vastly
exceed the current administrative
resources of the permitting authorities.
Permit gridlock would result with the
permitting authorities able to issue only
a tiny fraction of the permits requested.
These impacts—the costs to sources
and administrative burdens to
permitting authorities—that would
result from application of the PSD and
title V programs for GHG emissions at
the statutory levels as of January 2,
2011, are so severe that they bring the
judicial doctrines of ‘‘absurd results,’’
‘‘administrative necessity,’’ and ‘‘onestep-at-a-time’’ into the Chevron twostep analytical framework for statutes
administered by agencies. Under the
U.S. Supreme Court’s decision in
Chevron, the agency must, at Step 1,
determine whether Congress’s intent as
to the specific matter at issue is clear,
and, if so, the agency must give effect
to that intent.3 If congressional intent is
not clear, then, at Step 2, the agency has
discretion to fashion an interpretation
that is a reasonable construction of the
statute.
To determine congressional intent,
the agency must first consider the words
of the statutory requirements, and if
their literal meaning answers the
question at hand, then, in most cases,
the agency must implement those
requirements by their terms. However,
under the ‘‘absurd results’’ doctrine, the
literal meaning of statutory
requirements should not be considered
to indicate congressional intent if that
literal meaning would produce a result
that is senseless or that is otherwise
inconsistent with—and especially one
that undermines—underlying
congressional purpose. In these cases, if
congressional intent for how the
requirements apply to the question at
hand is clear, the agency should
implement the statutory requirements
not in accordance with their literal
meaning, but rather in a manner that
most closely effectuates congressional
intent. If congressional intent is not
3 Chevron
U.S.A. Inc. v. NRDC, 467 U.S. 837,
842–43 (1984).
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clear, then an agency may select an
interpretation that is reasonable under
the statute.
Under the ‘‘administrative necessity’’
doctrine, Congress is presumed, at
Chevron Step 1, to intend that its
statutory directives to agencies be
administrable, and not to have intended
to have written statutory requirements
that are impossible to administer.
Therefore, under this doctrine, an
agency may depart from statutory
requirements that, by their terms, are
impossible to administer, but the agency
may depart no more than necessary to
render the requirements administrable.
Under the ‘‘one-step-at-a-time’’ doctrine,
Congress is presumed at Chevron Step 1
to have intended to allow the agency to
administer the statutory requirements
on a step-by-step basis, as appropriate,
when the agency remains on track to
implement the requirements as a whole.
Each of these doctrines supports our
action separately, but the three also are
intertwined and support our action in a
comprehensive manner.
Here, we have determined, through
analysis of burden and emissions data
as well as consideration of extensive
public comment, that the costs to
sources and administrative burdens to
permitting authorities that would result
from application of the PSD and title V
programs for GHG emissions at the
statutory levels as of January 2, 2011
should be considered ‘‘absurd results.’’
Therefore, we conclude that under the
‘‘absurd results’’ doctrine, Congress
could not have intended that the PSD or
title V applicability provisions—in
particular, the threshold levels and
timing requirements—apply literally to
GHG sources as of that date.
Even so, the PSD and title V
provisions and their legislative history
do indicate a clear congressional intent,
under Chevron Step 1, as to whether the
two permitting programs applied to
GHG sources, and that the intent was in
the affirmative, that the permitting
programs do apply to GHG sources. Our
previous regulatory action defining the
applicability provisions made this clear,
and we do not reopen this issue in this
rulemaking. Moreover, even if this longestablished regulatory position were not
justifiable based on Chevron Step 1—on
the grounds that in fact, congressional
intent on this point is not clear—then
we believe that this position, that the
statutory provisions to apply PSD and
title V generally to GHG sources, was
justified under Chevron step 2.4
4 In this preamble and the response to comments
document we fully address arguments that
commenters and others have presented about
congressional intent and coverage of GHGs. We do
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As to how to apply the PSD program
to GHG sources, congressional intent, as
expressed in the various statutory
provisions and statements in the
legislative history, is clear that PSD
should apply at least to the largest
sources initially, at least to as many
more sources as possible and as
promptly as possible over time—
consistent with streamlining actions
that we intend to consider coupled with
increases in permitting authority
resources—and at least to a certain
point. This is the approach we take in
this Tailoring Rule, and because it is
consistent with congressional intent, we
believe it is required under Chevron
Step 1. Even if congressional intent
were not clear as to how to apply the
PSD requirements to GHG sources, we
would have authority under Chevron
Step 2 to establish a reasonable
interpretation that is consistent with the
PSD provisions, and we believe that the
tailoring approach so qualifies.
As for title V, the statutory provisions
and legislative history, which of course
are different than those concerning the
PSD program, do not express a clear
intent as to how title V applies to GHG
sources, which leads our analysis to
Chevron Step 2, and here, again, we
believe that the tailoring approach is a
reasonable interpretation that is
consistent with the title V provisions.
For both PSD and title V, we intend
to use the tailoring approach to address
smaller GHG sources over time,
consistent with Congress’s expectations
that the programs would not impose
undue costs to sources or undue
administrative burdens to permitting
authorities. However, we cannot say at
this point how close to the statutory
thresholds we will eventually reach.
Because this rule establishes only the
first two phases of the tailoring
approach, we do not find it necessary to
answer these questions in this rule, and
instead we expect to resolve them
through future rulemaking. We will
remain mindful of the concerns that
Congress expressed about including
small sources in either program. We
intend to consider the issue of the
applicability of title V to GHG sources
without applicable requirements (i.e.,
‘‘empty permits’’) in future steps of our
tailoring approach. When we do so, we
will further assess the potential for the
approach of excluding empty permits
from title V to relieve burden consistent
with statutory requirements.
In addition, because Congress can be
said to have intended the PSD and title
so to be fully responsive, even though we believe
that this is a settled matter for which the time for
judicial review has passed.
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V programs to apply to GHG sources,
the Tailoring Rule is also justifiable
under the ‘‘administrative necessity’’
and ‘‘one-step-at-a-time’’ doctrines.
The legal analysis just described
justifies each of the actions in this rule.
The first two steps that we promulgate
in this rule, which take effect on January
2, 2011 and July 1, 2011, constitute the
most that permitting authorities can
reasonably be expected to do by those
times. Similarly, the 50,000 tpy floor
that we promulgate through at least
April 30, 2016 is reasonable because the
information we have available now
shows that it constitutes the most that
permitting authorities can reasonably be
expected to do by that date. Finally, the
study and two additional rulemakings—
to take effect by July 1, 2013 and April
30, 2016—to which we commit in this
rule establish a track for acquiring
additional information and for taking
further steps to address the application
of PSD and title V more closely to the
literal statutory levels. We intend to
apply them as closely to those levels as
is consistent with congressional intent
and administrative imperatives, in light
of the ‘‘absurd results,’’ ‘‘administrative
necessity,’’ and ‘‘one-step-at-a-time’’
doctrines, although, as noted
previously, we will consider in future
rulemaking how closely to the statutory
thresholds we will be able to implement
the PSD and title V programs as well as
what to require with respect to a
potentially large number of sources with
empty title V permits.
In this rule, we are adopting
regulatory language codifying our
phase-in approach. As we will explain,
many state, local and tribal area
programs will likely be able to
immediately implement our approach
without rule or statutory changes by, for
example, interpreting the term ‘‘subject
to regulation’’ that is part of the
applicability provisions for PSD and
title V. We ask permitting authorities to
confirm that they will follow this
implementation approach for their
programs, and if they cannot, then we
ask them to notify us so that we can take
appropriate follow-up action to narrow
our federal approval of their programs
before GHGs become subject to
regulation for PSD and title V programs
on January 2, 2011. Narrowing our
approval will ensure that for federal
purposes, GHG sources below the size
thresholds we establish in this Tailoring
Rule are not obligated to hold PSD or
title V permits until the states develop
and submit revised PSD and title V
programs that EPA approves, either
because they adopt our tailoring
approach or because, if they continue to
cover smaller GHG sources, the states
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have demonstrated that they have
adequate resources to administer those
programs.
The thresholds we are establishing are
based on CO2e for the aggregate sum of
six greenhouse gases that constitute the
pollutant that will be subject to
regulation, which we refer to as GHGs.5
These gases are: CO2, methane (CH4),
nitrous oxide (N2O), hydrofluorocarbons
(HFCs), perfluorocarbons (PFCs), and
sulfur hexafluoride (SF6). Thus, in this
rule, we provide that PSD and title V
applicability is based on the quantity
that results when the mass emissions of
each of these gases is multiplied by the
Global Warming Potential (GWP) of that
gas, and then summed for all six gases.
However, we further provide that in
order for a source’s GHG emissions to
trigger PSD or title V requirements, the
quantity of the GHGs must equal or
exceed both the applicability thresholds
established in this rulemaking on a
CO2e basis and the statutory thresholds
of 100 or 250 tpy on a mass basis.6
Similarly, in order for a source to be
subject to the PSD modification
requirements, the source’s net GHG
emissions increase must exceed the
applicable significance level on a CO2e
basis and must also result in a net mass
increase of the constituent gases
combined.
We are adopting this rule after careful
consideration of numerous public
comments. On October 27, 2009 (74 FR
55292), EPA proposed the GHG
Tailoring Rule. EPA held two public
hearings on the proposed rule, and
received over 400,000 written public
comments. The public comment period
ended on December 28, 2009. The
comments have provided detailed
information that has helped EPA
understand better the issues and
potential impacts of this rule, and the
final rule described in this preamble
incorporates many of the suggestions we
received. We respond to many of these
comments in explaining our rationale
for the final rule, which is described in
section V. The final rule adopts many
elements of the proposal but differs
from the proposal in several important
respects. We proposed to apply PSD and
title V to GHG sources that emit or have
the potential to emit at least 25,000 tpy
CO2e, and we proposed a PSD
significance level in a range between
5 The term ‘‘greenhouse gases’’ is commonly used
to refer generally to gases that have heat-trapping
properties. However, in this notice, unless noted
otherwise, we use it to refer to specifically to the
pollutant regulated in the LDVR.
6 The relevant thresholds are 100 tpy for title V,
and 250 tpy for PSD, except for 28 categories listed
in EPA regulations for which the PSD threshold is
100 tpy.
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10,000 and 25,000 tpy CO2e, but based
on consideration of the additional
information we received and our further
analysis, we are finalizing the threshold
levels in the amounts and on the
schedule described previously. In
addition, the mechanism for state, local,
and tribal program implementation has
been significantly changed to reflect the
comments received that we needed to
develop an implementation approach
that states could adopt under state law
more expeditiously.
The remainder of this notice describes
our approach and rationale in more
detail. Following this overview, section
III of this preamble provides background
information on the nature of GHG
emissions, recent regulatory
developments that affect when and how
GHG emissions are subject to stationary
source permitting, and the general
requirements of the PSD and title V
programs. Section IV describes in detail
the summary of the key actions being
taken in this rule, including the
determination of emissions, the
thresholds and timing for the phase-in,
our approach to implementing the
phase-in, and the additional future
actions we will take. Section V provides
a more detailed description of each
action, explaining the policy and legal
rationale and responding to comments
received. Section V begins with our
decisions on how to calculate the massbased and CO2e-based emissions used in
the phase-in. Section V then turns to our
legal and policy rationale for the first
two steps of the phase-in, the 50,000 tpy
floor, and the subsequent study and
rulemakings to determine whether and
how smaller sources should be subject
to permitting. This section then
describes key implementation issues
including the approach to state
adoption. After describing our plans for
follow-up on title V fee programs, the
section concludes by describing permit
streamlining techniques; guidance on
BACT for the GHG sources that are
affected under the first two steps of the
Tailoring Rule phase-in; requests for
exemptions; and transitional issues,
including grandfathering. Finally,
section VI describes the expected
impacts that will result from the phasein approach (i.e., the narrower
application of PSD and title V
requirements during the phase-in
period) and sections VII and VIII
address administrative requirements.
III. Background
A. What are GHGs and their sources?
Greenhouse gases trap the Earth’s heat
that would otherwise escape from the
atmosphere into space, and form the
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greenhouse effect that helps keep the
Earth warm enough for life. Greenhouse
gases are naturally present in the
atmosphere and are also emitted by
human activities. Human activities are
intensifying the naturally occurring
greenhouse effect by increasing the
amount of GHGs in the atmosphere,
which is changing the climate in a way
that endangers human health, society,
and the natural environment.
Some GHGs, such as CO2, are emitted
to the atmosphere through natural
processes as well as human activities.
Other gases, such as fluorinated gases,
are created and emitted solely through
human activities. As previously noted,
the well-mixed GHGs of concern
directly emitted by human activities
include CO2, CH4, N2O, HFCs, PFCs,
and SF6. These six GHGs will, for the
purposes of this final rule, be referred to
collectively as ‘‘the six well-mixed
GHGs,’’ or, simply, GHGs, and together
constitute the ‘‘air pollutant’’ upon
which the GHG thresholds in this action
are based. These six gases remain in the
atmosphere for decades to centuries
where they become well-mixed globally
in the atmosphere. When they are
emitted more quickly than natural
processes can remove them from the
atmosphere, their concentrations
increase, thus increasing the greenhouse
effect. The heating effect caused by the
human-induced buildup of GHGs in the
atmosphere is very likely the cause of
most of the observed global warming
over the last 50 years. A detailed
explanation of greenhouse gases,
climate change and its impact on health,
society, and the environment is
included in EPA’s technical support
document (TSD) for the endangerment
finding final rule (Docket ID No. EPA–
HQ–OAR–2009–0472–11292).
In the United States, the combustion
of fossil fuels (e.g., coal, oil, gas) is the
largest source of CO2 emissions and
accounts for 80 percent of the total GHG
emissions. Anthropogenic CO2
emissions released from a variety of
sources, including through the use of
fossil fuel combustion and cement
production from geologically stored
carbon (e.g., coal, oil, and natural gas)
that is hundreds of millions of years old,
as well as anthropogenic CO2 emissions
from land-use changes such as
deforestation, perturb the atmospheric
concentration of CO2 and the
distribution of carbon within different
reservoirs readjusts. More than half of
the energy related emissions come from
large stationary sources such as power
plants, while about a third comes from
transportation. Of the six well-mixed
GHGs, four (CO2, CH4, N2O, and HFCs)
are emitted by motor vehicles. In the
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United States industrial processes (such
as the production of cement, steel, and
aluminum), agriculture, forestry, other
land use, and waste management are
also important sources of GHGs.
Different GHGs have different heattrapping capacities. The concept of
GWP was developed to compare the
heat-trapping capacity and atmospheric
lifetime of one GHG to another. The
definition of a GWP for a particular
GHG is the ratio of heat trapped by one
unit mass of the GHG to that of one unit
mass of CO2 over a specified time
period. When quantities of the different
GHGs are multiplied by their GWPs, the
different GHGs can be summed and
compared on a CO2e basis. For example,
CH4 has a GWP of 21, meaning each ton
of CH4 emissions would have 21 times
as much impact on global warming over
a 100-year time horizon as 1 ton of CO2
emissions. Thus, on the basis of heattrapping capability, 1 ton of CH4 would
equal 21 tons of CO2e. The GWPs of the
non-CO2 GHGs range from 21 (for CH4)
up to 23,900 (for SF6). Aggregating all
GHGs on a CO2e basis at the source level
allows a facility to evaluate its total
GHG emissions contribution based on a
single metric.
B. Endangerment Finding and the LDVR
1. Endangerment Finding
On April 2, 2007, the U.S. Supreme
Court found that GHGs are air pollutants
under CAA section 302(g).
Massachusetts v. EPA, 549 U.S. 497
(2007). As a result, the Supreme Court
found that EPA was required to
determine, under CAA section 202(a),
whether (1) GHGs from new motor
vehicles cause or contribute to air
pollution which may reasonably be
anticipated to endanger public health or
welfare, or (2) the science is too
uncertain to make a reasoned decision.
After issuing a proposal and receiving
comment, on December 7, 2009, the
Administrator signed two distinct
findings regarding GHGs under CAA
section 202(a):
• Endangerment Finding: The
Administrator found that the current
and projected atmospheric
concentrations of the mix of six longlived and directly emitted GHGs—CO2,
CH4, N2O, HFCs, PFCs, and SF6 (referred
to as ‘‘well-mixed greenhouse gases’’ in
the endangerment finding)—are
reasonably anticipated to endanger the
public health and welfare of current and
future generations.
• Cause or Contribute Finding: The
Administrator found that the emissions
of the single air pollutant defined as the
aggregate group of six well-mixed
greenhouses gases from new motor
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vehicles and new motor vehicle engines
contributes to the GHG air pollution that
threatens public health and welfare.
These findings, which were published
December 15, 2009 (74 FR 66496), do
not themselves impose any
requirements on industry or other
entities. However, they were a
prerequisite to finalizing the GHG
standards for light-duty vehicles,
described next.
2. Light-Duty Vehicle Rule
The LDVR, 75 FR 25324 (May 7,
2010), is a joint rule between EPA and
the Department of Transportation’s
National Highway Traffic Safety
Administration (NHTSA) that
establishes a national program
consisting of new standards for lightduty vehicles that will reduce GHG
emissions and improve fuel economy.
EPA finalized the national GHG
emissions standards under the Act, and
NHTSA finalized Corporate Average
Fuel Economy (CAFE) standards under
the Energy Policy and Conservation Act,
as amended. The new standards apply
to new passenger cars, light-duty trucks,
and medium-duty passenger vehicles,
starting with model year 2012. The EPA
GHG standards are projected to result in
an estimated combined average
emissions level of 250 grams of CO2 per
mile for model year 2016 vehicles. The
standards begin with the 2012 model
year, with standards increasing in
stringency through model year 2016.
The standards are a fleet average for
each manufacturer, based on a footprint
attribute curve, meaning that the actual
target for a vehicle will vary depending
on the size of the vehicle. Under the
footprint-based standards, each
manufacturer will have a GHG standard
unique to its fleet, depending on the
footprints of the vehicle models
produced by that manufacturer. A
manufacturer will have separate
footprint-based standards for cars and
for trucks.
The endangerment and contribution
findings described previously require
EPA to issue standards under section
202(a) ‘‘applicable to emission’’ of the air
pollutant that EPA found causes or
contributes to the air pollution that
endangers public health and welfare.
The final emissions standards satisfy
this requirement for GHGs from lightduty vehicles. Under section 202(a), the
Administrator has significant discretion
in how to structure the standards that
apply to the emission of the air
pollutant at issue here, the aggregate
group of six GHGs. EPA has the
discretion under section 202(a) to adopt
separate standards for each gas, a single
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composite standard covering various
gases, or any combination of these. In
the LDVR, EPA finalized separate
standards for N2O and CH4, and a CO2
standard that provides for credits based
on reductions of HFCs, as the
appropriate way to issue standards
applicable to emission of the single air
pollutant, the aggregate group of six
GHGs. EPA did not set any standards for
PFCs or SF6, as they are not emitted by
motor vehicles.
C. What are the general requirements of
the PSD program?
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1. Overview of the PSD Program
The PSD program is a preconstruction
review and permitting program
applicable to new major stationary
sources and major modifications at
existing major stationary sources. The
PSD program applies in areas that are
designated ‘‘attainment’’ or
‘‘unclassifiable’’ for a National Ambient
Air Quality Standard (NAAQS). The
PSD program is contained in part C of
title I of the CAA. The ‘‘nonattainment
new source review (NSR)’’ program
applies in areas not in attainment of a
NAAQS or in the Ozone Transport
Region and is implemented under the
requirements of part D of title I of the
CAA. Collectively, we commonly refer
to these two programs as the major NSR
program. The governing EPA rules are
contained in 40 CFR 51.165, 51.166,
52.21, 52.24, and part 51, Appendices S
and W. There is no NAAQS for CO2 or
any of the other well-mixed GHGs, nor
has EPA proposed any such NAAQS;
therefore, unless and until we take
further such action, we do not anticipate
that the nonattainment NSR program
will apply to GHGs.
The applicability of PSD to a
particular source must be determined in
advance of construction or modification
and is pollutant-specific. The primary
criterion in determining PSD
applicability for a proposed source is
whether the source is a ‘‘major emitting
facility,’’ based on its predicted potential
emissions of regulated pollutants,
within the meaning of CAA section
169(1) and either constructs or
undertakes a modification. EPA has
implemented these requirements in its
regulations, which use somewhat
different terminology for determining
PSD applicability, which is whether the
source is a ‘‘major stationary source’’ or
whether the proposed project is a ‘‘major
modification.’’
a. Major Stationary Source
Under PSD, a ‘‘major stationary
source’’ is any source belonging to a
specified list of 28 source categories
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which emits or has the potential to emit
100 tpy or more of any pollutant subject
to regulation under the CAA, or any
other source type which emits or has the
potential to emit such pollutants in
amounts equal to or greater than 250
tpy. We refer to these levels as the 100/
250-tpy thresholds. A new source with
a potential to emit (PTE) at or above the
applicable ‘‘major stationary source
threshold’’ is subject to major source
NSR. These limits originate from section
169 of the CAA, which applies PSD to
any ‘‘major emitting facility’’ and defines
the term to include any source that
emits or has a PTE of 100 or 250 tpy,
depending on the source category. Note
that the major source definition
incorporates the phrase ‘‘subject to
regulation,’’ which, as described later,
will begin to include GHGs on January
2, 2011, under our interpretation of that
phrase discussed in the recent
Interpretive Memo notice. 75 FR 17004,
April 2, 2010.
b. Major Modifications
PSD also applies to existing sources
that undertake a ‘‘major modification,’’
which occurs: (1) When there is a
physical change in, or change in the
method of operation of, a ‘‘major
stationary source;’’ (2) the change results
in a ‘‘significant’’ emission increase of a
pollutant subject to regulation (equal to
or above the significance level that EPA
has set for the pollutant in 40 CFR
52.21(b)(23)); and (3) there is a
‘‘significant net emissions increase’’ of a
pollutant subject to regulation that is
equal to or above the significance level
(defined in 40 CFR 52.21(b)(23)).
Significance levels, which EPA has
promulgated for criteria pollutants and
certain other pollutants, represent a de
minimis contribution to air quality
problems. When EPA has not set a
significance level for a regulated NSR
pollutant, PSD applies to an increase of
the pollutant in any amount (that is, in
effect, the significance level is treated as
zero).
2. General Requirements for PSD
This section provides a very brief
summary of the main requirements of
the PSD program. One principal
requirement is that a new major source
or major modification must apply
BACT, which is determined on a caseby-case basis taking into account, among
other factors, the cost effectiveness of
the control and energy and
environmental impacts. EPA has
developed a ‘‘top-down’’ approach for
BACT review, which involves a
decision process that includes
identification of all available control
technologies, elimination of technically
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infeasible options, ranking of remaining
options by control and cost
effectiveness, and then selection of
BACT. Under PSD, once a source is
determined to be major for any
regulated NSR pollutant, a BACT review
is performed for each attainment
pollutant that exceeds its PSD
significance level as part of new
construction or for modification projects
at the source, where there is a
significant increase and a significant net
emissions increase of such pollutant.7
In addition to performing BACT, the
source must analyze impacts on ambient
air quality to assure that no violation of
any NAAQS or PSD increments will
result, and must analyze impacts on
soil, vegetation, and visibility. In
addition, sources or modifications that
would impact Class I areas (e.g.,
national parks) may be subject to
additional requirements to protect air
quality related values (AQRVs) that
have been identified for such areas.
Under PSD, if a source’s proposed
project may impact a Class I area, the
Federal Land Manager is notified and is
responsible for evaluating a source’s
projected impact on the AQRVs and
recommending either approval or
disapproval of the source’s permit
application based on anticipated
impacts. There are currently no NAAQS
or PSD increments established for
GHGs, and therefore these PSD
requirements would not apply for
GHGs, even when PSD is triggered for
GHGs. However, if PSD is triggered for
a GHG emissions source, all regulated
NSR pollutants which the new source
emits in significant amounts would be
subject to PSD requirements. Therefore,
if a facility triggers review for regulated
NSR pollutants that are non-GHG
pollutants for which there are
established NAAQS or increments, the
air quality, additional impacts, and
Class I requirements would apply to
those pollutants.
The permitting authority must
provide notice of its preliminary
decision on a source’s application for a
PSD permit, and must provide an
opportunity for comment by the public,
industry, and other interested persons.
After considering and responding to
comments, the permitting authority
must issue a final determination on the
construction permit. Usually NSR
permits are issued by state or local air
7 We note that the PSD program has historically
operated in this fashion for all pollutants—when
new sources or modifications are ‘‘major,’’ PSD
applies to all pollutants that are emitted in
significant quantities from the source or project.
This rule does not alter that for sources or
modifications that are major due to their GHG
emissions.
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pollution control agencies, which have
their own permit programs approved by
EPA in their State Implementation Plans
(SIPs). In some cases, EPA has delegated
its authority to issue PSD permits to the
state or local agency. In other areas, EPA
issues the permits under its own
authority.
D. What are the general requirements of
the title V operating permits program?
1. Overview of Title V
The operating permit requirements
under title V are intended to improve
sources’ compliance with other CAA
requirements. The title V program is
implemented through regulations
promulgated by EPA, 40 CFR part 70,
for programs implemented by state and
local agencies and tribes, and 40 CFR
part 71, for programs generally
implemented by EPA.
In summary, the title V program
requires major sources (defined and
interpreted by EPA to include sources
that emit or have a PTE of 100 tpy of
any pollutant subject to regulation) and
certain other sources to apply for
operating permits. Under EPA’s longstanding interpretation, a pollutant,
such as a GHG, is ‘‘subject to regulation’’
when it is subject to a CAA requirement
establishing actual control of emissions.
Title V generally does not add new
pollution control requirements, but it
does require that each permit contain all
pollution control requirements or
‘‘applicable requirements’’ required by
the CAA (e.g., New Source Performance
Standard (NSPS), and SIP requirements,
including PSD), and it requires that
certain procedural requirements be
followed, especially with respect to
compliance with these requirements.
‘‘Applicable requirements’’ for title V
purposes include stationary source
requirements, but do not include mobile
source requirements. Other procedural
requirements include providing review
of permits by EPA, states, and the
public, and requiring permit holders to
track, report, and annually certify their
compliance status with respect to their
permit requirements.
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2. Title V Permit Requirements
This section provides a brief summary
of the requirements of the title V
program that are most relevant to this
action. A source generally must apply
for a title V permit within 1 year of first
becoming subject to permitting—for
new sources, this is usually within 1
year of commencing operation. The
application must include, among other
things, identifying information, a
description of emissions and other
information necessary to determine
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applicability of requirements and
information concerning compliance
with those requirements. The permitting
authority uses this information to
develop the source’s operating permit.
Title V permits generally contain the
following elements: (1) Emissions
limitations and standards to assure
compliance with all applicable
requirements; (2) monitoring,
recordkeeping, and reporting
requirements, including submittal of a
semiannual monitoring report and
prompt reporting of deviations from
permit terms; (3) fee payment; and
(4) an annual certification of
certification by a responsible official.
The detailed requirements are set forth
at 40 CFR 70.6.
In addition to the permit content
requirements, there are procedural
requirements that must be followed in
issuing title V permits, including
(1) Application completeness
determination; (2) public notice and a
30-day public comment period,
including an opportunity for a public
hearing, on draft permits; (3) EPA and
affected state review; and (4) a statement
of the legal and factual basis of the draft
permit. The permitting authority must
take final action (issue or deny) on the
permit applications within 18 months of
receipt. EPA also has 45 days from
receipt of a proposed permit to object to
its issuance, and citizens have 60 days
after that to petition EPA to object to a
permit. Permits may also need to be
revised or reopened if new requirements
come into effect during the permit terms
or if the source makes changes that
conflict with, or necessitate changes to,
the current permit. Permit revisions and
re-openings follow procedural
requirements which vary depending on
the nature of the necessary change to the
permit.
E. The Interpretive Memo
On December 18, 2008, EPA issued a
memorandum, ‘‘EPA’s Interpretation of
Regulations that Determine Pollutants
Covered by Federal Prevention of
Significant Deterioration (PSD) Permit
Program’’ (known as the ‘‘Johnson
Memo’’ or the ‘‘PSD Interpretive Memo,’’
and referred to in this preamble as the
‘‘Interpretive Memo’’) that set forth
EPA’s interpretation regarding which
EPA and state actions, with respect to a
previously unregulated pollutant, cause
that pollutant to become ‘‘subject to
regulation’’ under the Act. Whether a
pollutant is ‘‘subject to regulation’’ is
important for the purposes of
determining whether it is covered under
the federal PSD and title V permitting
programs. The Interpretive Memo
established that a pollutant is ‘‘subject to
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regulation’’ only if it is subject to either
a provision in the CAA or regulation
adopted by EPA under the CAA that
requires actual control of emissions of
that pollutant (referred to as the ‘‘actual
control interpretation’’). On February 17,
2009, EPA granted a petition for
reconsideration on the Interpretive
Memo, and announced its intent to
conduct a rulemaking to allow for
public comment on the issues raised in
the memorandum and on related issues.
EPA also clarified that the Interpretive
Memo would remain in effect pending
reconsideration.
On March 29, 2010, EPA signed a
notice conveying its decision to
continue applying (with one limited
refinement) the Interpretive Memo’s
interpretation of ‘‘subject to regulation’’
(‘‘Interpretation of Regulations that
Determine Pollutants Covered by Clean
Air Act Permitting Programs’’). See 75
FR 17004. EPA concluded that the
‘‘actual control interpretation’’ is the
most appropriate interpretation to apply
given the policy implications. However,
we refined our interpretation in one
respect: we established that PSD
permitting requirements apply to a
newly regulated pollutant at the time a
regulatory requirement to control
emissions of that pollutant ‘‘takes effect’’
(rather than upon promulgation or the
legal effective date of the regulation
containing such a requirement). In
addition, based on the anticipated
promulgation of the LDVR, we stated
that the GHG requirements of the
vehicle rule would take effect on
January 2, 2011, because that is the
earliest date that a 2012 model year
vehicle may be introduced into
commerce. In other words, the
compliance obligation under the LDVR
does not occur until a manufacturer may
introduce into commerce vehicles that
are required to comply with GHG
standards, which will begin with model
year 2012 and will not occur before
January 2, 2011. We also reiterated
EPA’s interpretation that the 100 tpy
major source threshold for title V is
triggered only by pollutants ‘‘subject to
regulation’’ under the Act, and we
defined and applied that term for title
V purposes in the same way that we did
for PSD purposes. That is, we stated that
a pollutant is ‘‘subject to regulation’’ if
it is subject to a CAA requirement
establishing ‘‘actual control of
emissions;’’ that a pollutant is
considered ‘‘subject to regulation’’ for
title V purposes when such a
requirement ‘‘takes effect’’; and, based
on the anticipated promulgation of the
LDVR, that the GHG requirements of the
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regulatory language is structured such
that the statutory mass-based thresholds
(i.e., for PSD, 100/250 tpy for new
construction and zero tpy for
modifications at a major stationary
source, and for title V, 100 tpy) continue
to apply. As a result, stationary source
apply and stationary sources or
modifications that do not meet these
thresholds are not subject to permitting
requirements. While technically
IV. Summary of Final Actions
evaluation of the mass-based thresholds
is the second step in the applicability
This section describes the specific
analysis, from a practical standpoint
actions we are taking in this final rule.
most sources are likely to treat this as
It describes the overall tailoring
an initial screen, so that if they would
approach for NSR and title V
not trigger PSD or title V on a mass
applicability, the steps we are taking to
put it into place, and future actions that basis, they would not proceed to
evaluate emissions on a CO2e basis. We
we commit to take. The next section, V,
provides the legal and policy rationale
have treated evaluation of mass-based
for these actions. In that section, we
thresholds as the initial step in our
provide a description of our rationale
descriptions. As applicable, a source
and response to comments for each
would evaluate these mass-based
action, presented in the same order as
thresholds by summing each of the six
we describe the actions here.
GHGs it emits on a mass basis (i.e.,
A. How do you define the GHG pollutant before applying GWP). We expect that it
will be very rare for a new stationary
for PSD and title V purposes?
source or modification to trigger
1. GHG Pollutant Defined as the Sumpermitting based on CO2e and not also
of-Six Well-Mixed GHGs
trigger based on mass alone.
We are identifying the air pollutant
Determining permit program
for purposes of PSD and title V
applicability for the GHG ‘‘air pollutant’’
applicability to be the pollutant subject
by using the sum-of-six GHGs is based
to regulation, which is the air pollutant
on EPA’s interpretation that the PSD
for GHGs identified in EPA’s LDVR, as
and title V requirements apply to each
well as EPA’s endangerment and
‘‘air pollutant’’ that is ‘‘subject to
contribution findings.8 In the LDVR,
regulation’’ under another provision of
EPA set emissions standards under
the CAA. As discussed previously, the
section 202(a) that were ‘‘applicable to
final LDVR for GHGs makes it clear that
emission’’ of a single air pollutant
the emissions standards EPA adopted
defined as the aggregate sum of six
are standards applicable to emission of
GHGs. The six GHGs, which are wellmixed gases in the atmosphere, are CO2, the single air pollutant defined as the
CH4, N2O, HFCs, PFCs, and SF6. Earlier, aggregate mix of these six well-mixed
GHGs. See LDVR, May 7, 2010, 75 FR
EPA made the contribution finding for
25398–99, section III.A.2.c, and 40 CFR
this single air pollutant.
Furthermore, as proposed, we are
86.1818–12.9 For reasons explained in
using an emissions threshold that
more detail in section V, we have
allows all six constituent gases to be
determined it is legally required, and
evaluated using a common metric—
preferable from a policy standpoint, for
CO2e. Thus, to determine applicability,
EPA to use the same definition of the air
a source’s GHG emissions are calculated pollutant for permitting purposes as that
on a CO2e basis by multiplying the mass used in the rule that establishes the
emissions of any of the six GHGs that
control requirements for the pollutant.
the source emits by that gas’s GWP and
We also believe there are
then summing the CO2e for each GHG
implementation advantages for applying
emitted by the source. This sum,
PSD and title V in this way. Thus, this
expressed in terms of tpy CO2e, is then
rule establishes that a stationary source
compared to the applicable CO2e-based
will use the group of six constituent
permitting threshold to determine
gases for permitting applicability, rather
whether the source is subject to PSD
than treating each gas individually.
and title V requirements.
Similarly, you will include all six
In addition, because we are
implementing this phase-in through the constituent gases because that is how
the air pollutant is defined, even though
term ‘‘subject to regulation,’’ the
motor vehicles only emit four of the six.
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vehicle rule would take effect on
January 2, 2011.
On April 1, 2010, we finalized the
LDVR as anticipated, confirming that
manufacturer certification can occur no
earlier than January 2, 2011. Thus,
under the terms of the final notice for
the Interpretive Memo, GHGs become
subject to regulation on that date, and
PSD and title V program requirements
will also begin to apply upon that date.
8 See 74 FR 66496, 66499, 66536–7. December 15,
2009.
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2. What GWP values should be used for
calculating CO2e?
We are requiring that wherever you
perform an emissions calculations
involving CO2e for the purposes of
determining the applicability of PSD or
title V requirements, you use the GWP
values codified in the EPA’s mandatory
GHG reporting rule.10 This approach
will assure consistency between the
values required for calculations under
the reporting rule and for PSD or title V.
In addition, because any changes to
Table A–1 of the mandatory GHG
reporting rule regulatory text must go
through a rulemaking, this approach
will assure that the values used for the
permitting programs will reflect the
latest values adopted for usage by EPA
after notice and comment.
B. When will PSD and title V
applicability begin for GHGs and
emission sources?
Overview
In this action, we establish the first
two phases of our phase-in approach,
which we refer to as Steps 1 and 2. We
also commit to a subsequent rulemaking
in which we will propose or solicit
comment on establishing a further
phase-in, that is, a Step 3, that would
apply PSD and title V to additional
sources, effective July 1, 2013, and on
which we commit to take final action,
as supported by the record,11 by no later
than July 1, 2012.
We also commit to undertaking an
assessment of sources’ and permitting
authorities’ progress in implementing
PSD and title V for GHG sources, and to
complete this assessment by 2015. We
further commit to completing another
round of rulemaking addressing smaller
sources by April 30, 2016. Our action in
that rulemaking would address
permitting requirements for smaller
sources, taking into account the
remaining problems concerning costs to
sources and burdens to permitting
authorities. Finally, we determine in
this action that we will apply PSD or
title V requirements to sources that emit
GHGs, or that conduct modifications
that result in increases in emissions of
GHGs, in amounts of less than 50,000
tpy CO2e any earlier than when we take
the required further action to address
smaller sources by April 30, 2016.
10 Table A–1 to subpart A of 40 CFR part 98—
Global Warming Potentials, 74 FR 56395.
11 Although we commit to propose or solicit
comment on lower thresholds and to take final
action on that proposal by July 1, 2012, we cannot,
at present, commit to promulgate lower thresholds.
It will not be until the Step 3 rulemaking itself that
we will gather and analyze data and receive
comments that determine whether we have basis for
promulgating lower thresholds.
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Through this process, we will
implement the phase-in approach by
applying PSD and title V at threshold
levels that are as close to the statutory
levels as possible, and do so as quickly
as possible, at least to a certain point.
The level and timing of the thresholds
that we promulgate in future actions
will be based on our assessment of the
resulting costs to sources and burdens to
permitting authorities, and that, in turn,
will depend on such variables as our
progress in developing streamlining
approaches and on permitting
authorities’ progress in developing
permitting expertise and acquiring more
resources. At this time, we cannot
foresee exactly when or in what manner
those developments will occur.
Therefore, we cannot promulgate more
components of the tailoring approach
beyond what we promulgate in this
action. We can say only that we may
continue the phase-in process with
further rulemaking after 2016.
Alternatively, we may make a definitive
determination in one of the future
rulemaking actions that, under the
‘‘absurd results’’ doctrine, PSD or title V
applies only to certain GHG sources,
and does not apply to the remaining
GHG sources, and with that rulemaking,
bring this tailoring process to a close.
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1. What are the Step 1 thresholds,
timing, and calculation methodology?
a. PSD Permitting
Step 1 of the Tailoring Rule phase-in
will begin on January 2, 2011. With
respect to the PSD program, GHG
sources will become subject to PSD for
their GHG emissions if they undergo
PSD permitting anyway, either for new
construction or for modification
projects, based on emissions of nonGHG pollutants, in which case they will
be subject to the PSD requirements for
GHG if they increase GHG emissions by
75,000 tpy CO2e or more. Under this
step, only these sources, which we refer
to as ‘‘anyway’’ PSD sources, will
become subject to PSD; no sources will
become major sources for PSD purposes
or be treated as undertaking
modifications that trigger PSD based
solely on their GHG emissions. As a
result, no additional PSD permitting
actions will be necessary solely due to
GHG emissions. However, existing or
newly-constructed sources that are
determined to be major sources based
on non-GHG emissions are required to
conduct a BACT review for their GHG
emissions (from new construction) or
emissions increases (from
modifications), if they are subject to
PSD due to their non-GHG emissions
from construction or modification
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actions and each of the following
conditions is met:
(1) The GHG emissions (or net
emissions increase) due to the new
construction (or modification) project,
calculated as the sum of the six wellmixed GHGs on a mass basis (no GWPs
applied) exceed a value of 0 tpy; and
(2) The GHG emissions (or net
emissions increase) due to the new
construction (or modification) project,
calculated as the sum of the six wellmixed GHGs on a CO2e basis (GWPs
applied) equal or exceed a value of
75,000 tpy CO2e.
The purpose of the first condition is
to determine whether the GHG
emissions or net emissions increase has
resulted in an ‘‘increase in the amount’’
of an air pollutant as required by the
Act. Because EPA has not defined a
mass-based regulatory significance level
for GHGs, that level, in effect, is treated
as zero. See 40 CFR 52.21(b)(23)(ii) and
51.166(b)(23)(ii). In practice, this means
any amount of new emissions or an
emission increase will exceed the massbased limit. We are not, at this time,
establishing a significance level based
on mass emissions, and instead we are
establishing one based on CO2e that
addresses permitting burdens. The zero
mass-based amount applies, but only as
an initial screen to exclude sources or
changes that have no mass increase of
GHGs.
b. Title V Permitting
Under Step 1, only sources required
to have title V permits for non-GHG
pollutants (i.e., ‘‘anyway’’ title V
sources) will be required to address
GHGs as part of their title V permitting.
That is, no sources will become major
for title V based solely on their GHG
emissions. Note further, however, that
the 75,000 tpy CO2e limit does not
apply to title V, so that anyway title V
sources must apply any title V
requirements to their GHG emissions.
Sources with title V permits must
address GHG requirements when they
apply for, renew, or revise their permits.
These requirements will include any
GHG applicable requirements (e.g., GHG
BACT requirements from a PSD process)
and associated monitoring, recordkeeping and reporting. When a permit
application is otherwise required, they
will also need to identify GHG
emissions and other information in that
application to the extent required under
40 CFR 70.5(c) and 71.5(c), including
information necessary to determine
applicable requirements.12
12 EPA
notes, however, that many sources subject
to title V under Steps 1 and 2 will also be subject
to the GHG mandatory reporting rule. For these
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31523
2. What are the Step 2 thresholds,
timing, and calculation methodology?
a. PSD Permitting
Step 2 will begin July 1, 2011. Under
Step 2, anyway PSD sources—that is,
sources already subject to PSD based on
non-GHGs and covered under Step 1
previously—will remain subject to PSD.
In addition, sources with the potential
to emit 100,000 tpy CO2e or more of
GHG will be considered major sources
for PSD permitting purposes (provided
that they also emit GHGs or some other
regulated NSR pollutant above the 100/
250 tpy (mass based) statutory
thresholds. Additionally, any physical
change or change in the method of
operation at a major source (including
one that is only major due to GHGs)
resulting in a net GHG emissions
increase of 75,000 tpy CO2e or more will
be subject to PSD review and
requirements with respect to GHGs
(provided that it also results in an
increase of GHG emissions on a mass
basis).
Specifically, for purposes of
determining whether a GHG emission
source, resulting from either new
construction or a physical or operational
change at an existing source, is
considered a major source under PSD,
both of the following conditions must be
met:
(1) The GHG emission source, which
is not major for another pollutant, emits
or has the potential to emit GHG in
amounts that equal or exceed the
following, calculated as the sum-of-six
well-mixed GHGs on a mass basis (no
GWPs applied):
• 100 tpy for sources in any of the 28
major emitting facility source categories
listed under PSD, or
• 250 tpy for any other stationary
source.
(2) The GHG emission source emits or
has the potential to emit GHGs in
amounts that equal or exceed 100,000
tpy CO2e basis.
For determining whether a
modification project at a major
stationary source is subject to PSD
review, both of the following conditions
must be met:
(1) The net GHG emissions increase
resulting from the project, calculated as
the sum-of-six well-mixed GHGs on a
mass basis (no GWPs applied) equals or
exceeds 0 tpy.
(2) The net GHG emissions increase
resulting from the project, calculated as
the sum-of-six well-mixed GHGs on a
sources, the emissions description requirements in
the title V regulations will generally be satisfied by
referencing information provided under the
reporting rule.
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CO2e basis (GWPs applied) equals or
exceeds 75,000 tpy CO2e.
The purpose of the first condition in
both of these determinations is to
confirm whether the GHG emissions or
emissions increase have exceeded, on a
mass-basis, the statutory major source
thresholds (where the source is not
otherwise major) and mass-based
statutory significance level for GHGs,
which, as noted previously, is 0 tpy. See
40 CFR 52.21(b)(23)(ii) and
51.166(b)(23)(ii).
As an example of how the mass-based
test would apply, consider a
modification project that results in a 5
tpy increase of GHG emissions on a
mass basis, associated with a high-GWP
GHG gas (for example, SF6, with a GWP
value of 23,900), but also results in a
100 tpy reduction in CO2 emissions
(assume no other contemporaneous
increases or decreases of GHG). In this
example, there would be a net decrease
of GHG emissions on a mass basis (5
tpy¥100 tpy = ¥95 tpy). Because there
is no mass-based increase of GHG, this
project does not trigger PSD, despite the
fact that the net GWP-adjusted
emissions increase of SF6 in this
example would equal 119,500 tpy of
CO2e and the project would thus exceed
75,000 tpy CO2e.
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b. Title V Permitting
Under Step 2, ‘‘anyway’’ title V
sources—that is, sources already subject
to title V based on non-GHGs and that
are covered under Step 1 previously—
will continue to be subject to title V. In
addition, GHG emission sources that
equal or exceed the 100,000 tpy CO2e
threshold will be required to obtain a
title V permit if they do not already
have one. It is important to note that the
requirement to obtain a title V permit
will not, by itself, result in the triggering
of additional substantive requirements
for control of GHG. Rather, these new
title V permits will simply incorporate
whatever applicable CAA requirements,
if any, apply to the source being
permitted. Both of the following
conditions need to be met in order for
title V to apply under Step 2 to a GHG
emission source:
(1) An existing or newly constructed
source emits or has the potential to emit
GHGs in amounts that equal or exceed
100 tpy calculated as the sum of the six
well-mixed GHGs on a mass basis (no
GWPs applied).
(2) An existing or newly constructed
source emits or has the potential to emit
GHGs in amounts that equal or exceed
100,000 tpy calculated as the sum of the
six well-mixed GHGs on a CO2e basis
(GWPs applied).
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3. What about Step 3?
In this rule, EPA establishes an
enforceable commitment to complete
another rulemaking no later than July 1,
2012, in which we will propose or
solicit comment on a Step 3 of the
phase-in and may also consider other
approaches that may result in the
permanent exclusion of a category of
sources from PSD or title V
requirements, under the Chevron
framework, taking account of the
‘‘absurd results’’ doctrine.
Consistent with our phase-in
approach, it is important for us to
consider whether, at some point during
the implementation of Step 2, it will
become possible to administer GHG
permitting programs for additional
sources. For example, if EPA is able to
promulgate measures that streamline
programs to at least some extent, if
permitting authorities increase their
resources, or if implementation
experience and more seasoned staff
results in more effective use of scarce
permitting resources, then we expect
that we will be able to phase in the
application of PSD and title V to more
sources by establishing Step 3. We do
not have enough information now to
establish a final Step 3, particularly
because there will be significant
transition occurring in the GHG
permitting programs during Steps 1 and
2. However, we believe that it will be
possible to develop a record on which
to base Step 3 sometime soon after we
begin to implement Step 2.
Therefore, we plan to propose a rule
in which we solicit comment on or
propose lower thresholds for PSD and
title V applicability, and we establish an
enforceable commitment to finalize a
rule in which we address those matters
by July 1, 2012. In order to provide a
year for permitting authorities and
sources to prepare for any additional
GHG permitting action in Step 3, we
will establish that Step 3 would take
effect on July 1, 2013. We also commit
to explore, between now and the Step 3
proposal, a wide range of streamlining
options. In the proposal, we will take
comment on streamlining approaches
we think may be viable (except to the
extent we will have already issued
guidance documents concerning
streamlining approaches), and we will
address those options in the final rule.
In addition, as part of the Step 3
action, we may solicit comment on a
permanent exclusion of certain sources
from PSD, title V or both, based on an
‘‘absurd results’’ rationale. For example,
we may make a final determination that
under the ‘‘absurd results’’ doctrine, PSD
and/or title V do not apply to a set of
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GHG sources that, although above the
statutory thresholds for those programs,
are too small and relatively
inconsequential in terms of GHG
contribution. Another type of such
exclusion for the title V program could
be for sources that would otherwise be
required to obtain an ‘‘empty permit,’’
that is, for example, one that would not
contain any applicable requirements
because there are none that apply to the
source. If we promulgate a permanent
exclusion, we may conclude that by that
time, we will have brought into the PSD
and title V programs the full set of
sources that would be consistent with
congressional intent (or, if congressional
intent on that point is unclear, with a
reasonable policy consistent with
statutory requirements) and, under
those circumstances, we would find that
such a rule brings the tailoring process
to a close. The application of the
‘‘absurd results’’ rationale for a
permanent exclusion is discussed in
more detail in section V.B, later in this
preamble.
4. What about the proposed 6-year
exclusion for smaller sources?
The tailoring proposal contemplated
at least a 6-year exclusion from
permitting for small sources. This
proposed exclusion was based on the
overwhelming numbers of permitting
actions at small sources and the need for
time for permitting authorities to secure
resources, hire and train staff, and gain
experience with GHG permitting for
new types of sources and technologies.
It was also based on the time needed for
EPA to develop, and for states to adopt,
streamlining measures to reduce the
permitting burden (e.g., concerning PTE,
presumptive BACT, or general permits).
We therefore proposed such an
exclusion, and proposed that it would
last 6 years—5 years to complete a
required study evaluating permitting
burden and assessing the effect of
streamlining measures or techniques in
reducing this burden, plus an additional
year to complete a final rulemaking that
would phase in additional sources as
appropriate based on the study.
We are finalizing the 6-year exclusion,
and for reasons described later, are
establishing that in no event will
sources below 50,000 tpy CO2e be
subject to PSD or title V permitting
during the 6-year period, nor will
modifications be subject to PSD unless
they increase emissions by 50,000 tpy
CO2e or more. The exclusion will last
until we take the action described later
to address smaller sources, which is
required by April 30, 2016. The
exclusion provides certainty that, before
this date, EPA will not act to cover
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sources and modifications below these
thresholds, including during the
required Step 3 rulemaking that will
occur in 2012. In effect, this means that
Step 3 will establish a major source
threshold and significance level no
lower than 50,000 tpy CO2e. This does
not necessarily mean we will cover
sources below this level on April 30,
2016. It simply means that the provision
we are adopting would assure that EPA
does not cover such sources any sooner
than that.
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5. When and how will EPA take further
action on smaller sources?
As we proposed, we are establishing
an enforceable commitment to act
within 5 years to complete a study
projecting the administrative burdens
that remain for small sources after
permitting authorities have had time to
secure resources, hire and train staff,
and gain experience with GHG
permitting for new types of sources and
technologies, and after EPA has had
time to develop (and states have had
time to adopt) streamlining measures to
reduce the permitting burden for such
sources. We will use the results of this
study to serve as the basis for an
additional rulemaking that would take
further action to address small sources.
Similar to the enforceable commitment
to act on Step 3, we are making an
enforceable commitment to complete
this rulemaking by April 30, 2016.
We cannot predict at this time what
form that final action will take. It could
function as a Step 4, bringing in
additional sources based on, for
example, streamlining actions,
increased permitting authority
resources, and experienced and more
efficient permitting staff; and it could
further indicate that we intend to
follow-up with a Step 5 to bring in more
sources. Alternatively, it could also
function as a final step excluding
certain sources permanently based on
our application of the Chevron
framework, taking account of the
‘‘absurd results’’ doctrine, and subjecting
the remaining sources to permitting.
However, whatever final action we take
would explain any necessary changes to
the Step 3 thresholds and would
supersede the 6-year exclusion for
sources and modifications below 50,000
tpy CO2e.
C. How do state, local and tribal area
programs adopt the final GHG
applicability thresholds?
We are finalizing our proposed
approach to change the definition of
‘‘major stationary source’’ in the PSD
implementing regulations, and the
‘‘major source’’ definition in the title V
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implementing regulations to tailor the
application of these permitting
programs to GHG emissions. We are also
finalizing a significance level for GHG
emissions for purposes of defining a
major modification under the PSD
program, and add an exclusion from
PSD and title V permitting for GHG
emissions, until we complete a
rulemaking required by April 30, 2016,
for any sources that are not already
subject to PSD and title V permitting
and that emit less than 50,000 tpy of
CO2e.
As explained earlier, we are adopting
thresholds that phase in the
applicability of GHG permitting over a
specified time period. In adopting
regulatory changes to implement these
thresholds, we follow an approach that
is substantively the same as the
approach proposed, but takes a different
form for purposes of revisions to our
PSD and title V regulations.
Specifically, in this final rule, for our
regulations, in conjunction with the
definitions of ‘‘major stationary source’’
and ‘‘major modification’’ (for PSD) and
‘‘major source’’ (for title V), we are
adopting a definition of the term
‘‘subject to regulation.’’ Moreover, we are
defining this term so that GHG
emissions from sources above the
threshold are treated as subject to
regulation, and therefore the sources
that emit them are subject to PSD and
title V. We are not finalizing the
approach we proposed, which was to
revise the numerical thresholds in the
definitions so that GHG sources would
have a higher threshold. Although we
are defining the term ‘‘subject to
regulation,’’ we recognize that from a
substantive standpoint, our tailoring
approach entails interpreting the
definitions of ‘‘major emitting facility,’’
‘‘major modification,’’ and ‘‘major
source’’ to phase in the applicability of
PSD and title V, as applicable, to GHG
sources, and it makes no difference
whether we interpret those definitions
through a definition of the term ‘‘subject
to regulation,’’ revising the numerical
thresholds, or revising other terms in
those definitions.
We are adopting definitions of the
term ‘‘subject to regulation’’ to
implement the tailoring approach
because that will facilitate rapid
implementation of the final rules by
states. Under this approach, states may
not need to undertake a regulatory or
legislative action before implementing
the final rule. These states would be
able to establish their interpretations of
the term ‘‘subject to regulation’’ used in
existing state rules before January 2,
2011, which is the date that the LDVR
and permitting requirements would take
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31525
effect, and thereby exempt sources
below the threshold from PSD and title
V as a matter of both federal and state
law. We are also codifying in this
definition EPA interpretations discussed
in our recent action ‘‘Reconsideration of
Interpretation of Regulations that
Determine Pollutants Covered by Clean
Air Act Permitting Programs’’ (75 FR
17704) to provide a complete picture of
the meaning of this phrase as it applies
to all air pollutants.
Because we are finalizing the rule in
a manner that will allow most states to
rapidly implement the final rule, and
because our recent action on the
Interpretive Memo allowed for a longer
transition time than we anticipated at
proposal, we are delaying final action
on our proposal to issue limited
approvals for SIP-approved PSD
programs and part 70 operating permit
programs.13 Instead, we are requesting
that states submit information to the
appropriate EPA Regional Administrator
by August 2, 2010 so that we may
determine whether it is still necessary to
finalize any of our proposed limited
approvals for any SIP-approved PSD
and part 70 title V state programs. In
that letter, states should explain
whether they will apply the meaning of
the term ‘‘subject to regulation’’
established by EPA in this action in
implementing both their PSD and part
70 title V permitting programs, and if so,
whether the state intends to do so
without undertaking a regulatory or
legislative process. If a state must revise
its statutes or regulations to implement
this rule, we ask that it provide an
estimate of the time to adopt final rules
in its letter to the Regional
Administrator. If a state chooses not to
apply the approach reflected in this
rule, the letter should address whether
the state has alternative authority to
implement the final rule’s tailoring
approach or some other approach that is
at least as stringent, but which also
addresses the expected shortfalls in
personnel and funding that would exist
if the state carried out permitting at
thresholds lower than those in the final
rules. For any state that is unable or
unwilling to apply the permitting
thresholds in the final rules, and
otherwise is unable to demonstrate
adequate personnel and funding, or
alternate authority to permit GHG
emissions sources consistent with the
final rules, EPA will move forward with
finalizing a limited approval of the
state’s permitting program. By the same
token, if we do not receive a letter from
13 In the alternative, we also proposed to use our
110(k)(6) error correction authority to revise SIPapproved PSD programs.
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a state in response to this request by
August 2, 2010, we will be obliged to
move forward with finalizing a
narrowing of our approval of the
existing SIP or title V program.
We also ask any state that currently
lacks authority to issue PSD or title V
permits to any GHG emissions sources
to notify the EPA Regional
Administrator by letter as to whether
the state intends to undertake
rulemaking to revise its rules consistent
with these applicability thresholds. For
any state that lacks the ability to issue
PSD or title V permits for GHG
emissions sources consistent with the
final rule, we intend to undertake a
separate action to call for revisions to
these programs. We also intend to move
quickly to impose a Federal
Implementation Plan (FIP) for PSD
through 40 CFR 52.21, and use our
federal title V authority to ensure that
GHG sources will be permitted
consistent with the final rules. Our
request for information from states is
discussed further in section V.C.
D. How do you treat GHGs for purposes
of title V permit fees?
We are not amending the title V
regulations for fees at this time,
including any of the provisions
specifying the presumptive minimum
fee. We are also not, at this time, calling
for each state, local or tribal program to
submit new fee adequacy
demonstrations as a result of increased
GHG permitting workload during Steps
1 and 2. However, as described in
section VI.D the statutory and regulatory
requirement to collect fees sufficient to
cover all reasonable (direct and indirect)
costs required to develop and
administer title V programs still applies.
Therefore, we are recommending that
each program review its resource needs
for GHG-emitting sources and determine
if the existing fee approaches will be
adequate. If those approaches will not
be adequate, we suggest that state, local
and tribal agencies should be proactive
in raising fees to cover the direct and
indirect costs of the program or develop
other alternative approaches to meet the
shortfall. We will closely monitor
approved title V programs during
implementation of the first two steps of
the Tailoring Rule to ensure that the
added workload from incorporating
GHGs into the permit program does not
result in fee shortfalls that imperil
operating permit program
implementation and enforcement. In
developing alternative approaches, we
note the value of approaches that do not
require a per-ton fee for GHG and
therefore do not require a GHG
inventory to develop. Finally, we offer
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to work with permitting authorities that
request our assistance with developing
fee approaches.
E. Other Actions and Issues
This section describes other actions
we intend to take in the future related
to GHG permitting in addition to the
actions that we are promulgating with
this final rule. This section also
responds to commenters’ suggestions
that we undertake certain additional
actions in this rule, which we decline to
do.
1. Timing for Permit Streamlining
Techniques
As described at proposal, we intend to
develop a series of streamlining
approaches as an integral part of our
phase-in approach. The approaches we
described at proposal included: (1)
Defining PTE for various source
categories, (2) establishing emission
limits for various source categories that
constitute presumptive BACT, (3)
establishing procedures for use of
general permits and permits-by-rule, (4)
establishing procedures for electronic
permitting, and (5) applying lean
techniques to establish more efficient
permitting processes. Taken as a whole,
these techniques have the potential to
obviate the applicability of PSD and title
V requirements for some GHG-emitting
sources; promote more efficient
treatment of GHG-emitting sources that
will already be subject to PSD and title
V; and allow the expeditious expansion
of PSD and title V applicability to more
GHG-emitting sources while protecting
those sources and the permitting
authorities from undue expenses.
As a result, we fully intend to move
forward expeditiously with developing
streamlining approaches. However, for
reasons discussed in section V.E, we do
not expect to develop and implement
any of these approaches before Step 2
begins. Moreover, we generally expect
that each of the first three—which are
the most far-reaching—will take several
years to implement because we will
need to undertake notice and comment
rulemaking to develop them, and then
the permitting authorities will need to
adopt them through the appropriate
state or local processes. We commit to
explore a wide range of possible
approaches before the Step 3
rulemaking, and, in that rulemaking, to
propose those that we think may be
viable once we have had time to gather
and review key supporting data, and
once the states and we have key
implementation experience that can
inform our thinking. Because the
streamlining approaches generally carry
uncertainty—as demonstrated by
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comments we received raising legal and
policy concerns, as discussed later, that
we will have to address—we cannot
commit with this action to adopt any
streamlining actions in particular, nor to
adopting them on any particular
schedule. However, we intend to pursue
streamlining options as expeditiously as
possible, beginning immediately and
proceeding throughout the phase-in
period, and we encourage permitting
authorities to do the same.
2. Guidance for BACT Determinations
Through this final rule we are not
amending our regulations or issuing
guidance on BACT for GHGs. As
described in our proposal, we recognize
the need to develop and issue technical
and policy guidance for permitting of
GHGs, and we plan to accomplish it
through a separate effort that will
involve stakeholder input. This effort is
already underway; in addition to
comments EPA received on the
proposed Tailoring Rule related to GHG
BACT guidance and information needs,
EPA received a suite of
recommendations from the Clean Air
Act Advisory Committee (CAAAC) to
which EPA is actively responding. This
includes technical guidance and
database tools that EPA anticipates
issuing by June 2010, and policy
guidance that will be issued by the end
of 2010. Thus, this important
information will be available to support
permitting agencies in their BACT
determinations at the time that the
GHGs become a regulated NSR
pollutant, once the LDVR takes effect in
January 2011. EPA is confident that
these measures will help support a
smooth transition to permitting
emissions of GHGs.
3. Requests for Higher Category-Specific
Thresholds and Exemptions From
Applicability
EPA has decided not to provide
exemptions from applicability
determinations (major source and major
modification) under title V and PSD for
certain GHG emission sources, emission
activities, or types of emissions at this
time. Commenters requested several
applicability exemptions with respect to
GHGs from, for example, agricultural
sources, residential sources, small
businesses, energy-intensive industrial
processes (e.g., aluminum, steel,
cement, glass, and pulp and paper
manufacturers), lime production,
semiconductor production, poultry
production, solid waste landfills,
biomass combustion/biogenic
emissions, fugitive emissions, and
pollution control projects. For reasons
explained in section V.E, we have
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decided to address the need for tailoring
through a uniform threshold-based
approach, rather than through a
collection of various specific exclusions.
4. Transitional Issues Including
Requests for Grandfathering
For reasons explained in section V.E,
EPA has determined that transitional
issues for pending applications and
permitted sources are adequately
addressed by existing requirements and
the amount of lead time provided before
permitting requirements apply to GHGs
under this rule and the March 29, 2010
final action regarding the Interpretive
memo. This rule does not contain any
additional exemptions or grandfathering
provisions addressing the transition to
PSD and title V permitting for GHGs.
We are not promulgating an
exemption for PSD permit applications
that are pending when Step 1 of the
permitting phase-in begins for those
sources that would otherwise need to
obtain a PSD permit based on emissions
of pollutants other than GHGs. Any PSD
permits issued to such Step 1 sources on
or after January 2, 2011 will need to
address GHGs. This action makes no
change to the position we expressed on
this issue on April 2, 2010.
Final PSD permits issued before
January 2, 2011 need not be reopened or
amended to incorporate requirements
for GHGs that take effect after the permit
is issued. A source that is authorized to
construct under a PSD permit but has
not yet begun actual construction on
January 2, 2011 may begin actual
construction after that date without
having to amend the previously-issued
PSD permit to incorporate GHG
requirements, provided the permit has
not expired.
Sources that are not subject to PSD
permitting requirements until Step 2
need not obtain a PSD permit
addressing GHGs in order to continue
any actual construction that begins
before July 1, 2011, when such a source
was not a major stationary source
required to obtain a PSD permit.
However, Step 2 sources that begin
actual construction in Step 2 may do so
only after obtaining a PSD permit.
The title V permitting regulations
already include a robust set of
provisions to address the incorporation
of new applicable requirements and
other transitional considerations. A title
V source applying for the first time must
submit its permit application within 12
months after the source becomes subject
to the operating permit program or an
earlier time at the discretion of the
permitting authority. Where a source is
required to obtain a PSD permit, the
source must apply for a title V permit
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or permit revision within 12 months of
commencing operation or on or before
such earlier date as the permitting
authority may establish. Where
additional applicable requirements
become applicable to a source after it
submits its permit application, but prior
to release of a draft permit, the source
is obligated to supplement its
application. Permitting authorities may
also ask for additional information
during the processing of an application.
In addition, where a source that already
has a title V permit becomes subject to
additional applicable requirements, the
permitting authority is required to
reopen the permit to add those
applicable requirements if the permit
term has 3 or more years remaining and
the applicable requirements will be in
effect prior to the date the permit is due
to expire.
V. What Is the Legal and Policy
Rationale for the Final Actions?
In this section, we describe the legal
and policy rationale for our action,
including our rationale for the
following: (1) Our approach to
calculating GHG emissions for PSD and
title V applicability purposes, (2) our
approach to establishing the thresholds
and timing of PSD and title V
applicability to GHG emissions sources;
(3) how state, local, and tribal area
programs adopt the final GHG
applicability thresholds; (4) treatment of
GHGs for title V permit fees; (5) future
activities, including streamlining
actions. We present the rationale
description in the following five
subsections, corresponding to the basic
presentation of the approach in section
IV.
A. Rationale for Our Approach to
Calculating GHG Emissions for PSD and
Title V Applicability Purposes
1. Grouping of GHGs Into a Single
Pollutant
In this section, we explain our
treatment of the air pollutant at issue for
purposes of PSD and title V, such that
sources that emit that pollutant in the
requisite quantities become subject to
PSD and/or title V requirements. We
explain our rationale for treating the
GHG air pollutant as a combined group
of six GHGs instead of six separate air
pollutants defined by each individual
GHG, and our rationale for including all
six of the GHGs in that group. We also
define the GHG metric to use for
comparison to the applicability
thresholds.
We proposed to identify the air
pollutant as the aggregate group of the
six GHGs that comprise the GHG
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31527
pollutant, and to use a GHG metric for
the applicability thresholds based on
CO2e. The summed CO2e emissions
would then be compared to the
applicable permitting threshold to
determine whether the source is subject
to PSD and title V requirements.
Historically, the PSD and title V
regulatory provisions do not, in the first
instance, define the ‘‘air pollutant’’ to
which they apply, but rather rely for the
definition of the pollutant on a crossreference to the regulatory provision
under another part of the Act that
establishes the emission standards or
limits for that pollutant that in turn
causes the pollutant to be subject to
regulation under PSD and title V
permitting. As an example, the pollutant
‘‘total reduced sulfur’’ (TRS) is a
pollutant comprised of the sum of
multiple compounds that was originally
defined under the NSPS, subpart BB,
Standards of Performance for Kraft Pulp
Mills, which then caused it to be subject
to regulation under the PSD program.
The actual compounds that define the
pollutant TRS are identified in the
NSPS. The PSD program regulations did
not introduce its own independent
definition of TRS, but instead relied on
the definition as contained in the Kraft
Pulp Mills NSPS.
However, at the time of our proposal,
the endangerment and cause or
contribute findings had not been
completed and the LDVR for GHGs had
not been finalized. Thus, there was no
final agency action defining the ‘‘air
pollutant’’ consisting of GHGs to be
considered ‘‘subject to regulation.’’
Absent a definition of ‘‘greenhouse
gases’’ under another regulatory
provision that we could cross-reference,
we proposed to define ‘‘greenhouse
gases’’ for permitting purposes as ‘‘the
single air pollutant that is comprised of
the group of six GHGs, as proposed in
the [CAA] section 202(a) endangerment
and contribution findings.’’ 74 FR
55329, col. 1. The six well-mixed GHGs
identified in the proposed contribution
finding were: CO2, CH4, N2O, SF6, HFCs,
and PFCs.
In the proposal, we further recognized
that the LDVR for GHGs, as it was
proposed, would result in reductions of
only four of the gases, not all six,
because only four are emitted by
vehicles. However, we concluded that if
the LDVR were finalized as proposed,
then the air pollutant for purposes of
PSD and title V applicability would be
a single air pollutant that is the
aggregate mix of the group of six GHGs
because—
[t]hese six GHGs as a class comprise the air
pollutant that is the subject of the
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endangerment finding and companion
contribution finding and constitute the air
pollutant that is regulated by the light-duty
vehicle rule through measures that address
the components of that air pollutant that are
emitted from the mobile sources. Thus,
although the CAA section 202(a) proposal
establishes controls only with respect to four
GHGs, as a legal matter, the proposal covers
the entire set of GHGs that as a class are the
single ‘‘air pollutant’’ in the proposed
endangerment and contribution findings.
74 FR 55329 col. 1.
We also solicited comment on
whether we should identify the GHG
metric in a different way, such as
addressing each GHG constituent
compound individually or including
(whether individually or as a group)
only those four GHG constituent
compounds for which reductions would
occur through the emission standards or
limits proposed in the LDVR.
A minority of the comments on our
proposal addressed this issue. Some
commenters supported combining the
individual GHGs as one pollutant for
purposes of determining permitting
applicability, and stated that it is not
uncommon for EPA to recognize
‘‘collective’’ air pollutants comprised of
many individual compounds based
upon shared threats to health and
welfare, including such EPA-created
group pollutants as sulfur oxides,
nitrogen oxides, volatile organic
compounds (VOCs), and particulate
matter (PM).
On the other hand, a significant
number of commenters also raised
concerns about grouping the individual
GHGs into one metric. Some of these
commenters argued that grouping GHGs
is not appropriate because GHGs are not
like other air pollutants that are
comprised of numerous substances of
concern (e.g., VOCs and PM), individual
GHGs do not interact or combine to
create a pollutant of concern, and EPA
has not established a ‘‘GHG’’ NAAQS
that supports the definition of the
pollutant as a group. Some were
concerned that regulating the GHGs as
a group would increase the likelihood
that a source will trigger permitting
requirements, adding that this is
unnecessary and would conflict with
the ‘‘absurd results’’ and ‘‘administrative
necessity’’ doctrines because it would
lead to larger numbers of sources
becoming subject to permitting. Some
commenters opposing grouping
suggested that we should explore
regulating each of the GHG pollutants
on an individual mass basis rather than
collectively because in their view, it is
reasonable and feasible to regulate and
control emissions of each of the listed
pollutants, other than CO2, at the 100/
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250 tpy thresholds, or less if deemed
necessary, in accordance with the
established mechanisms of the Act and
doing so would lead to a better
environmental result. Finally, some
commenters argued that disaggregating
the pollutants would also allow for
more appropriate technology review.
After considering these comments,
and taking into account other related
actions that have occurred since
proposal, we have determined that PSD
and title V permitting program
requirements will apply, as proposed, to
the ‘‘single air pollutant that is
comprised of the group of six GHGs.’’ 74
FR 55329, col. 1. We believe that this
approach is both compelled by the
statute and reflects the preferable policy
approach.
As more fully discussed elsewhere in
this rulemaking, the PSD requirements
apply to a ‘‘major emitting facility’’ that
undertakes construction or
‘‘modification.’’ CAA sections 165(a),
169 (2)(C). The term ‘‘major emitting
facility’’ is defined as, in general, a
source that emits 100 or 250 tons of ‘‘any
air pollutant,’’ CAA section 169(1), and,
similarly, the term ‘‘modification’’ is
defined as a physical or operational
change that results in the increased or
new emissions of ‘‘any air pollutant.’’
CAA sections 169(2)(C), 111(a)(4).
Through regulation, we have interpreted
the term ‘‘any air pollutant,’’ as found in
both the terms ‘‘major emitting facility’’
and ‘‘modification,’’ more narrowly to
mean any ‘‘regulated NSR pollutant,’’
and we further define this term to
include any pollutant that is ‘‘subject to
regulation under the Act.’’ 40 CFR
52.21(b)(50)(iv), 52.21.(b)(2).14
Similarly, as discussed elsewhere, the
title V requirements apply to a ‘‘major
source,’’ which is defined, in general, as
any source that emits at least 100 tpy of
‘‘any air pollutant.’’ CAA sections 502(a),
501(2)(B), 302(j). EPA has interpreted
the term ‘‘any air pollutant’’ narrowly so
that applies only with respect to air
pollutants that are subject to regulation
under the CAA. Memorandum from
Lydia N. Wegman, Deputy Director,
Office of Air Quality Planning and
Standards, U.S. EPA, ‘‘Definition of
Regulated Air Pollutant for Purposes of
Title V’’ (Apr. 26, 1993).
Based on these provisions, the key
issue for present purposes in
determining whether a source is subject
to PSD (because it qualifies as a major
emitting facility that undertakes
construction or modification) or title V
14 By the same token, CAA section 165(a)(4)
requires that a source subject to PSD impose best
available control technology for ‘‘each pollutant
subject to regulation under this chapter’’ that the
source emits.
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is whether the pollutant or pollutants
that the source emits comprise the ‘‘air
pollutant’’ that is ‘‘subject to regulation’’
under the Act.
The phrase ‘‘subject to regulation
under the Act,’’ by its terms, identifies
the air pollutant that is subject to PSD
and title V as the same air pollutant that
is identified in the regulatory action
under another provision of the Act. The
term is a simple cross-reference. It
carries no implication that EPA, in
identifying the pollutant to which PSD
or title V apply, may redefine the
pollutant that is regulated elsewhere in
the Act. Whatever the pollutant is that
is regulated elsewhere, it is that
pollutant to which PSD and title V
apply.
Since the time of our proposal, we
have finalized both the contribution
finding and the LDVR for GHGs. The
final LDVR for GHGs specifies, in the
rule’s applicability provisions, the air
pollutant subject to control as the
aggregate group of the six GHGs,
including CO2, CH4, N2O, SF6, HFCs,
and PFCs.15 Because it is this pollutant
that is regulated under the LDVR, it is
this pollutant to which PSD and title V
apply. Specifically, the applicability
provision in the LDVR provides a clear
reference to the definition of the single
pollutant comprised of the aggregate
group of the six well-mixed GHGs,
which makes clear PSD and title V
applicability depends on the same sumof-six GHG construct. We must follow
this construct of the aggregate group of
the six gases and do not have discretion
to interpret the GHG ‘‘air pollutant’’
differently for the purposes of PSD or
title V.
This construct of the pollutant as the
aggregate group of the six gases is also
consistent with the definition of the air
pollutant in the final contribution
finding for GHGs [see 74 FR 66496,
66499, 66536–7 (December 15, 2009)].
There, the Administrator defined the air
pollutant as the ‘‘aggregate group of the
same six * * * greenhouse gases,’’ (74
FR 66536), and these well-mixed GHGs
are defined to include CO2, CH4, N2O,
SF6, HFCs, and PFCs.
Moreover, even if we had discretion
to identify the GHGs air pollutant
differently in the permitting programs
than in the LDVR, we believe it is
reasonable to identify the GHGs air
pollutant through the sum-of-six
construct for the same reasons why we
adopted that definition in the
contribution finding and for additional
reasons noted below specific to the
permit programs. The term ‘‘air
15 The applicability provision of the LDVR is
found in 40 CFR 86.1818–12(a).
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pollutant’’ is defined under CAA section
302(g) as ‘‘any air pollution agent or
combination of such agents, including
any physical, chemical, biological,
radioactive * * * substance or matter
which is emitted into or otherwise
enters the ambient air.’’ Under this
definition, EPA has broad discretion to
identify an air pollutant, including, as
appropriate, treating a combination of
air pollutant agents as a single air
pollutant. Here, we think that the six
well-mixed gases are appropriately
combined into a single air pollutant
because, as noted in the contribution
findings, they share several important
attributes: Each of the six gases:
• Is directly emitted (and is not
formed by secondary processes in the
atmosphere);
• Is long-lived in the atmosphere after
it is emitted;
• Is sufficiently long-lived that it
becomes ‘‘well-mixed,’’ which means
that its concentration is essentially
uniform in the atmosphere (as opposed
to having significant local/regional
variation); and
• Has well understood atmospheric
properties (e.g., radiative forcing).
See 74 FR 66516–66518.
In addition, treating the six GHGs as
a single air pollutant is consistent with
the actions of international scientific
bodies. For example, the
Intergovernmental Panel on Climate
Change (IPCC) considers in various
reports how the six gases drive humaninduced climate change and how that
affects health, society, and the
environment. Similarly, the United
Nations Framework Convention on
Climate Change (UNFCCC) requires
reporting of these six gases and the
commitments under the UNFCCC and
Kyoto Protocol are based on the
combined emissions of these six gases.
Finally, as discussed later, it is standard
practice to compute the ‘‘CO2
equivalency’’ of aggregate emissions
using GWP.
We disagree with commenters who
argued that grouping all six GHGs is not
appropriate because GHGs are not like
other air pollutants that are comprised
of numerous substances of concern (e.g.,
VOCs and PM). First, as noted
previously, we are following the
approach to a single air pollutant
comprised of the aggregate of the six
GHGs initially adopted in the
contribution finding and followed in the
LDVR. Many of these same comments
have already been addressed in the
contribution finding and Response to
Comment (RTC) document for that
action, and those responses apply
equally here.
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In addition to the reasons described in
the endangerment and contribution
findings, there are CAA permitting
programmatic and policy advantages to
using the sum-of-six construct for the
GHG air pollutant for PSD and title V
applicability purposes. We believe now,
as we did at proposal, that the benefits
in using the cumulative group of GHGs
outweigh any implementation
advantages to using an individual-GHGbased metric. The advantages to sum-ofsix definition include that it may: (1)
Allow significantly more flexibility to
sources for designing and implementing
control strategies that maximize
reductions across multiple GHGs and
would also likely align better with
possible future regulations that allow for
such flexibility; (2) more effectively
support possible future offsets or trading
mechanisms that involve different
source categories and different
compositions of GHG emissions; and (3)
could better accommodate and
harmonize with future regulations
because it establishes one class of
pollutants that includes individual
components that may, in turn, become
subject to specific emission standards
under future regulatory efforts.
We disagree with commenters who
believe that aggregating the GHGs under
one GHG metric for permitting
applicability purposes would lead to an
excessive amount of source permitting
activity. This is because the phase-in
approach addresses overwhelming
permitting burdens associated with
permitting of GHGs. It does so by
designing our applicability thresholds to
allow for a manageable amount of new
permitting actions based on the
emissions from sources using the sumof-six metric. If we based applicability
on individual gases, (assuming, again,
that we had authority to deviate from
the definition of ‘‘air pollutant’’ as used
in the LDVR), we would still need to
determine what level of permitting is
manageable and appropriate based on
thresholds on an individual gas basis
and would expect that the final rule
would result in the same levels of
remaining burden. Accordingly, unless
the permitting program were being
implemented at the statutory thresholds,
the effect of a decision to aggregate or
not aggregate would not reduce
workload; rather, it would simply shift
work from permitting facilities that
trigger based on combined GHGs to
those that trigger based on individual
GHGs. Although we acknowledge that
this may affect applicability for a
particular source, we disagree with the
comment that doing so would conflict
with our conclusions based on the
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‘‘absurd results’’ or ‘‘administrative
necessity’’ doctrines. By using a
consolidated and weighted
measurement, we are able to direct the
limited administrative resources to
those new sources and modifications
with the greatest impact on GHG
emissions.
We also believe that the additional
flexibility resulting from the sum-of-six
GHG metric will provide substantially
more opportunities for sources to
address emission increases of GHGs
than they would have had under an
individual gas based metric, and,
thereby, possibly reduce their
permitting burden through multi-gas
mitigation strategies. We disagree with
the comment that isolating BACT
review on sources that emit a single
GHG necessarily leads to better
environmental results than it would for
sources that undergo a combined review
for all six gases. To the contrary, given
that Congress built in considerations of
energy, environmental, and economic
impacts into the BACT requirement, we
think that allowing consideration of
those factors across six gases will likely
result in decisions that more
appropriately account for those impacts
at the source.
2. Identifying Which GHGs Are
Included in the Group
As discussed previously, we proposed
to include the combination of six wellmixed GHGs as the air pollutant that
triggers PSD and title V applicability:
CO2, CH4, N2O, SF6, HFCs, and PFCs.
Some commenters supported including
all six. They cite the proposed
contribution findings that identify the
pollutant through the sum-of-six
construct, and they emphasize that EPA,
in order to protect the public, has to
control all the GHGs it has regulated
and reduce the overall impact of the mix
of six GHGs.
However, a substantial number of
commenters, mainly from industry
sectors who also disagree with grouping
the GHGs together, contend that only
the constituent gases that are actually
subject to controls under the LDVR
should be included in determining
applicability under the Tailoring Rule.
Some of these commenters believe that
only the three compounds (CO2, CH4,
N2O) for which the LDVR contains
emissions standards or caps should be
considered in the GHG metric for
permitting, while others would also add
HFCs (which are included in a credit
flexibility arrangement under the LDVR)
for a total of four GHGs. These
commenters argued that PSD is not
triggered for all six GHGs by the LDVR
because under the proposed PSD
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interpretation in the Interpretive Memo,
actual emission controls under the Act
are required to trigger PSD obligations
for a given pollutant. They also argue
that including all six would conflict
with EPA’s rationale for the Tailoring
Rule by leading to larger numbers of
sources subject to permitting, thereby
increasing the harm that EPA says it
wants to avoid. They further assert that
the EPA cannot exercise its discretion to
widen the scope of PSD and title V
applicability to six GHGs when it is
relying on the judicial doctrines of
‘‘absurd results’’ and ‘‘administrative
necessity’’ to narrow PSD and title V
applicability. They explain that in their
view, those doctrines apply only when
EPA has taken all steps possible to
narrow the scope of PSD and title V and
thereby avoid the administrative
problems that force it to rely on those
doctrines.
There were a few comments on
whether to include specific gases as part
of the sum-of-six grouping. Several
commenters representing sectors that
have significant SF6 usage specifically
argue that SF6 should not be included
as a GHG, at least at this time, because
there are no known SF6 controls, it is
not clear how PTE would be calculated
from such facilities, and EPA has not
addressed the economic burden that
regulation of these facilities would
create. A solid waste industry
commenter asserts that the Tailoring
Rule should confirm that CH4 and N2O
will not be regulated under PSD or title
V because these pollutants are only
emitted in miniscule amounts from
automobiles.
We disagree with commenters who
suggest that because the LDVR actually
reduces only four of the six GHGs, EPA
may apply PSD and title V to only those
four GHGs. It is true that the LDVR
standard for the single air pollutant that
is comprised of the aggregate of six
GHGs consists of individual standards
for only four particular constituents of
the single air pollutant—which are
emissions limits or caps for three GHGs
(CO2, CH4, and N2O) and an emission
crediting option for one GHG (HFCs)—
but this does not dictate that only those
four compounds are subject to
regulation for permitting purposes.
Although the LDVR results in
reductions only with respect to four
specific GHGs, as a legal matter the
LDVR standard covers the entire set of
GHGs that as a class are the single ‘‘air
pollutant’’ in the contribution finding.
Similar to our rationale for addressing
the group of six GHGs as one pollutant
for PSD and title V applicability
purposes, we must adhere to the
definition of applicability, cited
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previously, in the final LDVR for GHGs
and include CO2, CH4, N2O, SF6, HFCs,
and PFCs. We do not have discretion to
select only a subset of these gases in
defining our GHG threshold metric for
the permitting applicability purposes.
See LDVR, May 7, 2010, 75 FR 25398–
99, section III.A.2.c. (discussing EPA’s
exercise of discretion under section
202(a) in setting emissions standards
applicable to emission of the single air
pollutant).
For the same reasons, we disagree that
this approach is inconsistent with the
Agency’s final action in ‘‘EPA’s
Interpretation of Regulations that
Determine Pollutants Covered by
Federal Prevention of Significant
Deterioration (PSD) Permit Program.’’
While it is the case that only four
constituent gases are reduced by the
LDVR, the ‘‘air pollutant’’ that is
controlled, and thus ‘‘subject to
regulation,’’ is the group of six, and it is
this ‘‘air pollutant’’ to which PSD and
title V apply.
We also disagree with commenters
who suggested that including all six
GHGs in determining permitting
applicability would conflict with our
‘‘absurd results’’ and ‘‘administrative
necessity’’ rationale for the phase-in
periods and applicability thresholds for
GHGs. Even if we did have discretion to
identify the air pollutant for PSD and
title V purposes as consisting of only
four of the six well-mixed GHGs, we do
not believe that doing so would have
any meaningful impact on the
administrative burdens that are at the
heart of our reliance on the ‘‘absurd
results’’ and ‘‘administrative necessity’’
doctrines. The number of additional
permitting actions and amount of
additional permitting burden resulting
from including all six GHGs, rather than
four, is minimal. This is because the
administrative burden of GHG
permitting is dominated by CO2 and
CH4 emission sources. For example,
with a major source threshold set at
100,000 tpy CO2e, the combined
population of sources that would be
major for N2O, HFCs, PFCs, and SF6
accounts for fewer than two percent of
the GHG sources that would remain
covered.
For similar reasons, we disagree with
commenters who specifically suggest
SF6 emissions should not be included in
the applicability metric for GHGs. As we
have stated earlier in this section, our
selection of the GHG metric is driven by
the definition of the ‘‘air pollutant’’ as
defined in the LDVR, and in
consideration of the final GHG
endangerment finding. SF6 is
specifically included as one of the
‘‘well-mixed greenhouse gases’’ in the
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definition of air pollutant in the
contribution finding, and is included in
the definition of the air pollutant in the
LDVR for which that rule is applicable.
We do not believe we have the
discretion to define the ‘‘air pollutant’’
differently for PSD and title V
applicability purposes than the
definition of the ‘‘air pollutant’’ that is
regulated elsewhere. In any event,
including SF6 emissions based on the
thresholds finalized in this rulemaking
does not add an excessive
administrative burden for permitting
authorities. Based on our threshold
evaluation study, we estimate that less
than 40 sources of SF6 nationwide
would exceed the 100,000 tpy CO2e
threshold. Furthermore, SF6 is a high
GWP gas and, as discussed elsewhere,
we have included a mass-based trigger
for high GWP gases that will likely have
the effect of further reducing this count.
For the same reasons, we disagree
with the commenters who suggest we
include black carbon and other shortlived climate forcers to the list of GHGs,
as well as commenters asking for an
exclusion of CH4 and N2O. The
definition of the air pollutant, as cited
in the LDVR, includes CH4 and N2O and
does not include black carbon or other
short-lived gases.
3. Use of GWP vs. Mass-Based GHG
Thresholds
For the reasons discussed previously,
we are determining permit program
applicability based on the sum-of-six
well-mixed gases that comprise the GHG
air pollutant. This section discusses our
use of both the CO2e metric and mass
emissions of the GHGs for applicability
purposes.
Under our proposal, a source’s
emissions of all six GHGs would be
combined into a single metric by
multiplying the mass of each individual
GHG (in tpy) by its GWP value, and
summing these products to determine
the total emissions of the GHG pollutant
in tpy CO2e. We received comments on
this aspect of the proposed metric.
Several commenters explicitly support
the use of GWP and the CO2e metric for
GHG emissions. These commenters
believe EPA has the authority to select
an appropriate metric to measure GHGs
in the PSD program, and policy
considerations support the choice of
GWP. Some of them note that GWP is
a widely-used metric which employs
internationally-recognized conversion
factors to compare GHGs based upon
their climate properties, and some add
that states and local areas that have
climate action plans for GHG reductions
use CO2e. Some of these commenters
believe this metric will ensure a
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standard measure across all permitting
agencies and will lead to a more
effective system for permitting
authorities and create more
opportunities to reduce emissions over
the full class of GHGs, rather than
focusing on reducing individual GHGs.
On the other hand, some commenters
oppose the use of GWP and CO2e,
believing that thresholds should be
based on individual mass-based
emissions for each GHG. Some of these
commenters felt that EPA has no
discretion to ignore the metric for
regulation established by Congress for
PSD in section 169 of the Act. Some
commenters were also concerned that
the use of CO2e will complicate the
implementation of BACT because
sources that trigger PSD will be required
to install BACT for each regulated
pollutant, not for CO2e. As a result, a
source that exceeds the threshold
primarily due to its CO2 emissions
would be forced to install BACT for all
other individual GHGs, regardless of
how minor those other emissions may
be. Finally, a commenter was concerned
that use of GWP would complicate
implementation because GWP values
can sometimes change.
In our proposal preamble discussion
of GHG metric, EPA also raised the
possibility of including a limitation in
the metric to address the prospect
(expected to occur only rarely) that
high-GWP gases could be emitted in
quantities less than statutory thresholds
for PSD and title V but nevertheless
exceed the proposed thresholds in terms
of CO2e. Most commenters on this
subject support a dual threshold under
which a source would be subject to title
V or PSD only if its GHG emissions
exceeded both the statutory thresholds
on an actual tonnage basis and the
tailored thresholds on a CO2e basis.
Commenters supporting this approach
felt that it would be unlawful to apply
PSD when GHGs are below the statutory
thresholds, or when there is not a net
emissions increase. Others added that
the complexity of accounting for
emissions according to both mass and
GWP should be manageable and is not
a reason to ignore the role of mass-based
emission rates in determining the
applicability of PSD requirements.
Additionally, one commenter observed
that a dual threshold is consistent with
phasing in the Tailoring Rule and is an
effective way to address the current
uncertainty surrounding how to
measure high-GWP gases such as SF6. In
contrast, a few commenters stated they
do not support a dual threshold,
primarily on the grounds that there is no
benefit to the added complexity.
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After considering these comments, we
have decided to adopt applicability
thresholds in the final rule based on a
CO2e metric for the sum-of-six wellmixed gases, and also to adopt an
additional mass-based threshold for the
sum-of-six gases as discussed in the
proposal. First, as discussed in the
previous section, we have explained
why the appropriate pollutant for PSD
purposes is the single pollutant GHG,
which is composed of the six wellmixed gases. Regarding the CO2e metric,
we continue to believe there are a
number of advantages, as laid out in the
proposal, to a CO2e measure that would
not be available if we used only a massbased metric. These include: (1) A CO2e
metric, by incorporating the GWP
values, best addresses the relevant
environmental endpoint, which is
radiative forcing of the GHGs emitted;
(2) when combined with a sum-of-six
gases approach, the CO2e metric best
allows for consideration of their
combined effects when sources emit any
one or combination of the six wellmixed GHGs; (3) a cumulative CO2e
metric is consistent with the metric
used in the mandatory GHG reporting
rule and other related rules and
guidelines; and (4) a CO2e metric allows
more flexibility for designing and
implementing control strategies that
maximize reductions across multiple
GHGs. We recognize the tension
between the mass-based metric in the
statute and the CO2e-based metric we
are adopting in this rule, but as
discussed later, we will address this by
also retaining the mass-based metric.
Moreover, given our need to tailor our
approach to covering sources of GHGs,
we believe that the considerations
driving our choice to also use a CO2ebased metric are appropriate for
defining the phase-in and allow for
permitting resources to be directed at
those sources and modifications that
have the greatest impact on radiative
forcing of the GHGs emitted.
We recognize the concern of
commenters who stated that we cannot
ignore the statutory thresholds based on
the mass-based emissions of an air
pollutant as described under CAA
section 169(1). As we mentioned in the
proposal, because both the PSD and title
V statutory thresholds are expressed on
a mass basis (i.e., tons of a pollutant
with no weighting values applied) we
were concerned from a legal standpoint
that the metric proposed (CO2e) could
have the effect of subjecting to PSD or
title V requirements a source whose
emissions fall below the statutory
threshold limits on a strictly mass basis,
but whose CO2e-based emissions exceed
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31531
the CO2e thresholds we establish under
the Tailoring Rule. As an example, in
rare instances it is possible that a source
may emit only a non-CO2 GHG in very
small amounts, on a mass basis, but one
that carries a very large GWP. In this
case, it is possible that the source may
emit the GHG in amounts that fall below
the PSD and/or title V statutory
applicability threshold (100 or 250 tpy,
as applicable) on a mass basis, but
exceed the 100,000 CO2e PSD and title
V applicability thresholds for Step 2
finalized in this action. Under these
circumstances, without a mass-based
threshold, the source would trigger PSD
and title V for its CO2e emissions even
though its GHG mass emissions would
not, in fact, exceed the statutory triggers.
Upon review of the comments
pertaining to this issue and further
analysis of the legal and programmatic
implications, we are adopting a two-part
applicability process, for both major
source applicability determinations for
GHGs under PSD and title V and for
determining if a net increase has
occurred in PSD applicability
determinations for modifications. As
explained in the RTC document, we
accomplish this two-step applicability
approach by continuing to rely on the
existing mass-based applicability
provisions in the current regulations,
and by including new regulatory
provisions that add a definition of
‘‘subject to regulation’’ that in turn
includes the phase-in thresholds.
Similarly, for PSD modification reviews
and associated netting analyses, the
same two-step process must be used.
Our summary in section IV.A described
how we expect this provision to be
implemented in practice.
We acknowledge that the possibility
of changing GWP values is a downside
to the use of CO2e for the GHG metric,
and we address this comment in the
next section, where we discuss our plan
to codify GWP values. By codifying
GWP, any changes will be manageable,
and, in our judgment, will not outweigh
the benefits of a CO2e-based approach.
We also acknowledge that a CO2e-based
approach may appear to complicate the
BACT review and implementation
process. However, we disagree with the
commenter’s ultimate conclusion that
BACT will be required for each
constituent gas rather than for the
regulated pollutant, which is defined as
the combination of the six well-mixed
GHGs. To the contrary, we believe that,
in combination with the sum-of-six
gases approach described above, the use
of the CO2e metric will enable the
implementation of flexible approaches
to design and implement mitigation and
control strategies that look across all six
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of the constituent gases comprising the
air pollutant (e.g., flexibility to account
for the benefits of certain CH4 control
options, even though those options may
increase CO2). Moreover, we believe that
the CO2e metric is the best way to
achieve this goal because it allows for
tradeoffs among the constituent gases to
be evaluated using a common currency.
4. Determining What GWP Values Are
To Be Used
At proposal, we proposed to link the
calculation of CO2e for GHGs to GWP
values in EPA’s ‘‘Inventory of U.S.
Greenhouse Gas Emissions and Sinks’’
(GHG Inventory). See, e.g., proposed 40
CFR 51.166(b)(58). Numerous
commenters expressed concerns about
this proposal on various grounds,
including the following:
• The EPA should follow the proper
notice-and-comment procedures and the
requirements of the Information Quality
Act for the relevant technical
underpinnings of the proposal. The EPA
relies upon the GWPs of the IPCC
without providing the supporting data
for review, and it is inappropriate to use
this as a basis for this rule without first
making all the raw data available for
public inspection and comment.
• The EPA cannot tie the definition of
GWP to the GHG Inventory because it is
a non-regulatory document that may be
changed without notice-and-comment
rulemaking. Before EPA uses a new
GWP, that GWP must be subject to
notice and comment to comply with the
requirements of CAA section 307 and
the Administrative Procedure Act
(APA).
• An annual update of GWP would
create a moving target for sources
conducting applicability determinations
and assessing compliance with minor
NSR and PSD emission limits. The EPA
needs to ensure that applicability and
compliance with limits continue to be
based on the GWP that existed when the
determination was made or the limit
was established.
• The EPA should freeze the GWP at
the current values by incorporating
those values into the regulation. The
EPA could still revise the ‘‘NSR’’ GWP,
but would have to revise the regulation
to do so.
Commenters added that it is
important to ensure that all permitting
agencies are using the same calculations
for the determination of CO2e for GHGs.
We agree with commenters who
suggested we should codify, either in
the Tailoring Rule or through reference
to codified values in another
rulemaking, the GWP values to be used
in permitting analyses. We agree that
this approach provides certainty as to
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which GWP values need to be used by
permitting authorities and allows
sources to plan appropriately for
possible changes in the GWP values. As
mentioned in the comments,
recommended GWP values from IPCC
can change over time. While this is
infrequent—the last such changes were
in 2007—when it occurs, there are
generally significant lag times in
universal adoption of new values
because of inconsistencies that could be
created in national inventories and
emission reporting mechanisms. In a
regulatory setting, such as in the
permitting programs, this could
potentially create significant
implementation issues, such as when a
GWP change occurs while a permit
action is in progress.16 EPA also
recognized similar potential
implementation issues in developing its
final mandatory GHG reporting rule,
and codified in the regulatory text for
that rule the GWP values to be used in
reporting GHGs as part of that final
rulemaking.
For these reasons, we have decided to
follow the approach in the mandatory
GHG reporting rule and require that for
PSD and title V permitting
requirements, wherever emissions
calculations are performed, that
permitting authorities and sources use
GWP values that are codified in EPA
rules. We will establish the GWP values
for PSD and title V rules based on a
cross-reference to the values that are
codified in the EPA’s mandatory GHG
reporting rule. 74 FR 56395, Table A–1
to subpart A of 40 CFR part 98—Global
Warming Potentials. Any changes to
Table A–1 of the mandatory GHG
reporting rule regulatory text must go
through an appropriate regulatory
process. In this manner, the values used
for the permitting programs will reflect
the latest values adopted for usage by
EPA after a regulatory process and will
be consistent with those values used in
the EPA’s mandatory GHG reporting
rule. Furthermore, the lead time for
adopting changes to that rule will
provide a transition time to address
implementation concerns raised by
commenters.
5. Use of Short Tons vs. Metric Tons
We proposed that the GHG metric
would be expressed in terms of English
(or short) tons, rather than metric (or
16 We note that our approach does not entirely
avoid the possibility that a GWP change can occur
while a permit is in progress although it will ensure
advance notice of such a change. In the event that
we plan to propose a change to GWP values, we
will work with permitting authorities as necessary
to provide guidance to sources on transitional
issues.
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long) tons. A few commenters support
using short tons for this purpose. Others
prefer the use of metric tons, and most
of them note that the mandatory GHG
reporting rule is based on metric tons
and believe that the Tailoring Rule
should be consistent with that rule.
These commenters believe that using
different units in the two rules would be
confusing and could result in sources
that are not subject to the mandatory
GHG reporting rule becoming subject to
PSD. Some of the commenters add that
various ‘‘cap and trade’’ legislative
proposals also quantify GHGs in metric
tons. A few other commenters
recommend that EPA harmonize the
applicability thresholds established
under the Tailoring Rule and the
mandatory GHG reporting rule without
expressing a preference for short or
metric tons.
We are finalizing our proposal to use
short tons because short tons are the
standard unit of measure for both the
PSD and title V permitting programs
and the basis for the threshold
evaluation to support this rulemaking.
Calculation inputs for PSD are typically
prepared in English units (e.g., pounds
of fuel, British thermal units (Btu), etc.)
which is the common convention for all
PSD analyses and the units of the
statutory thresholds under the Act.
It is true that the GHG reporting rule
uses metric tons, but this does not create
an inconsistency between permitting
programs and the reporting rule because
the two rules already use different
applicability approaches. Although we
originally proposed 25,000 tpy as the
major source level for permitting
programs, which was similar to the
threshold in the reporting rule, we
decided to adopt substantially higher
thresholds in the final rule.
Furthermore, even if the numbers were
similar, the thresholds used for the
reporting rule are based on actual
emissions, while the PSD and title V
programs thresholds are based on PTE.
Therefore, we are less persuaded by
arguments for consistency, and believe
it is more important for ease of permit
program implementation to ensure that
GHG emissions calculations for PSD and
title V will build on the same set of
input variables used to develop shortton based estimates for non-GHG
pollutants. Thus, the use of short tons
should actually facilitate the
development of the GHG emission
estimate. It would likely be more
confusing to require a multi-pollutant
PSD applicability analysis to present
emissions information using different
units for different pollutants, as would
be the case if we required metric tons
for GHG but continue to use short tons
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for every other pollutant. Finally, we do
not expect this choice to introduce
additional complexity because the
conversion between short tons and
metric tons is a very simple calculation.
Therefore, based on these
considerations we are requiring that
short tons be used as the basis for
emission calculations used to meet PSD
and title V permitting requirements.
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B. Rationale for Thresholds and Timing
for PSD and Title V Applicability to
GHG Emissions Sources
In this subsection, we describe our
legal and policy rationale for our
determinations concerning PSD and title
V applicability to GHG emissions
sources. This subsection includes: (1)
An overview of our rationale; (2) data
concerning costs to sources and
administrative burdens to permitting
authorities; (3) a review of the Chevron
legal framework and the ‘‘absurd
results,’’ ‘‘administrative necessity,’’ and
‘‘one-step-at-a-time’’ doctrines, as well as
a review of how those doctrines fit into
the Chevron framework; (4) an overview
of the relevant PSD and title V
requirements and their legislative
history; (5) our application of the
‘‘absurd results’’ doctrine for tailoring
the PSD requirements; (6) our
application of the ‘‘absurd results’’
doctrine for tailoring the title V
requirements; (7) our plans to issue
further rulemaking that will address the
‘‘absurd results’’ basis for both PSD and
title V requirements; (8) our rationale for
the phase-in schedule for applying PSD
and title V to GHG sources; (9) our
application of the ‘‘administrative
necessity’’ basis for tailoring the PSD
and title V requirements; and (10) our
application of the ‘‘one-step-at-a-time’’
basis for tailoring the PSD and title V
requirements.
1. Overview
Under the familiar Chevron two-step
approach to construction of agencyadministered statutes, the agency must
first, at Chevron Step 1, determine
whether Congress’s intent in a particular
provision on a specific question is clear;
and if so, then the agency must follow
that intent. If the intent of the provision
is not clear, then the agency may, under
Chevron Step 2, fashion a reasonable
interpretation of the provision. The best
indicator of congressional intent is the
literal meaning of the provision and
generally, according to the case law, if
the literal meaning addresses the
specific question, then the agency
should follow the literal meaning.
However, the courts have developed
three doctrines relevant here that
authorize departure from a literal
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application of statutory provisions. The
first is the ‘‘absurd results’’ doctrine,
which authorizes such a departure if the
literal application would produce a
result that is inconsistent with
congressional intent, and particularly if
it would undermine congressional
intent. The judicial doctrine of
‘‘administrative necessity’’ authorizes an
agency to depart from statutory
requirements if the agency can
demonstrate that the statutory
requirements, as written, are impossible
to administer. The ‘‘one-step-at-a-time’’
doctrine authorizes an agency, under
certain circumstances, to implement a
statutory requirement through a phased
approach. Each of the three doctrines
fits into the Chevron framework for
statutory construction because each of
the three is designed to effectuate
congressional intent.
To apply the statutory PSD and title
V applicability thresholds literally to
sources of GHG emissions would bring
tens of thousands of small sources and
modifications into the PSD program
each year, and millions of small sources
into the title V program. These
extraordinary increases in the scope of
the permitting programs would mean
that the programs would become several
hundred-fold larger than what Congress
appeared to contemplate. Moreover, the
great majority of additional sources
brought into the PSD and title V
programs would be small sources that
Congress did not expect would need to
undergo permitting and that, at the
present time, in the absence of
streamlined permit procedures, would
face unduly high permitting costs.
Further, again at the present time, in the
absence of streamlined permit
procedures the administrative strains
would lead to multi-year backlogs in the
issuance of PSD and title V permits,
which would undermine the purposes
of those programs. Sources of all types—
whether they emit GHGs or not—would
face long delays in receiving PSD
permits, which Congress intended to
allow construction or expansion.
Similarly, sources would face long
delays in receiving title V permits,
which Congress intended to promote
enforceability. For both programs, the
addition of enormous numbers of
additional sources would provide
relatively little benefit compared to the
costs to sources and the burdens to
permitting authorities. In the case of
PSD, the large number of small sources
that would be subject to control
constitute a relatively small part of the
environmental problem. In the case of
title V, a great many of the sources that
would be newly subject to permit
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requirements would have ‘‘empty’’
permits, that is, permits that do not
include any applicable requirements,
and that therefore serve relatively little
purpose. For these reasons, the ‘‘absurd
results’’ doctrine applies to avoid a
literal application of the thresholds at
this time. By the same token, the
impossibility of administering the
permit programs brings into play the
‘‘administrative necessity’’ doctrine.
This doctrine also justifies not applying
the PSD or title V applicability
threshold provisions literally to GHG
sources at this time.
The situation presented here is
exactly the kind that the ‘‘absurd
results,’’ ‘‘administrative necessity,’’ and
‘‘one-step-at-a-time’’ doctrines have been
developed to address. Separately and
interdependently, they authorize EPA
and the permitting authorities to tailor
the PSD and title V applicability
provisions through a phased program as
set forth in this rule, and to use the
initial period of phase-in to develop
streamlining measures, acquire
expertise, and increase resources, all of
which would facilitate applying PSD
and title V on a broader scale without
overburdening sources and permitting
authorities. In this manner, the phased
approach reconciles the language of the
statutory provisions with the results of
their application and with congressional
intent.
2. Data Concerning Costs to Sources and
Administrative Burdens to Permitting
Authorities
This final action concerning
applicability of PSD and title V to GHGemitting sources, including the
decisions on timing for the selected
permitting thresholds, is based on our
assessments of both the costs to the
regulated sources to comply with PSD
and title V permitting requirements and
the administrative burdens to the
permitting authorities to process PSD
and title V permit actions for GHGemitting sources. This section provides
a summary of our cost and
administrative burden assessments of
permitting that would be required in the
absence of any tailoring as well as under
various tailoring options.
Our estimates of costs to the sources
and administrative burdens to the
permitting authorities from PSD and
title V applicability for GHG emissions
are based on labor and cost information
from the existing Information Collection
Requests (ICRs) for PSD and title V
programs.17 We apply the same basic
17 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
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methodology used for the proposal,
which incorporates information on
numbers and types of affected sources
and estimated permitting actions. We
evaluate administrative burdens in
terms of staffing needs, time for
processing permits, and monetary costs,
and we make some judgments about
how those burdens would affect the
permitting authorities’ ability to
effectively manage and administer their
programs with the addition of GHG
emission sources. We present the
administrative burden data for applying
PSD and title V requirements at the
literal statutory thresholds—that is, the
100/250 tpy levels for PSD (and 0 tpy
for modifications) and the 100 tpy level
for title V—as well as at other
thresholds, which range from 25,000 tpy
CO2e to 100,000 tpy CO2e. We have
significantly revised upwards our
assessments of costs to sources and
administrative burdens since proposal,
and we summarize later our reasons for
doing so. We also present significant
comments concerning administrative
burdens, and our responses to those
comments.
In the next section, concerning legal
and policy rationale for our actions, we
discuss how these data on costs to the
sources and administrative burdens to
the permitting authorities informed our
decisions that PSD and title V
requirements should not, at present, be
applied to GHG-emitting sources under
the literal terms of the statutory
thresholds as well as our decisions
concerning what thresholds to apply for
Steps 1 and 2 of the applicability phasein approach and the applicability floor
of 50,000 tpy CO2e.
a. Costs to Sources
As we did at proposal, we have
estimated costs to the sources of
complying with PSD and title V starting
from the data in the ICRs. We recognize
that the sizes of the sources, as
measured by their emissions, that would
be swept into the PSD and title V
programs would vary greatly, and that
their permitting costs would vary as
well. For example, their PSD permitting
costs would depend on the amount and
types of their emissions and their
control requirements. Accordingly, we
have determined average costs, as
described later.
For PSD, at proposal, we estimated
that on average, an industrial source
would incur costs of $84,500 to prepare
the PSD application and receive the
permit, and on average, a commercial or
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds;’’ Prepared by EPA Staff;
March 2010.
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residential source would incur costs of
20 percent that amount, or $16,900. 74
FR 55337 col. 3 to 55339 col. 3. For this
action, we retain the same burden
estimates for an average industrial
source. This type of source would need
866 hours, which would cost $84,500, to
prepare the application and the PSD
permit. However, based on comments
received, we have determined that a
more accurate estimate for an average
commercial or residential source is 70
percent of that amount of time that an
industrial source would need, up from
our proposal of 20 percent. Thus, an
average commercial or residential
source would need 606 hours, which
would cost $59,000, to prepare the PSD
application and receive the permit. We
are increasing this time over what we
proposed because we now recognize
that virtually all commercial and
residential sources will have no
experience with the PSD permitting
process, and therefore will face a
significant learning curve that will
entail more time to complete the
application, develop control
recommendations, and take the other
required steps. We believe this learning
period could extend from 2 to possibly
4 years or more from the date that the
sources become subject to PSD
requirements, depending on the type
and actual number of new sources that
come in for permitting. In addition, we
expect that in many cases, draft PSD
permits for GHGs will receive comments
from various stakeholders, from citizens
groups to equipment vendors, who will
seek to participate in the permit process,
and that all this could add to the hours
that the permittee will need to invest in
the process.18 The actual costs to
sources to install BACT controls, while
still uncertain at this point, would likely
add additional costs across a variety of
sources in a sector not traditionally
subject to such permitting requirements.
For title V, at proposal, we estimated
that on average, an industrial source
would incur costs of approximately
$46,400 to prepare the title V
application and receive the permit, and
on average, a commercial or residential
source would incur costs of 10 percent
that amount, or almost $5,000. 74 FR
55338 col. 1 to 55339 col. 3. For this
action, we retain the same burden
estimates for an average industrial
source. This type of source would need
350 hours, which would cost $46,400, to
prepare the application and the title V
18 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds’’; Prepared by EPA Staff;
March 2010.
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permit. However, we have determined
that a more accurate estimate for an
average commercial or residential
source is 50 percent of that amount of
time that an industrial source would
need, up from our proposal of 10
percent. Thus, an average commercial or
residential source would need about 175
hours, which would cost $23,200, to
prepare the title V application and
receive the permit. This increase is due
to the same reasons as with the PSD
program just discussed. We now
recognize that virtually all commercial
and residential sources will have no
experience with the title V permitting
process and, therefore, will face a
significant learning curve that will
entail more time to assess, for the first
time, their GHG emissions (because
such sources are not covered by EPA’s
mandatory GHG reporting rule),
complete the application, respond to
permitting authority comments, meet
other title V administrative
requirements, and respond to interested
stakeholders.19
b. Administrative Burdens to Permitting
Authorities
(1) Estimated Permitting Authority
Burden at Proposal
As at proposal, we estimated the
administrative burdens to the permitting
authorities at the various threshold
levels for PSD or title V applicability as
follows. First, for a particular threshold
level, we estimated the number of GHGemitting sources that would be subject
to PSD requirements because they
would undertake new construction or
modification, and the number of
existing sources that would be subject to
title V requirements. Second, we
estimated the average additional
administrative burden and cost of each
PSD permitting action and each title V
permitting action for the GHG-emitting
sources. Third, we multiplied those two
estimates, and the product is the
additional administrative burden at the
particular threshold level. We employed
the same methodology for this final rule,
but, as discussed later, and described in
more detail in our final burden
analysis,20 we have updated several key
assumptions since the proposal as a
19 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds’’; Prepared by EPA Staff;
March 2010.
20 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds’’; Prepared by EPA Staff;
March 2010.
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result of our consideration of comments
received.
First, we present the administrative
burdens at the statutory levels for PSD
and title V applicability. At proposal,
for the PSD program, we estimated the
administrative burdens that would
result from applying PSD at the 100/250
tpy major emitting facility threshold
levels in two ways, as described in this
section. We stated that at present, 280
sources are subject to PSD each year,
both for new construction and
modifications. This figure served as the
baseline from which to calculate
increases in administrative burdens due
to permitting GHG-emitting sources.
The first method that we used to
calculate the administrative burdens to
the permitting authorities was in terms
of workload hours, which we then
converted to monetary costs. To make
the workload calculation, we first
estimated the number of GHG-emitting
sources that would become subject to
PSD through new construction and
modification. Based on our GHG
threshold data analysis, we estimated
that almost 41,000 new and modified
sources per year would become subject
to PSD review. We first calculated the
number of new sources that would
become subject to PSD. To do this, we
estimated growth rates for the various
sectors, and then applied those growth
rates to the numbers of sources in those
sectors. We then calculated the number
of modifications. To do this, we first
assumed that each year, two percent of
sources that meet or exceed the
threshold levels for PSD applicability
due to their conventional pollutants
undertake modifications. We then
calculated the number of sources that
would meet or exceed the threshold
levels for PSD applicability due to their
GHG emissions, and applied the same
assumption that two percent of them
would undertake modifications. In this
manner, we estimated the number of
modifications of GHG-emitting sources
that would become subject to PSD.
We noted that currently, 280 PSD
permits are issued each year, but that
applying PSD to GHG-emitting sources
at the 100/250 tpy statutory threshold
levels would cause an increase in
permits of more than 140-fold. The
reason for the extraordinary increase in
PSD applicability lies simply in the fact
that it takes a relatively large source to
generate emissions of conventional
pollutants in the amounts of 100/250
tpy or more, but many sources combust
fossil fuels for heat or electricity, and
the combustion process for even small
quantities of fossil fuel produces
quantities of CO2 that are far in excess
of the sources’ quantities of
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conventional pollutants and that, for
even small sources, equal or exceed the
100/250 tpy levels.
Based on the 140-fold increase in
permits, we then estimated the perpermit burden on permitting authorities.
As we stated in the proposal:
We estimated the number of workload
hours and cost a permitting authority would
expend on each new source and each
modification. We based these estimates on
the workload hours and cost for processing
permits for new sources of non-GHG
emissions, which we derived from labor and
cost information from the existing ICRs for
PSD programs. The ICRs show that
permitting authorities expend 301 hours to
permit a new or modified industrial source
* * *.
We then made assumptions for number of
workload hours and costs for new sources of
GHG emissions. We assumed that permitting
new industrial GHG sources that emit in
excess of the 250-tpy threshold would be of
comparable complexity to permitting nonGHG emitting industrial sources that are
subject to PSD. Thus, for these sources, we
assumed that permitting authorities would
expend the same number of workload hours
and costs, on a per-permit basis, as they do
for non-GHG emitting industrial sources. On
the other hand, for commercial and
residential GHG sources that emit GHGs
above the 250-tpy threshold (and as a result
would be subject to the requirements of the
PSD permitting program at this threshold
level), we assumed that the workload hours
and cost for permitting these sources would
be significantly less than—only 20 percent
of—the hours and cost necessary to prepare
and issue initial PSD permits or permit
modifications for industrial GHG sources.
This 20-percent estimate amounts to 60 hours
of permitting authority time per residential or
commercial permit.
Based on these assumptions, the additional
annual permitting burden for permitting
authorities, on a national basis, is estimated
to be 3.3 million hours at a cost of $257
million to include all GHG emitters above the
250-tpy threshold.
74 FR 55301 col. 2.
Note that at the proposal, in
calculating the PSD administrative
burdens that would occur each year due
to GHG emissions, we did not undertake
separate calculations for the
administrative burdens associated with
permitting obligations stemming from
the GHG emissions of the 280 sources
already subject to PSD permitting
requirements due to their conventional
pollutants. In effect, we treated these
280 sources are part of the over 40,000
sources that would become subject to
PSD due to their GHG emissions.
The second way that we evaluated the
burden on permitting authorities was by
reviewing a study conducted by state
and local air permitting agencies. As we
said in the preamble:
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31535
In addition to conducting our burden
analysis, we also reviewed summary
information from state and local air
permitting agencies regarding additional
resources and burden considerations if GHG
sources that emit above the 100/250-tpy
thresholds were subjected to the PSD and
title V programs. This information covered 43
state and local permitting agencies,
representing programs from different regions
of the country and various permitting
program sizes (in terms of geographic and
source population coverage) * * *. This
information showed significant burdens
projected by permitting agencies with adding
sources of GHG emissions in terms of
staffing, budget, and other associated
resource needs. Importantly, the agencies
based their analysis on the assumption that,
for purposes of determining whether a source
is major, its emissions would be calculated
on an actual emissions (‘‘actuals’’) basis, and
not on a PTE basis. On an actuals basis, the
agencies estimated a 10-fold increase in the
number of permits.
Specifically, the agencies estimated that:
• Assuming, again, that number of permits
was to increase by 10-fold (based on actual
emissions), the resulting workload would
require an average of 12 more [full-time
equivalents (FTEs)] per permitting authority
at an estimated cost of $1 million/year;
• Without the additional FTEs, the average
processing time for a permit would increase
to 3 years, which is three times the current
average processing time;
• Permitting authorities would need 2
years on average to add the necessary staff;
• Permitting authorities would also need,
on average, eight additional enforcement and
judicial FTEs;
• Ninety percent of permitting agencies
would need to train their staff in all aspects
of permitting for sources of GHG emissions.
• A quarter of permitting agencies were
currently under a hiring freeze.
We went on to explain that this state
survey significantly underestimated the
administrative burdens:
It is important to reiterate that the state and
local permitting information on burden was
based on the number of additional facilities
subject to PSD because their emissions of
GHGs exceed the 100/250-tpy thresholds at
actual emissions rates, not PTE-based
emissions rates. However, the PSD
applicability requirements are based on PTE.
By adjusting the increase in number of
permits to account for GHG sources that
exceed the 100/250-tpy applicability
thresholds based on their PTE emissions,
EPA estimated a 140-fold increase in
numbers of PSD permits, much more than the
10-fold increase estimated by the states based
on actual emissions.
74 FR 55301 col. 2–3.
In addition to PSD, we also estimated
title V burdens at the statutory
threshold. At proposal, for the title V
program, we estimated the
administrative burdens that would
result from applying title V
requirements at the 100 tpy major
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source threshold level in the same two
ways as for PSD, as follows. The first
method was to calculate the
administrative burdens in terms of
workload hours, which we then
converted to monetary costs. To make
the workload calculation, we first
estimated the number of existing GHGemitting sources that would become
subject to title V. Based on our GHG
threshold data analysis, we estimated
that approximately 6 million sources
would become subject to title V.
Compared to the 14,700 title V permits
currently issued, this would be an
increase in permits of more than 400fold. We noted, in addition, that most of
the 14,700 sources already subject to
title V also emit GHGs and may be
affected as well.
We then described the type of work
that the permitting authorities would
need to do for these GHG-emitting
sources—the six million that would
become newly subject to title V and
most of the 14,700 that are already
subject to title V—as follows. Note at the
outset that the permitting authorities’
workload is greater for sources newly
subject to title V than for existing
sources that seek a revised or renewed
permit. As EPA noted in the preamble:
[T]he [ ] permits [for the 6 million new
sources] would need to include any
requirements for non-GHGs that may apply to
the source, such as provisions of an
applicable SIP. For any such requirements,
permitting authorities would also need to
develop terms addressing the various
compliance assurance requirements of title V,
including monitoring, deviation reporting,
six-month monitoring reports, and annual
compliance certifications.
Adding to the burden described above
would be the burden to add GHG terms to the
14,700 existing title V permits. While, in
general, existing title V permits would not
immediately need to be revised or reopened
to incorporate GHG (because as noted above,
there are generally not applicable
requirements for GHGs that apply to such
sources), permitting authorities may face
burdens to update existing title V permits for
GHG under two possible scenarios: (1) EPA
promulgates or approves any applicable
requirements for GHGs that would apply to
such a source, which would generally require
a permit reopening or renewal application, or
(2) the source makes a change that would
result in an applicable requirement for GHGs
to newly apply to the source, such as PSD
review, which would generally require an
application for a permit revision. Permitting
authorities will also need to process permit
renewal applications, generally on a five-year
cycle, and such renewals would need to
assure that the permit properly addresses
GHG. Finally they would have to process title
V applications for new sources (including all
the PSD sources previously discussed).
74 FR 55302 cols. 2–3.
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In light of those demands, we
estimated the per-permit burden on
permitting authorities as follows. Note,
at the outset, that as with PSD, we based
the workload hours on information in
ICRs for industrial sources, and we then
assumed that the workload for
commercial and residential sources
would be the indicated percentage of
the workload for industrial sources:
As with PSD, we have quantified the extent
of the administrative problem that would
result in workload hours and cost on the
basis of information concerning hours and
costs for processing existing title V permits
that is indicated on ICRs. However, we
recognize that more than 97 percent of these
new sources would be commercial and
residential sources. We estimate that for
permitting authorities, the average new
commercial or residential permit would
require 43 hours to process, which is 10
percent of the time needed for the average
new industrial permit. For an average
existing permit, which permitting authorities
would need to process through procedures
for significant revisions and permit renewals,
adding GHG emissions to the permit would
result in, we estimate, 9 additional hours of
processing time, which is 10 percent of the
amount of time currently necessary for
processing existing permits. We estimate that
the total nationwide additional burden for
permitting authorities for title V permits from
adding GHG emissions at the 100-tpy
threshold would be 340 million hours, which
would cost over $15 billion.
74 FR 55302 col. 3.
As with PSD, the second way that we
evaluated the burden on permitting
authorities at the statutory threshold
was by reviewing a study conducted by
state and local air permitting agencies of
the burden of applying title V to existing
GHG-emitting sources at the 100 tpy
statutory threshold level. As we said in
the preamble to the proposed rule:
[W]e also reviewed summary information
from state and local permitting agencies,
which showed significant burdens associated
with adding GHGs in their title V programs
in terms of staffing, budget, and other
associated resource needs.21 Again, note that
the permitting agencies based their estimates
on numbers of permits that would be
required from sources subject to the 100-tpy
title V applicability threshold on an actuals—
not PTE—basis. Based on that level, the
agencies assumed a 40-fold increase in
numbers of permits, and estimated that:
• The resulting workload would require an
average of 57 more FTEs per permitting
agency at an estimated cost of $4.6 million/
year;
• Without the additional FTEs, the average
processing time for a permit would increase
21 ‘‘NACAA Summary on Permitting GHGs Under
the Clean Air Act’’; Memorandum from Mary
Stewart Douglas, National Association of Clean Air
Agencies to Juan Santiago, EPA/OAQPS, September
3, 2009.
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to almost 10 years, which is 20 times the
current average permit processing time;
• Permitting authorities would need 2
years on average to add the necessary staff;
• On average, permitting authorities would
need 29 additional enforcement and judicial
staff;
• Eighty percent of permitting authorities
would need to train their staff in all aspects
of permitting for sources of GHG emission.
• A quarter of permitting agencies were
currently under a hiring freeze.
As with PSD, we added that this state
survey significantly underestimated the
administrative burdens:
It is important to reiterate that, as with
PSD, the state and local information on
projected permitting burden is based on the
number of additional facilities subject to title
V because their emissions of GHGs exceed
the 100-tpy thresholds at actual emissions
rates, not the PTE-based emissions rates.
However, the title V applicability
requirements are based on PTE. As noted
elsewhere in this preamble, the state and
local agencies estimated a 40-fold increase in
numbers of title V permits based on the
amount of GHG sources’ actual emissions. By
adjusting the summary estimates provided by
the state and local agencies to account for
GHG sources that exceed the 100-tpy
threshold based on their PTE emissions, EPA
estimated that the average permitting
authority would need 570 more FTEs to
support its title V permitting program.
74 FR 55302 col. 3—55303 col. 1.
(2) Revisions to Proposal Estimates of
Permitting Authority Burden
We received numerous comments
from state and local authorities stating
that EPA had underestimated the
administrative burden on the permitting
authorities in the proposal. State and
local authorities stated that in
particular, EPA underestimated the
number of modifications and the
amount of time it would take permitting
authorities to process permits,
particularly for commercial and
residential sources. Based on the
comments and additional analysis that
we have conducted in response, we are
revising in several respects our
estimates of the administrative burdens
for applying PSD and title V at the
statutory threshold levels.
First we present revisions to our
analysis regarding the burdens at the
statutory levels. Before we present those
changes, we want to note a revision to
our methodology that affected our
estimate of the number of permits
currently issued under existing
programs. We are revising upwards the
number of sources that are already
subject to PSD permitting requirements
anyway for their conventional
pollutants, which, as discussed
previously, we refer to as ‘‘anyway’’
sources. This revision has implications
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both for (1) the number of sources that
would become subject to PSD due to
their GHG emissions; and also (2) the
baseline number of sources already
subject to PSD, which we use to
compare the amount of increases in
administrative burden due to permitting
GHG sources. At proposal, we stated
that 280 sources each year are subject to
PSD due to their new construction or
modifications. However, upon further
analysis, we have realized that this
figure is too low because it includes
only sources that have emissions of one
or more NAAQS pollutants at the 100/
250 tpy thresholds and that are located
in areas of the country that are
designated attainment or unclassifiable
for all of those pollutants, and thus are
not designated nonattainment for any of
those NAAQS pollutants. We estimate
that another 520 sources have emissions
of one or more NAAQS pollutants at the
100/250 tpy thresholds and are located
in areas of the country that are
nonattainment for at least one of those
NAAQS pollutants. Some of these 520
sources may also emit one or more
pollutants at the 100/250 tpy level for
which their area is designated
attainment or unclassifiable, and
therefore may be subject to PSD for
those pollutants. Accordingly, the
correct number of ‘‘anyway’’ sources
subject to PSD each year is the 280
sources that are located in areas that are
attainment or unclassifiable for each
pollutant that the sources emit at the
100/250 tpy level, plus at least some of
the 520 sources that are located in areas
that are nonattainment for at least one
of the NAAQS pollutants that the
sources emit at or above the 100/250 tpy
threshold. In the absence of data on the
number of nonattainment NSR permits
that do not have a PSD component, and
because we expect this to be a small
number, we have assumed for purposes
of this action, that each of the 520
sources is subject to PSD for at least one
pollutant, so that we will consider all
800 sources as subject to PSD. Of this
number, we estimate that 70 percent, or
560 sources will undergo a
modification, while the remaining 240
permitting actions will involve new
construction. Of the modifications, we
assume that 80 percent, or 448, would
become subject to additional
requirements due to their GHG
emissions because those projects have
combustion-related activities that would
likely emit GHGs in the requisite
quantities. Our estimate of 80 percent of
modification activities significantly
involving combustion activities is based
on a review of a random sample of PSD
permits. In total we estimate that 688
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sources, either upon new construction
or modification, would need to add
GHG requirements to their otherwise
required PSD permitting action.
We should also note that in this
rulemaking we are justifying our
conclusions about permitting authority
administrative burdens on the basis of
their PSD and title V cost as calculated
on both a separate basis and a combined
basis. That is, we believe that the
administrative burdens of the PSD
program justify our tailoring approach
for the PSD requirements, and the
administrative burdens of the title V
program justify our tailoring approach
for the title V requirements, but in
addition, the administrative burdens of
both programs on a combined basis
justify the tailoring approaches. Viewing
the administrative burdens on a
combined basis provides a useful
perspective because most permitting
authorities have a single organizational
unit that is responsible for both the PSD
program and the title V program, and in
many cases, the same employees work
on both programs. In addition, in some
jurisdictions, permitting authorities
issue a single, merged permit that
includes both PSD and title V
requirements. For these reasons,
considering administrative burdens on a
combined PSD and title V basis, offers
a more accurate picture of the issues
these agencies will face in transitioning
to GHG permitting.
Turning to the revisions to our burden
estimates that we made as a result of
public comment, we begin by noting
that many commenters believed that we
significantly underestimated the
administrative burdens associated with
the proposed thresholds or that the
administrative burden under the
proposed thresholds would still
overwhelm the states and result in
significant permitting delays and
uncertainty for sources. Many of these
commenters indicate that our estimate
of the number of sources that would be
subject to permitting is too low, and
some add that we have underestimated
the per-permit effort required. (More
detail on these comments is given
elsewhere on the methodology used in
the analysis.) Several state and local
agencies provided estimates of the
increased number of permits and/or
staff that would be required under the
thresholds we proposed that were
higher than our original estimates.
Specifically, commenters recommended
that we increase the estimated
administrative burdens for PSD permits
by anywhere from 100 percent to over
2,000 percent; and that we increase the
burdens for title V permits by anywhere
from 29 percent to 240 percent. Many
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31537
commenters indicated that EPA has not
adequately accounted for ‘‘synthetic
minor’’ sources or modification projects,
stating that many such sources and
projects will not be able to keep GHGs
below the proposed thresholds, and
those who could do so may not be able
to establish enforceable synthetic minor
limits. Numerous commenters also
stated that the EPA has underestimated
the rate of major modifications for GHGs
under PSD. Some commenters assert
that we underestimated the number of
permits required for specific industry
sectors, including the oil and gas
production industry, the natural gas
transmission industry, the
semiconductor industry, the wood
products industry, the brick industry,
and landfills. Some of the state and
local commenters also believe that we
have overestimated their ability to hire
and train sufficient staff to administer
GHG permitting.
We are persuaded by the data and
arguments provided by the many
commenters who believe EPA
underestimated the number of
permitting actions and the burdens of
each action, and thus the overall
administrative burdens associated with
permitting GHG sources. Accordingly,
we have reevaluated our assessment of
these administrative burdens, for both
the PSD and title V programs. In
conducting this reevaluation, we
considered arguments made by the
commenters, as well as any actual data
they provided, and then we determined
whether and how to modify various
aspects of our detailed assessment of the
burdens. Based on this consideration we
have substantially revised upwards our
estimate of administrative burdens,
based on the analysis included in the
final docket for this rulemaking.22 The
revisions affect two elements of our
analysis by showing: (1) A substantial
increase in the number of PSD and title
V permits that will occur at a given
threshold, and (2) an increase in the
average burden estimate for each such
permit.
Regarding the increase in our estimate
of the number of projects that will
occur, we estimated an increase in both
PSD and title V permit actions, though
the greatest changes were for PSD. At
proposal, we estimated that, if PSD
requirements were to apply to GHG
sources at the 100/250 tpy statutory
levels, 40,496 projects—consisting of
3,299 projects at industrial sources and
37,197 projects at commercial or
22 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds’’; Prepared by EPA Staff;
March 2010.
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residential sources—would need PSD
permits each year. Some of these
projects involve the construction of an
entirely new source, but the majority of
these are modifications. We now
estimate that at the 100/250 tpy levels,
81,598 projects would become subject to
PSD each year. These projects include
26,089 actions at industrial sources and
55,509 at commercial and residential
sources. We describe our calculation of
this 81,598 amount in a TSD.23 The
great majority of these 81,598 projects
that would become subject to PSD are
modifications. We base these estimates
on the assumption that the significance
levels would be 100 tpy regardless of
category.
Our estimate of the number of PSD
modifications is where we made our
most significant upward revisions from
our proposal, based on comments. Our
doubling of the estimated PSD
permitting actions—from 40,496 at
proposal to 81,598—results from three
separate adjustments we made to our
estimates at proposal of the number of
permit actions that would result from
applying PSD to GHG sources. Two of
these increased the number of major
modifications, and one of these
increased the number of major sources
and modifications. The most significant
adjustment, and one that was raised by
multiple commenters, was that we
undercounted the number of major
modification projects at existing major
sources because we did not include the
existing projects that avoid major PSD
review by either taking ‘‘synthetic
minor’’ limits or by netting out for
conventional pollutants, but that would
not be able to avoid PSD through those
mechanisms for GHGs.
We agree that the ability and
procedures for sources to achieve
reductions, or minimize increases, due
to GHGs through adoption of
enforceable limits or through netting out
are not well established at this point.
We believe that there will be numerous
instances, particularly for combustionrelated projects, where it will not be
possible for sources to achieve the same
level of reductions for CO2 emissions as
they do for emissions of nitrogen oxides
(NOX), for example, simply because
there are not as many proven control
techniques that can reduce CO2
emissions to the same degree as NOX.
Also, more research will be necessary in
the type of emission units and processes
resulting in GHG emissions, and how
they operate over a wide range of
23 ‘‘Summary of Methodology and Data Used to
Estimate Burden Relief and Evaluate Resource
Requirements at Alternative Greenhouse Gas (GHG)
Permitting Thresholds’’; Prepared by EPA Staff;
March 2010.
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utilization patterns at a variety of source
categories, before permitting authorities
will be able to establish procedures and
rules for developing minor source
permit limitations. Therefore, we
adjusted our count of major
modification permits under PSD
upward to account for this.
The second change to the number of
permits concerns the general
modification rate of 2 percent that we
applied at proposal, based on historical
experience across all pollutant types.
Commenters provided information that
suggest that this 2 percent figure is an
underestimate for GHG sources because
their emissions of CO2 are high and
accumulate quickly from various
changes involving combustion units.
Therefore, a greater percentage of their
physical or operational changes will
result in GHG emissions in excess of the
significance levels that we identified at
proposal. In light of these comments, we
reviewed the source populations and
pollutant mix within the various
populations, and determined that we
should revise our general modification
rate to 4 percent for GHG sources. This
4 percent rate was obtained by dividing
the current annual major NSR permit
actions involving modifications by the
14,700 existing sources. We have
revised our burden analysis accordingly.
Again, the burden analysis in the docket
describes our basis for these
calculations in more detail.
The third adjustment to the number of
permits involves our estimate of the
number of sources with PTE that is
greater than the various thresholds
considered. This affects the number of
major sources at the statutory
thresholds, which we used to estimate
the number of PSD and title V major
sources, but also has an effect on the
number of major modifications because
the number of modifications depends on
the size of the population of major
sources. Commenters provided evidence
that our estimates of capacity utilization
(which, as described previously, we use
for estimating potential-to-emit based on
data for actual emissions) for the general
manufacturing source category (referred
to as ‘‘unspecified stationary
combustion’’ in our analysis) and for the
oil and gas industry were not accurate.
In our proposal, our estimated range for
capacity utilization for ‘‘unspecified
stationary combustion’’ varied from 70
to 90 percent depending on
manufacturing category. For the oil and
gas industry, our estimate was 90
percent. We received comments
indicating that these utilization rates are
higher than what is normally achieved
in real-world conditions, particularly for
smaller manufacturing type facilities.
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Accordingly, in this action, we are using
a 50 percent capacity utilization rate for
both of these source categories, which
better reflects what can be deemed
reasonable operation under normal
conditions for facilities in these source
categories. This adjustment increased
the overall number of affected facilities
at various threshold levels and we have
revised our burden analysis accordingly.
A few commenters asserted that we
underestimated the number of
residential homes, commercial
buildings, and retail stores that would
be subject to permitting requirements
because these commenters believed the
estimate in EPA’s TSD was based on
actual emissions from space heating
equipment rather than PTE. We wish to
clarify that our threshold analysis
estimates for the number of residential
and commercial sources (as well as all
other sources) did use a PTE basis. To
calculate the PTE amount for these
sources, we extrapolated from the actual
emissions data for the residential and
commercial sources. Specifically, we
assumed that a typical residential
facility operates its fuel combustion
sources at only 10 percent of its capacity
and a typical commercial facility
operates at only 15 percent of its
capacity. Based on these assumptions,
we multiplied residential actual
emissions by a factor of 10, and
commercial actual emissions by a factor
of 6.6 to obtain PTE-based estimates.
There is very little information available
on the capacity utilization rates of fuel
combustion equipment at different types
of residential and commercial facilities,
but we believe our methodology was
reasonable for these types of sources
and we did not adjust it in response to
this comment. Information on the
development of these estimates is
provided in our Technical Support
Document for Greenhouse Gas
Emissions Thresholds Evaluation.
The second source of upward
revisions to our administrative burden
estimate is that we are increasing the
estimated average cost to permitting
authorities of issuing each PSD and title
V permit at the statutory thresholds. At
proposal, we estimated that for PSD
permits, permitting authorities would
expend, on average, 301 hours to permit
an industrial source of GHG emissions,
and 20 percent of that time, or 60 hours
to permit a commercial or residential
source. After estimating that amount of
workload, we went on to estimate the
monetary cost to permitting authorities
of that workload. Similarly, for title V
permits, we estimated at proposal that
permitting authorities would expend 10
percent of the number of hours needed
to process an industrial permit in order
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to process a commercial or residential
permit for GHG sources.
We received comments from both
permitting authorities and sources
asserting that our methodology
underestimated the administrative
burden on grounds that (1) Our
methodology fails to recognize that
when a source triggers PSD for
conventional pollutants, additional
labor hours would be required to issue
BACT for GHGs; (2) our estimate of 60
hours (versus 301 hours) to issue PSD
permits to commercial and residential
sources of GHGs is unrealistically low;
(3) our estimate failed to account for the
increase in the complexity of permits for
criteria pollutants due to (i) increases in
criteria pollutant emissions becoming
newly subject to BACT at sources that
are major only for GHGs, which will
result in increased permitting and (ii)
BACT controls for criteria pollutants
(e.g., an oxidizer for VOCs) may result
in significant GHG emissions, triggering
an additional BACT determination; and
(4) our methodology failed to account
for the significant additional PSD and
title V burdens due to sources that
obtain federally enforceable permit
limits on GHGs in order to become
‘‘synthetic minors’’ and thereby avoid
PSD (and possibly also title V).
Based on these comments and our
own reassessment of permitting actions
created by the addition of GHGs, we
have revised upwards in several ways
our estimate of the additional perpermit costs of applying PSD and title
V to GHG sources, including the
following: First we have added an
estimate of the additional permitting
cost for adding a GHG component to
‘‘anyway’’ PSD and title V permitting
actions for conventional pollutants. We
estimated this burden based on
information in the comments together
with our own judgment about how to
adjust the burden numbers contained in
the current supporting statements for
our approved permitting ICRs. These
adjustments are found in our revised
burden estimate document.
Second, we have raised the per-permit
burden hours for commercial and
residential sources for PSD and title V.
At proposal, our estimates were based
on the fact that many of these permits
will be technically simpler due to such
factors as a lower number of emissions
points, simpler processes, and less
required modeling. However,
commenters pointed out that, until EPA
streamlines its permitting procedures,
there are many permitting activities that
represent a fixed cost, such as public
notice, hearing, and response to
comment activities. In addition, we
agree, as commenters pointed out, that
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many of these sources will need
significantly more permitting authority
staff time to assist them in the permit
application and preparation process
because of their lack of experience with
these requirements. In addition,
permitting authorities will have little, if
any, experience in permitting
commercial and residential sources, and
therefore will face a learning curve that
will entail more time to take permitting
action. In addition, we expect that in
many cases PSD and title V permit
applications for GHGs will receive
comments from various stakeholders,
from citizens groups to equipment
vendors, who will seek to participate in
the permit process, and responding and
revising permits accordingly will add to
the hours that the permitting authority
will spend.
As a result, we raised the PSD perpermit hours for various steps in the
permitting process, as described in the
burden estimate document. While we
continue to estimate that permitting
authorities will expend, on average, 301
hours to issue a PSD permit to an
industrial source, and that this would
cost $23,243, we now recognize that a
permitting authority would expend 70
percent of that time or 210 hours, to
permit a commercial or residential
source, which would cost $16,216.
Similarly, for title V, while we continue
to estimate that permitting authorities
will expend, on average, 428 hours to
issue a title V permit to an industrial
source, and that this would cost
$19,688, we now recognize that a
permitting authority would expend 50
percent of the time, or 214 hours, to
permit a commercial or residential
source, which would cost $9,844.
We disagree with commenters who
suggested that by basing our estimates
on the numbers of newly constructing
and modifying sources with high
enough emissions to qualify as major
emitting facilities, we failed to account
for the costs of sources that seek
‘‘synthetic minor’’ permits to avoid PSD,
and possibly title V, requirements. In
fact, our methodology includes sources
that might take such limits as newlymajor sources for their GHG emissions;
and therefore we count the full
administrative burden associated with a
PSD permit and a title V permit for
those sources. In effect, we assume that
such sources would go through PSD or
title V permitting, rather than take
‘‘synthetic minor’’ limits. We take this
approach because although we suspect
that there may, in fact, be significant
synthetic minor activity, we do not have
data that would allow us to determine
whether, and how many of, these
sources will be able to adopt ‘‘synthetic
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31539
minor’’ limits or restrict their operations
to obtain minor source permitting
status. Nor do we have data on the
amount of the administrative burden
that would fall on any particular
permitting authority to establish a
‘‘synthetic minor’’ limit, except that we
understand that the amount varies
widely across states. As a result, we
opted to include these sources in our
analysis as sources receiving a PSD or
title V permit. Therefore, to the extent
that synthetic minor activity occurs, our
estimate would already have included
the burden for that activity. In fact, our
estimate would have overestimated the
burden to the extent that a permitting
authority would have less
administrative costs to issuing a
‘‘synthetic minor’’ permit, as compared
to a PSD or title V permit.
(3) Revised Burden Estimates at
Statutory Thresholds Based on the
revisions just described, we estimate
that in all, if sources that emit GHGs
become subject to PSD at the 100/250
tpy levels, permitting authorities across
the country would face over $1.5 billion
in additional PSD permitting costs each
year. This would represent an increase
of 130 times the current annual burden
hours under the NSR major source
program for permitting authorities. The
permitting authorities would need a
total of almost 10,000 new FTEs to
process PSD permits for GHG emissions.
In addition, we estimate that in all, if
sources that emit GHGs become subject
to title V at the 100 tpy level, permitting
authorities across the country would
incur about 1.4 billion additional work
hours, which would cost $63 billion.
We estimate that most of this work
would be done over a 3 year period,
which would amount to 458 million in
additional work hours, and $21 billion
in additional costs, on an annual basis
over that 3-year period.
We also note that the survey of state
and local permitting authorities
described in the proposed rulemaking
continues to shed light on the extent of
the administrative burdens, including
staffing, budget, and other associated
resource needs, as projected by the
permitting authorities. As noted
previously, that survey concluded that
application of the PSD requirements to
GHG-emitting sources at the level of
100/250 tpy or more of actual emissions
would, without additional FTEs,
increase the average processing time for
a PSD permit from one to 3 years. The
survey further concluded that
application of the title V requirements
to GHG-emitting sources at the level of
100 tpy or more of actual emissions
would, without additional FTEs,
increase the average processing time for
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a title V permit from 6 months to 10
years. As we noted at proposal, this
survey assumed a ten-fold increase in
the number of PSD permits and a 40fold increase in the number of title V
permits due to GHG-emitting sources,
but those assumptions were severely
underestimated because they were
based on actual emissions. At proposal,
our calculations, which were based on
potential emissions, indicated a 140fold increase in PSD permits and a more
than 400-fold increase in title V permits.
In this rulemaking, we recognize that
even our estimates at proposal were
severely underestimated. We now
recognize that the number of PSD
permits will be about twice what we
estimated at proposal, and the average
processing time for both PSD and title
V permits will be two or three times
greater than what we estimated at
proposal. The survey of state and local
permitting authorities provided other
useful information as well, including
the fact that it would take the permitting
authorities 2 years, on average, to hire
the staff necessary to handle a ten-fold
increase in PSD permits and a 40-fold
increase in title V permits, and that 90
percent of their staff would need
additional training in all aspects of
permitting for GHG sources.
(4) Revised Estimates of Administrative
Burdens at Various Threshold Levels
In order to determine the appropriate
PSD and title V applicability level for
GHG sources, we not only estimated the
burden at the statutory thresholds, as
described previously, but we also
estimated the number of sources,
number of permitting actions, and
amount of administrative burden at
various applicability levels for both PSD
and title V, based on the revised
methodology described previously, that
we used to estimate the administrative
burdens of applying PSD and title V at
the statutory levels. This information is
summarized in Table V–1. Note that
Table V–1 also includes, in the last
column, the administrative burdens,
described previously, associated with
the 100/250 tpy thresholds.
TABLE V–1—COVERAGE AND BURDEN INFORMATION
Current
program 1
‘‘Anyway’’
source
approach
75k major
mod.
100k Major
source
100k major
mod.
100k Major
source
75k major
mod.
100k Major
source
50k major
mod.
50k Major
source
50k major
mod.
25k Major
source
25k major
mod.
100/250
Major,
100 mod.
Number of Major Sources .......
Number of Newly Major GHG
Sources.
Number of PSD New Construction Actions.
Number of PSD Modification
Actions at Covered major
sources.
Permitting Authority Cost to
Run PSD programs.
Permitting Authority Work
Hours to Run PSD programs 2.
Permitting Authority Cost to
Run Title V Programs.
Permitting Authority Work
Hours to Run Title V Programs.
Annual Total Cost to Run PSD
and Title V Programs and
percent increase in cost over
current program.
15,000 .......
N/A ............
15,000 .......
0 ................
15,550 .......
550 ............
15,550 .......
550 ............
15,550 .......
550 ............
18,500 .......
3,500 .........
22,500 .......
7,500 .........
6,118,252.
6,105,913.
240 ............
240 ............
242 ............
242 ............
242 ............
243 ............
250 ............
19,889.
448 ............
448 ............
468 ............
1,363 .........
2,257 .........
2,354 .........
9,645 .........
62,284.
$12M/yr .....
$15M/yr .....
$15M/yr .....
$36M/yr .....
$57M/yr .....
$59M/yr .....
$229M/yr ...
$1.5B/yr.
150,795 .....
185,195 .....
192,055 .....
461,450 .....
730,544 .....
764,781 .....
2.97 M ......
19.7 M.
$62M/yr .....
$63M/yr .....
$67M/yr .....
$69M/yr .....
$70M/yr .....
$88M/yr .....
$126M/yr ...
$21 B/yr.
1.35 M ......
1.38 M ......
1.46 M ......
1.49 M ......
1.53 M ......
1.92 M ......
2.74 M ......
460 M.
$74M/yr .....
$82M/yr
11% increase.
$105M/yr
42% increase.
$127M/yr
72% increase.
$147M/yr
99% increase.
$355M/yr
380% increase.
$22.5 B/yr
30,305%
increase.
% GHG emissions covered 3 ...
0 ................
$78M/yr
5% increase
(once
states
adopt).
65% ..........
67% ..........
67% ..........
67% ..........
70% ..........
75% ..........
78%.
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Notes: (1) As explained in the preamble, ‘‘current program’’ figures for PSD permits also reflect NSR permits in nonattainment areas that we
assume include a PSD component for at least one pollutant. (2) Number of FTEs may be calculated as work hours divided by 2,000 hours. (3)
Percent of national GHG stationary source emissions emitted from sources that would be considered major for GHG emissions under each
threshold scenario.
As described in the TSD, we
considered several different major
source/major modification threshold
combinations. We chose the
combinations to reflect representative,
incremental steps along the possible
range. Because it is time- and resourceintensive to develop estimates for a
given step, we chose intervals that best
reflect representative points within the
range, given those time and resource
constraints. Here, we discuss key
observations about some of the
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combinations that we assessed. As the
table indicates, under the current PSD
and title V programs, approximately
15,000 sources qualify as major PSD
sources for at least one pollutant and
therefore meet the applicability
thresholds. Of these, approximately 668
sources are subject to PSD requirements
each year for at least one pollutant—240
because they undertake new
construction, and 448 because they
undertake modifications. The permitting
authorities’ administrative burdens for
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the NSR program are 153,795 work
hours, and $12 million. For the title V
program, the 15,000 sources are, for the
most part already permitted, and
therefore need revised permits as
required and renewal permits on a 5year schedule. The permitting
authorities’ title V administrative
burdens on an annual basis are
1,349,659 work hours and $62 million.
The first threshold Table 1
describes—and which, as discussed
later, we are adopting for Step 1—is the
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‘‘anyway’’ source approach. Under this
approach, (i) PSD applies to the GHG
emissions from projects that are subject
to PSD anyway as new sources or major
modifications due to their emissions of
non-GHG pollutants and that result in
an increase (or, in the case of
modifications, a net increase) of at least
75,000 tpy CO2e; and (ii) title V applies
to what we will call ‘‘anyway’’ title V
sources, that is, sources that are subject
to title V anyway due to their emissions
of non-GHG pollutants. Under this
approach, the number of sources subject
to PSD each year—including new
construction and modifications—is the
same as under the current program, but
the permitting authorities will need to
address GHG emissions as part of those
permitting actions each year and, to do
so, will require, each year, 34,400
additional workload hours costing an
additional $3 million. For title V, we
estimate that the number of title V
sources that require permitting actions
will, on average, be the same each year,
but permitting authorities will need to
address GHG requirements for some of
them; as a result, permitting authorities
will need, each year, 27,468 additional
work hours costing $1 million in
additional funding.
Another threshold described in Table
V–1 is the one we are adopting under
Step 2, as described later, under which
(i) sources will be subject to PSD on
account of their GHG emissions if they
newly construct and emit at least
100,000 tpy CO2e, or if they are existing
sources that emit at least 100,000 tpy
CO2e of GHGs and make a modification
that results in a net emissions increase
of at least 75,000 tpy CO2e; and (ii)
existing sources will be subject to title
V due to their GHG emissions if they
emit 100,000 tpy CO2e in GHG
emissions. Under this approach, which
we will call the 100,000/75,000
approach, we estimate that each year,
compared to current levels, the
permitting authorities will need to issue
GHG permits to two additional sources
that newly construct and to 915
additional sources that undertake
modifications. Doing so will require
310,655 additional workload hours
costing an additional $24 million,
compared to the current program. For
title V, an additional 190 sources will
require new title V permits each of the
first 3 years, and the permitting
authorities’ associated costs will be
141,322 work hours and $7 million
more than the current program.
The last approach we will describe
here may be called the 50,000/50,000
approach, which, as discussed later, we
adopt as the floor for thresholds during
the first 6 years after promulgation.
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Under this approach, (i) sources will be
subject to PSD on account of their GHG
emissions if they newly construct and
emit at least 50,000 tpy CO2e, or if they
are existing sources that emit at least
50,000 tpy CO2e of GHGs and make a
modification that results in a net
emissions increase of at least 50,000 tpy
CO2e; and (ii) existing sources will be
subject to title V on account of their
GHG emissions if they emit 50,000 tpy
CO2e in GHG emissions. Under this
approach, each year, the permitting
authorities will need to issue GHG
permits to 3 additional sources that
newly construct and 1,900 that
undertake modifications above current
permitting levels. Doing so will require
613,986 additional workload hours
costing $47 million, compared to the
current program. For title V, an
additional 1,189 sources will require
new title V permits each of the first 3
years and the permitting authorities’
associated costs will be 568,017 work
hours and $26 million more than the
current program.
We present the remaining entries in
the table to illustrate how the cost and
burden estimates vary with increasing
or decreasing thresholds relative to
those selected in this rule. These
variations are important in
understanding how alternative
thresholds would compare to the ones
selected. We also include entries
reflecting the baseline (current program
without GHG permitting) and the
burdens if we immediately
implemented the full statutory
thresholds on January 2, 2011, without
tailoring or streamlining.
3. ‘‘Absurd Results,’’ ‘‘Administrative
Necessity,’’ and ‘‘One-Step-at-a-Time’’
Legal Doctrines
a. Introduction and Summary
Having described the factual
underpinnings of our action, which are
the costs to sources and administrative
burdens to permitting authorities, we
now describe the legal underpinnings.
They involve the framework for
analyzing agency-administered statutes,
as established by the U.S. Supreme
Court in Chevron U.S.A. Inc. v. NRDC,
467 U.S. 837, 842–43 (1984). In this
case, Chevron framework must take into
account the ‘‘absurd results,’’
‘‘administrative necessity,’’ and ‘‘onestep-at-a-time’’ legal doctrines. We
believe that each of these doctrines
provides independent support for our
action, but in addition, the three
doctrines are directly intertwined and
can be considered in a comprehensive
and interconnected manner. Moreover,
although each of the three doctrines pre-
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date the 1984 Chevron decision, in
which the U.S. Supreme Court
established the framework for
construing agency-administered
statutes, each fits appropriately into the
Chevron framework.24
To reiterate, for convenience, the
statutory provisions at issue: Congress,
through the definition of ‘‘major
emitting facility,’’ applied the PSD
program to include ‘‘any * * * source
[that] emit[s], or ha[s] the potential to
emit, one hundred [or, depending on the
source category two hundred fifty] tons
per year or more of any air pollutant.’’
CAA sections 165(a), 169(1). In
addition, Congress, through the
definition of ‘‘modification,’’ applied the
PSD program to include ‘‘any physical
change in, or change in the method of
operation of, a stationary source which
increases the amount of any air
pollutant emitted by such source or
which results in the emission of any air
pollutant not previously emitted.’’ CAA
sections 165(a), 169(2)(C), 111(a)(4).
Similarly, Congress, through the
definition of ‘‘major source,’’ specified
that the title V program includes ‘‘any
stationary facility or source of air
pollutants which directly emits, or has
the potential to emit, one hundred tons
per year or more of any air pollutant.’’
CAA sections 502(a), 501(2)(B), 302(j).
EPA, through long-established
regulatory action, in the case of PSD,
and long-established guidance, in the
case of title V, has interpreted these
definitions narrowly so that they apply
only with respect to air pollutants that
are subject to regulation under the CAA.
Applying these definitions by their
terms, as interpreted narrowly by EPA,
to GHG sources at the present time
would mean that the PSD and title V
programs would apply to an
extraordinarily large number of small
sources, the sources would incur
unduly high compliance costs, and
permitting authorities would face
overwhelming administrative burdens.
As a result, we believe Congress did not
intend for us to follow this literal
reading, and instead, with this action,
we chart a course for tailoring the
applicability provisions of the PSD
program and the title V program by
phasing them in over time to the
prescribed extent.
For our authority to take this action,
we rely in part on the ‘‘absurd results’’
doctrine, because applying the PSD and
title V requirements literally (as
previously interpreted narrowly by
24 Although we set out an analysis of how the
three doctrines fit into the Chevron framework, we
note that even if the doctrines are viewed
independently of the Chevron framework, they
support this action.
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EPA) would not only be inconsistent
with congressional intent concerning
the applicability of the PSD and title V
programs, but in fact would severely
undermine congressional purpose for
those programs. We also rely on the
‘‘administrative necessity’’ doctrine,
which applies because construing the
PSD and title V requirements literally
(as previously interpreted narrowly by
EPA) would render it impossible for
permitting authorities to administer the
PSD provisions. The tailoring approach
we promulgate in this action is
consistent with both doctrines. It is also
consistent with a third doctrine, the
‘‘one-step-at-a-time’’ doctrine, which
authorizes administrative agencies
under certain circumstances to address
mandates through phased action.
Our discussion of the legal bases for
this rule is organized as follows: In this
section V.B.3, we provide an overview
of the three doctrines and describe how
they fit into the Chevron framework for
statutory construction. In section V.B.4,
we discuss the PSD and title V
programs, including each program’s
relevant statutory provisions, legislative
history, and regulatory history. In
sections V.B.5 and V.B.6 we discuss the
‘‘absurd results’’ approach for PSD and
title V, respectively, that we are
finalizing in our action. In section
V.B.7., we discuss additional
rulemaking in which we may consider
exempting certain categories of sources
from PSD and title V under the ‘‘absurd
results’’ doctrine. In section V.B.8, we
discuss the legal and policy rationale for
the phase-in schedule that we are
adopting for applying PSD and title V to
GHG sources. In section V.B.9 we
discuss the ‘‘administrative necessity’’
approach for PSD and title V,
respectively. In section V.B.10, we
discuss the third legal basis for our
action, the ‘‘one-step-at-a-time’’ doctrine.
the provision is not clear, then the
agency may, under Step 2, fashion a
reasonable interpretation of the
provision. Chevron U.S.A. Inc. v. NRDC,
467 U.S. 837, 842–43 (1984).
The courts consider the best indicator
of congressional intent to be the plain
meaning of the statute. However, the
U.S. Supreme Court has held that the
literal meaning of a statutory provision
is not conclusive ‘‘in the ‘rare cases [in
which] the literal application of a
statute will produce a result
demonstrably at odds with the
intentions of the drafters’ * * * [in
which case] the intention of the drafters,
rather than the strict language, controls.’’
United States v. Ron Pair Enterprises,
489 U.S. 235, 242 (1989). This doctrine
of statutory interpretation may be
termed the ‘‘absurd results’’ doctrine.
Although, as just noted, the U.S.
Supreme Court has described the
‘‘absurd results’’ cases as ‘‘rare,’’ in that
case the Court seemed to be referring to
the small percentage of statutoryconstruction cases that are decided on
the basis of the doctrine. The DC
Circuit, in surveying the doctrine over
more than a century of jurisprudence,
characterized the body of law in
absolute numbers as comprising
‘‘legions of court decisions.’’ In re
Franklyn C. Nofziger, 925 F.2d 428, 434
(DC Cir. 1991). Indeed, there are dozens
of cases, dating from within the past
several years to well into the 19th
century,25 in which the U.S. Supreme
Court has applied the ‘‘absurd results’’
doctrine to avoid the literal application
of a statute, or if not so holding, has
nevertheless clearly acknowledged the
validity of the doctrine. Some of the
more recent of these cases include:
Logan v. United States, 552 U.S. 23, 36–
37 (2007) (‘‘[s]tatutory terms, we have
held, may be interpreted against their
literal meaning where the words ‘could
b. The ‘‘Absurd Results’’ Doctrine
Turning first to the ‘‘absurd results’’
doctrine, we note at the outset that we
discussed the doctrine at length in the
notice of proposed rulemaking, and we
incorporate by reference that discussion,
although we make some refinements to
that discussion in this preamble. The
starting point for EPA’s interpretation of
the PSD and title V applicability
provisions and reliance on the ‘‘absurd
results’’ doctrine is the familiar Chevron
two-step analysis. We discuss this
analysis in greater detail later, but in
brief, in interpreting a statutory
provision, an agency must, under
Chevron Step 1, determine whether
Congress’s intent on a particular
question is clear; if so, then the agency
must follow that intent. If the intent of
25 For early cases in which the U.S. Supreme
Court applied the ‘‘absurd results’’ doctrine, see
Holy Trinity Church v. U.S., 143 U.S. 457, 516–17
(1892) (‘‘any alien’’ does not include a foreign
pastor; Court stated, ‘‘It is a familiar rule, that a
thing may be within the letter of the statute and yet
not within the statute, because not within its spirit,
nor within the intention of its makers * * *. If a
literal construction of the words be absurd, the Act
must be construed as to avoid the absurdity’’); Chew
Heong v. United States, 112 U.S. 536, 555 (1884)
(rejecting a literal interpretation of treaty that would
have prevented the re-entry of a person into the
U.S. upon the ground that he did not possess a
certificate which did not exist prior to his
departure, and which could not possibly have been
issued); Heyenfeldt v. Daney Gold Mining Co., 93
U.S. 634, 638 (1877) (statutory language expressly
referred to past land sales and dispositions, ‘‘but
evidently they were not employed in this sense, for
no lands in Nevada had been sold or disposed of
by any act of Congress,’’ and the language of the
statute ‘‘could not * * * apply to past sales or
dispositions, and, to have any effect at all, must be
held to apply to the future’’).
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not conceivably have been intended to
apply’ to the case at hand [citation
omitted]’’); Nixon v. Missouri Municipal
League, 541 U.S. 125, 132–33 (2004)
(‘‘any entity’’ includes private but not
public entities); Raygor v. Regents of
Univ. of Minn., 534 U.S. 533, 542–45
(2002) (‘‘implying a narrow
interpretation of * * * ‘any claim
asserted’ so as to exclude certain claims
dismissed on Eleventh Amendment
grounds’’); United States v. X-Citement
Video, Inc., 513 U.S. 64, 69 (1994)
(rejecting a literal interpretation of the
statutory term ‘‘knowingly’’ on grounds
that Congress could not have intended
the ‘‘positively absurd’’ results that some
applications of such an interpretation
would produce, ‘‘[f]or instance, a retail
druggist who returns an uninspected
roll of developed film to a customer
‘‘knowingly distributes’’ a visual
depiction and would be criminally
liable if it were later discovered that the
visual depiction contained images of
children engaged in sexually explicit
conduct’’); Rowland v. Cal. Men’s
Colony, 506 U.S. 194, 200 (1993)
(finding that an artificial entity such as
an association is not a ‘‘person’’ under
the statute, and describing the absurdity
doctrine as a ‘‘common mandate of
statutory construction’’); United States
v. Ron Pair Enterprises, 489 U.S. 235,
242 (1989) (the plain meaning of a
statutory provision is not conclusive ‘‘in
the ‘rare cases [in which] the literal
application of a statute will produce a
result demonstrably at odds with the
intentions of the drafters’ * * * [in
which case] the intention of the drafters,
rather than the strict language,
controls’’); Green v. Bock Laundry
Machine Company, 490 U.S. 504 (1989)
(provision in Federal Rule of Evidence
that protects ‘‘the defendant’’ against
potentially prejudicial evidence, but not
the plaintiff, refers to only criminal, and
not civil, defendants); Public Citizen v.
United States Dep’t of Justice, 491 U.S.
440, 453–54 (1989) (rejecting a broad,
straightforward reading of the term
‘‘utilize,’’ on grounds that a literal
reading would appear to require the
absurd result that all of FACA’s
restrictions apply if a President consults
with his own political party before
picking his Cabinet, and such a reading
‘‘was unmistakably not Congress’
intention’’); Watt v. Alaska, 451 U.S.
259, 266 (1981) (rejecting reliance on
plain statutory language and concluding
that the term ‘‘minerals’’ in section
401(a) of the Wildlife Refuge Revenue
Sharing Act applies only to minerals on
acquired refuge lands; stating ‘‘[t]he
circumstances of the enactment of
particular legislation may persuade a
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court that Congress did not intend
words of common meaning to have their
literal effect’’); Train v. Colorado Public
Interest Research Group, Inc., 426 U.S.
1, 23–24 (1976) (prohibition in Federal
Water Pollution Control Act against
discharging into navigable waters
‘‘pollutants,’’ which are defined to
include ‘‘radioactive materials,’’ does not
apply to three specific types of
radioactive materials); Jackson v. Lykes
Bros. S.S. Co., 386 U.S. 731, 735 (1967)
(refusing to distinguish between a
longshoreman hired by ‘‘an independent
stevedore company’’ and one hired by
‘‘the shipowner * * * to do exactly the
same kind of work,’’ despite the clear
terms of the Act, and stating: ‘‘[w]e
cannot hold that Congress intended any
such incongruous, absurd, and unjust
result in passing this Act,’’ when the Act
was ‘‘designed to provide equal justice
to every longshoreman similarly
situated’’); Lynch v. Overholser, 369 U.S.
705, 710, (1962) (statutory construction
is not confined to the ‘‘bare words of a
statute’’); United States v. Bryan, 339
U.S. 323, 338 (1950) (‘‘Despite the fact
that the literal language would
encompass testimony elicited by the
House Committee in its questioning of
respondent relative to the production of
the records of the association, the Court
will not reach that result if it is contrary
to the congressional intent and leads to
absurd conclusions. And we are clearly
of the opinion that the congressional
purpose would be frustrated if the
words, ‘‘in any criminal proceeding,’’
were read to include a prosecution for
willful default under R.S. § 102.’’).26
The DC Circuit has also handed down
numerous decisions that applied the
absurd results doctrine to avoid a literal
interpretation or application of statutory
26 For other U.S. Supreme Court cases, see Utah
Junk Co. v. Porter, 328 U.S. 39, 44 (1946)
(‘‘literalness may strangle meaning’’); Markham v.
Cabell, 326 U.S. 404, 409 (1945) (‘‘The policy as
well as the letter of the law is a guide to decision.’’);
United States v. American Trucking Associations,
Inc. 310 U.S. 534 (1940) (the term ‘‘employees’’ in
the Federal Motor Carrier Act, is limited to
employees whose activities affect safety); C.V.
Sorrels v. U.S., 287 U.S. 435, 446–49 (1932)
(provisions of National Prohibition Act that
criminalize possessing and selling liquor do not
apply if defendant is entrapped; Court declines to
apply the ‘‘letter of the statute’’ because doing so ‘‘in
the circumstances under consideration is foreign to
its purpose’’); United States v. Katz, 271 U.S. 354,
362 (1926) (holding that the statutory words ‘‘no
person’’ refer only to persons authorized under
other provisions of the Act to traffic alcohol, thus
rejecting a literal application of general terms
descriptive of a class of persons made subject to a
criminal statute); Hawaii v. Mankichi, 190 U.S. 197,
212–14 (1903) (refusing to adopt a literal
application of the ‘‘Newlands resolution’’ which
would have entitled every criminal in the State of
Hawaii convicted of an offense between 1898–1900
to be set at large, as ‘‘surely such a result could not
have been within the contemplation of Congress’’).
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provisions or that have acknowledged
the doctrine. Some of the most recent
ones include: Arkansas Dairy
Cooperative Ass’n, Inc., v. U.S. Dep’t of
Agriculture, 573 F.3d 815 (DC Cir. 2009)
(rejecting the canon of construction that
presumes that Congress is aware of
existing law pertinent to the legislation
that it enacts, when in this case, the
presumption that Congress was aware of
the Departments definition of ‘‘hearing’’
would lead to ‘‘the absurd result that
Congress intended to impose a
requirement with which the Secretary
could not comply;’’ stating: ‘‘Courts, ‘in
interpreting the words of a statute,
[have] some scope for adopting a
restricted rather than a literal or usual
meaning of its words where acceptance
of that meaning would lead to absurd
results * * * or would thwart the
obvious purpose of the statute * * *.’ ’’
(quoting In re Trans Alaska Pipeline
Rate Cases, 436 U.S. 631, (1978));
Buffalo Crushed Stone, Inc. v. Surface
Transportation Board, 194 F.3d 125,
129–30 (DC Cir. 1999) (regulation of
Surface Transportation Board providing
that if a notice of exemption ‘‘contains
false or misleading information, the use
of the exemption is void ab initio’’ does
not apply to a notice containing false
information when declaring the notice
void ab initio would undermine the
goals of the governing statute; a conflict
between the ‘‘literal application of
statutory language’’ and maintaining the
integrity of the regulatory scheme
should be resolved by construing the
text in accordance with its purpose);
Mova Pharm. Corp. v. Shalala, 140 F.3d
1060, 1068–69 (DC Cir. 1998) (as
discussed later, describes the ‘‘absurd
results’’ doctrine in the context of the
Chevron framework for statutory
construction; invalidates a Food and
Drug Administration’s (FDA) regulation
designed to remedy what the FDA
described as the absurd result of a literal
application of the statutory provisions
governing FDA approval of successive
generic drug applications, on grounds
that ‘‘[i]n effect, the FDA has embarked
upon an adventurous transplant
operation in response to blemishes in
the statute that could have been
alleviated with more modest corrective
surgery;’’ states that ‘‘[t]he rule that
statutes are to be read to avoid absurd
results allows an agency to establish
that seemingly clear statutory language
does not reflect the ‘‘unambiguously
expressed intent of Congress,’’ Chevron,
467 U.S. at 842, and thus to overcome
the first step of the Chevron analysis’’);
Environmental Defense Fund v. EPA, 82
F.3d 451, 468–69 (DC Cir. 1996)
(although Act requires that a federal
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31543
action conform to the SIP that is
currently in place, EPA may instead
require conformity to a revised
implementation plan that state commits
to develop; ‘‘[t]his is one of those rare
cases * * * [that] requires a more
flexible, purpose-oriented interpretation
if we are to avoid ‘absurd or futile
results.’ ’’); American Water Works Ass’n
v. EPA, 40 F.3d 1266, 1271 (DC Cir.
1994) (holding that EPA’s interpretation
of the term ‘‘feasible’’ so as to require a
treatment technique instead of a
maximum contaminant level (MCL) for
lead is reasonable; the court stated:
‘‘Indeed, where a literal reading of a
statutory term would lead to absurd
results, the term simply ‘has no plain
meaning * * * and is the proper subject
of construction by the EPA and the
courts.’ If the meaning of ‘feasible’
suggested by the NRDC is indeed its
plain meaning, then this is such a case;
for it could lead to a result squarely at
odds with the purpose of the Safe
Drinking Water Act.’’ (quoting Chem.
Mfrs. Ass’n v. Natural Res. Def. Council,
Inc., 470 U.S. 116, 126 (1985)) (citation
omitted); In re Nofziger, 925 F.2d 428,
434–35 (DC Cir. 1991) (provision
authorizing payment of attorney fees to
the subject of an investigation
conducted by an independent counsel
of the Department of Justice only if ‘‘no
indictment is brought’’ against such
individual does not preclude payment
of attorney fees when an indictment is
brought but is determined to be invalid).
c. The ‘‘Administrative Necessity’’
Doctrine
In the proposed rulemaking, we also
described in detail the ‘‘administrative
necessity’’ doctrine, 74 FR 55311 col. 3
to 55318 col. 3, and we incorporate that
discussion by reference into this notice.
Under this doctrine, if a statutory
provision, however clear on its face, is
impossible for the agency to administer,
then the agency is not required to follow
the literal requirements, and instead, the
agency may adjust the requirements in
as refined a manner as possible to assure
that the requirements are administrable,
while still achieving Congress’s overall
intent. The DC Circuit set out the
doctrine of ‘‘administrative necessity’’ in
a line of cases that most prominently
includes Alabama Power v. Costle, 636
F.2d 323 (DC Cir. 1980). The Court cited
the doctrine most recently in New York
v. EPA, 443 F.3d 880, 884, 888 (DC Cir.
2006).
As we stated in the proposed
rulemaking, ‘‘We believe that the
‘‘administrative necessity’’ case law
establishes a three-step process under
which an administrative agency may,
under the appropriate circumstances, in
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effect revise statutory requirements that
the agency demonstrates are impossible
to administer so that they are
administrable.’’ 74 FR 55315 col. 1.
Specifically:
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[T]he three steps are as follows: When an
agency has identified what it believes may be
insurmountable burdens in administering a
statutory requirement, the first step the
agency must take is to evaluate how it could
streamline administration as much as
possible, while remaining within the
confines of the statutory requirements. The
second step is that the agency must
determine whether it can justifiably conclude
that even after whatever streamlining of
administration of statutory requirements
(consistent with those statutory
requirements) it conducts, the remaining
administrative tasks are impossible for the
agency because they are beyond its resources,
e.g., beyond the capacities of its personnel
and funding. If the agency concludes with
justification that it would be impossible to
administer the statutory requirements, as
streamlined, then the agency may take the
third step, which is to phase in or otherwise
adjust the requirements so that they are
administrable. However, the agency must do
so in a manner that is as refined as possible
so that the agency may continue to
implement as fully as possible Congressional
intent.
74 FR 55315 cols. 1–2.
It should also be noted that we believe
the administrative burdens encountered
by the state and local permitting
authorities are fully relevant under the
‘‘administrative necessity’’ doctrine.
Although the case law that discusses the
doctrine focuses on federal agencies (see
74 FR 55312–14), under the CAA, state
and local agencies are EPA’s partners in
implementing provisions of the CAA,
and have primary responsibility for
implementing the PSD program. They
generally adopt EPA’s PSD requirements
in their SIPs, as required under CAA
section 110(a)(2)(C); and they generally
adopt EPA’s title V requirements in
their title V programs, as required under
CAA section 502(d). They issue the PSD
and title V permits and are responsible
in the first instance for enforcing the
terms of the permits. In all these
respects, the law that the state and local
permitting authorities administer is both
federal and state law. Under certain
circumstances, EPA may become
responsible for permit issuance and
enforcement in the first instance, but
even then, EPA may, and frequently has,
delegated those duties to a state, in
which case, the state implements federal
law directly. Thus, although the PSD
and title V programs are federal
requirements, for the most part, it is the
states that implement those programs.
For this reason, the administrative
burdens that the states face in
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implementing the programs are relevant
in determining the applicability of the
‘‘administrative necessity’’ doctrine.
d. ‘‘One-Step-at-a-Time’’ Doctrine
In addition to the ‘‘absurd results’’ and
‘‘administrative necessity’’ doctrines,
another judicial doctrine supports at
least part of EPA’s Tailoring Rule, and
that is the doctrine that agencies may
implement statutory mandates one step
at a time, which we will call the ‘‘onestep-at-a-time’’ doctrine. In the notice of
proposed rulemaking, we also described
this doctrine and recent case law
applying it. 74 FR 55319 col. 1–3. As we
noted, that the U.S. Supreme Court
recently described the doctrine in
Massachusetts v. EPA, 549 U.S. 497, 524
(2007), as follows: ‘‘Agencies, like
legislatures, do not generally resolve
massive problems in one fell regulatory
swoop;’’ and instead they may
permissibly implement such regulatory
programs over time, ‘‘refining their
preferred approach as circumstances
change and as they develop a more
nuanced understanding of how best to
proceed.’’ We assume familiarity with
our discussion in the proposal, but we
expand upon it here to review the case
law in greater detail and to highlight
certain components of the doctrine that
are particularly relevant to the Tailoring
Rule. The roots of the doctrine go back
at least to the DC Circuit’s 1979 decision
in United States Brewers Association,
Inc. v. EPA, 600 F.2d 974 (DC Cir. 1979).
There, the Court considered a challenge
to EPA’s guidelines for managing
beverage containers, which EPA was
required to promulgate under the
Resource Conservation and Recovery
Act of 1976 (RCRA). RCRA gave EPA
one year to promulgate the guidelines.
EPA promulgated a partial set of
guidelines, started two others, and was
challenged before the year was out by
petitioners who objected to the initial
guideline, saying it fell short of the
statutory mandate. The Court upheld
the initial guideline, stating: ‘‘Under
these circumstances we think the
question of whether the Agency has
fully satisfied the mandate of the statute
is not fit for judicial review at this time,
when the Agency, still well within the
one-year period granted by statute, is
deeply involved in the process of
formulating rules designed to carry out
the congressional mandate. The Agency
might properly take one step at a time.’’
States Brewers Association, Inc. v. EPA,
600 F.2d at 982.
The Court addressed the doctrine at
greater length in National Association of
Broadcasters v. FCC, 740 F.2d 1190,
1209–14 (DC Cir. 1984). There, the
Court noted that under certain statutory
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schemes, step-by-step agency action
might not be authorized; but the Court
emphasized that when it is authorized,
it may offer significant benefits; and the
Court went on to delineate some of the
circumstances under which its use is
justified. In that case, the Court held
that Federal Communications
Commission (FCC) acted reasonably in
making a spectrum allocation decision
that granted direct broadcast satellite
service priority use of a gigahertz (GHz)
band in 5-years time, and—although
acknowledging that fixed service users
that were, at that time, using that band,
would have to relocate to other bands—
in postponing the details of the fixed
service relocation to future proceedings.
The Court described in some detail
‘‘[t]he circumstances under which * * *
[an] agency may defer resolution of
problems raised in a rulemaking,’’ as
follows:
The requisite judgment is in essence a
pragmatic one. In an ideal world, of course,
agencies would act only after comprehensive
consideration of how all available
alternatives comported with a well-defined
policymaking objective, and in some
circumstances, statutes indeed mandate that
agencies proceed by only such a course
* * *. But administrative action generally
occurs against a shifting background in
which facts, predictions, and policies are in
flux and in which an agency would be
paralyzed if all the necessary answers had to
be in before any action at all could be taken
* * *. We have therefore recognized the
reasonableness of [an agency’s] decision to
engage in incremental rulemaking and to
defer resolution of issues raised in a
rulemaking even when those issues are
‘‘related’’ to the main ones being considered
* * *. At the same time, [an agency] cannot
‘restructure [an] entire industry on a
piecemeal basis’ through a rule that utterly
fails to consider how the likely future
resolution of crucial issues will affect the
rule’s rationale * * *.
Drawing a line between the permissible
and the impermissible in this area will
generally raise two questions. First the
agency will likely have made some
estimation, based upon evolving economic
and technological conditions, as to the nature
and magnitude of the problem it will have to
confront when it comes to resolve the
postponed issue. With regard to this aspect
of the agency’s decision, as long as the
agency’s predictions about the course of
future events are plausible and flow from the
factual record compiled, a reviewing court
should accept the agency’s estimation * * *.
Second, once the nature and magnitude of
the unresolved issue is determined, the
relevant question is whether it was
reasonable, in the context of the decisions
made in the proceeding under review, for the
agency to have deferred the issue to the
future. With respect to that question,
postponement will be most easily justified
when an agency acts against a background of
rapid technical and social change and when
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the agency’s initial decision as a practical
matter is reversible should the future
proceedings yield drastically unexpected
results. In contrast, an incremental approach
to agency decision making is least justified
when small errors in predictive judgments
can have catastrophic effects on the public
welfare or when future proceedings are likely
to be systematically defective in taking into
account certain relevant interests * * *.
740 F.2d at 1210–11 (citations omitted).
In City of Las Vegas v. Lujan, 891 F.2d
927 (DC Cir. 1989), the Court suggested
that one component of upholding partial
agency compliance with a statutory
directive is evidence that the agency
was on track for full compliance. There,
the Court upheld the Department of
Interior’s decision to list the population
of desert tortoises living north and west
of the Colorado River (the ‘‘Mojave’’
population) as endangered species, but
not the nearby population living south
and east of the river (the ‘‘Sonoran’’
population). The agency explained that
the Mojave population faced certain
threats that the Sonoran population did
not, and the Court found nothing to
fault in that reasoning. The Court added:
‘‘Since agencies have great discretion to
treat a problem partially, we would not
strike down the listing if it were a first
step toward a complete solution, even if
we thought it ‘should’ have covered
both the Mojave and Sonoran
populations.’’ City of Las Vegas v. Lujan,
891 F.2d 927, 935 (DC Cir. 1989)
(footnote omitted).
In Grand Canyon Air Tour Coalition
v. F.A.A., 154 F.3d 455 (DC Cir. 1998),
the DC Circuit added another
component to the ‘‘one-step-at-a-time’’
doctrine: While reiterating that
‘‘ordinarily, agencies have wide latitude
to attack a regulatory problem in phases
and that a phased attack often has
substantial benefits,’’ id. at 471, the
Court went on to uphold partial agency
action even when that action was longdelayed. There, the relevant statute was
the Overflights Act, which required the
Federal Aviation Administration (FAA)
to reduce aircraft noise from sightseeing
tours in Grand Canyon National Park,
and established the goal of ‘‘substantial
restoration of natural quiet and
experience of the park.’’ The statute
required the agency to develop a plan to
implement the statutory requirements
within 120 days after enactment, and
report to Congress within 2 years after
the date of the plan as to the plan’s
success. In fact, the FAA did not
develop, through rulemaking, a plan
until ten years after enactment, and
when it did, it acknowledged that the
plan was only a partial one, and that it
would need two more rules and another
ten years to meet the statutory goal of
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substantial restoration. Although
recognizing that the Overflights Act did
not establish an explicit timetable for
meeting the statutory goal, the Court
stated that ‘‘[t]he language of the
Overflights Act does manifest a
congressional concern with expeditious
agency action,’’ and described the
agency’s action variously as ‘‘tardy,’’
‘‘undeniably slow,’’ and ‘‘slow and
faltering.’’ Id. at 476–77. Even so, the
Court upheld the FAA’s action against
different challenges from appellants and
intervenors that (i) the agency acted
unreasonably in not promulgating a
complete plan to meet the statutory
goal, instead of promulgating just the
first step; and (ii) the agency acted
unreasonably in not waiting until it had
a complete plan before promulgating the
first step. The Court stated: ‘‘We agree
that it would be arbitrary and capricious
for an agency simply to thumb its nose
at Congress and say—without any
explanation—that it simply does not
intend to achieve a congressional goal
on any timetable at all * * *,’’ but went
on to emphasize that the FAA’s rule was
the first of three that the agency assured
would achieve the statutory goal. The
Court cited City of Las Vegas v. Lujan,
discussed previously, for the
proposition that ‘‘a court will not strike
down agency action ‘if it were a first
step toward a complete solution.’ ’’
Grand Canyon Air Tour Coalition v.
F.A.A., 154 F.3d 455, 477–78 (DC Cir.
1998).27
e. Consistency of Doctrines With
Chevron Framework
Although the formation of the ‘‘absurd
results,’’ ‘‘administrative necessity,’’ and
‘‘one-step-at-a-time’’ doctrines pre-date
the Chevron two-step analysis for
construing statutes that Congress has
authorized an agency to administer, we
believe that the doctrines can be
considered very much a part of that
analysis, and courts have continued to
apply them post-Chevron. Under
Chevron Step 1, an agency must
determine whether ‘‘Congress has
directly spoken to the precise question
at issue.’’ If so, ‘‘the court, as well as the
agency, must give effect to the
unambiguously expressed intent of
Congress.’’ However, if ‘‘the statute is
silent or ambiguous with respect to the
specific issue, the question for the court
is whether the agency’s answer is based
27 For other cases, see Arizona Public Service Co.
v. EPA, 562 F.3d 1116, 1125–26 (10th Cir. 2009);
General American Transp. Corp. v. ICC, 872 F.2d
1048, 1058 (DC Cir. 1989); Hazardous Waste
Treatment Council v. EPA, 861 F.2d 277, 287 (DC
Cir. 1988); Western Union International, Inc. v.
FCC, 725 Fl2d 732, 754 (DC Cir. 1984).
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on a permissible construction of the
statute.’’
Chevron U.S.A. Inc. v. NRDC, 467
U.S. 837, 842–42 (1984).
Thus, Step 1 under Chevron calls for
determining congressional intent for the
relevant statutory directive on the
specific issue presented. To determine
Congress’s intent, the agency must look
first to the statutory terms in question,
and generally interpret them according
to their literal meaning, within the
overall statutory context, and perhaps
with reference to the legislative history.
If the literal meaning of the statutory
requirements is clear then, absent
indications to the contrary, the agency
must take it to indicate congressional
intent and must implement it. Even if
the literal meaning of the statutory
requirements is not clear, if the agency
can otherwise find indications of clear
congressional intent, such as in the
legislative history, then the agency must
implement that congressional intent.
The DC Circuit has indicated that the
‘‘absurd results’’ doctrine fits into the
Chevron Step 1 analysis in the following
way: Recall that in the cases in which
the courts have invoked this doctrine,
the literal meaning of the statutory
requirements has been clear, but has led
to absurd results. This can occur when
the literal meaning, when applied to the
specific question, conflicts with other
statutory provisions, contradicts
congressional purpose as found in the
legislative history—and, in particular,
undermines congressional purpose—or
otherwise produces results so illogical
or otherwise contrary to sensible public
policy as to be beyond anything
Congress would reasonably have
intended. See United States v. Ron Pair
Enterprises, 489 U.S. 235, 242–43
(1989); Griffin v. Oceanic Contractors,
Inc., 458 U.S. 564, 571 (1982).
Under these circumstances, the
agency must not take the literal meaning
to indicate congressional intent. As the
DC Circuit has explained, ‘‘where a
literal reading of a statutory term would
lead to absurd results, the term ‘simply
has no plain meaning * * * and is the
proper subject of construction by the
EPA and the court.’ ’’ American Water
Works Assn v. EPA, 40 F.3d 1266, 1271
(DC Cir. 1994) (quoting Chemical
Manufacturers’ Association v. NRDC,
470 U.S. 116, 126 (1985)). Under these
circumstances, if the agency can find
other indications of clear congressional
intent, then the agency must implement
that intent. See United States v. Ron
Pair Enterprises, 489 U.S. 235, 242–43
(1989). This may mean implementing
the statutory terms, albeit not in
accordance with their literal meaning,
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but in a way that achieves a result that
is as close as possible to congressional
intent. As the DC Circuit said in Mova
Pharm. Corp. v. Shalala, 140 F.3d 1060
(DC Cir. 1998):
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The rule that statutes are to be read to
avoid absurd results allows an agency to
establish that seemingly clear statutory
language does not reflect the ‘‘unambiguously
expressed intent of Congress,’’ * * * and
thus to overcome the first step of the Chevron
analysis. But the agency does not thereby
obtain a license to rewrite the statute. When
the agency concludes that a literal reading of
a statute would thwart the purposes of
Congress, it may deviate no further from the
statute than is needed to protect
congressional intent * * *. [T]he agency
might be able to show that there are multiple
ways of avoiding a statutory anomaly, all
equally consistent with the intentions of the
statute’s drafters * * *. In such a case, we
would move to the second stage of the
Chevron analysis, and ask whether the
agency’s choice between these options was
‘‘based on a permissible construction of the
statute.’’ Otherwise, however, our review of
the agency’s deviation from the statutory text
will occur under the first step of the Chevron
analysis, in which we do not defer to the
agency’s interpretation of the statute.
Id. at 1068 (quoting Chevron U.S.A. Inc.
v. NRDC, 467 U.S. 837, 842, 843 (1984)
(citations omitted)).
The ‘‘administrative necessity’’
doctrine is not as well developed as the
‘‘absurd results’’ doctrine, so that the
courts have not had occasion to
explicitly describe how the doctrine fits
into the Chevron analytical framework.
However, we think that a reasonable
approach, in line with the DC Circuit’s
approach to the ‘‘absurd results’’
doctrine as just described, is as follows:
Recall that under the ‘‘administrative
necessity’’ doctrine, an agency is not
required to implement a statutory
provision in accordance with the literal
requirements when doing so would be
impossible, but the agency must
nevertheless implement the provision as
fully as possible. Placed in the context
of the Chevron framework, we think that
that the ‘‘administrative necessity’’
doctrine is based on the premise that
inherent in the statutory design is the
presumption that Congress does not
intend to impose an impossible burden
on an administrative agency. See
Alabama Power v. Costle, 636 F.2d 323,
357 (DC Cir. 1980) (describing the
‘‘administrative necessity’’ approach as
one of the ‘‘limited grounds for the
creation of exemptions [that] are
inherent in the administrative process,
and their unavailability under a
statutory scheme should not be
presumed, save in the face of the most
unambiguous demonstration of
congressional intent to foreclose them’’).
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Therefore, if the literal meaning of a
statutory directive would impose on an
agency an impossible administrative
burden, then that literal meaning should
not be considered to be indicative of
congressional intent. Rather,
congressional intent should be
considered to achieve as much of the
statutory directive as possible. As a
result, the agency must adopt an
approach that implements the statutory
directive as fully as possible. This is
consistent with the DC Circuit’s holding
in Mova Pharm. Corp that if
congressional intent is clear, but the
plain meaning of a statute does not
express that intent, then the agency
must, under Chevron Step 1, select an
interpretation that most closely
approximates congressional intent.
Mova Pharm. Corp, 140 F.3d at 1068.28
The ‘‘one-step-at-a-time’’ doctrine fits
into the Chevron framework in much
the same manner that the
‘‘administrative necessity’’ doctrine
does. That is, inherent in the statutory
design is the presumption that Congress
intended an agency, under certain
circumstances, to implement the
statutory requirements in a one-step-ata-time fashion, as long as the agency
stays on a path towards full
implementation.
Under all of the circumstances
described previously, congressional
intent is clear—whether it is indicated
by the plain language or otherwise—and
as a result, the agency must follow that
intent under Chevron Step 1. On the
other hand, the agency may determine
that congressional intent on the specific
issue is not clear. In these cases, the
agencies should proceed to Chevron
Step 2 and select an interpretation or an
application that is a permissible
construction of the statute. This
situation generally occurs when the
statutory provisions are ambiguous or
silent as to the specific issue, and there
are no other indications of clear
congressional intent. In addition, in
some cases in which the literal meaning
of the statutory provision, when applied
to the specific question, leads to an
absurd result—and, therefore, the
statutory provision should be
considered not to have a plain
meaning—there may be no other
indications of clear congressional intent.
Under all these circumstances, the
agency is authorized, under Chevron
Step 2, to develop and implement a
construction of the statute that the
28 We recognize that we described the
relationship between the Chevron framework and
the ‘‘administrative necessity’’ doctrine somewhat
differently in the proposal, 74 FR 55312, and that,
after further analysis, we are refining our view of
that relationship as described previously.
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courts will uphold as long as it is
reasonable.
As noted previously, the DC Circuit,
has pointed out that this situation may
also occur when the literal language
leads to an absurd result, and, in
attempting to implement congressional
intent, the agency is ‘‘able to show that
there are multiple ways of avoiding a
statutory anomaly, all equally consistent
with the intentions of the statute’s
drafters * * *. In such a case, we would
move to the second stage of the Chevron
analysis, and ask whether the agency’s
choice between these options was
‘based on a permissible construction of
the statute.’ ’’ Mova Pharm. Corp, 140
F.3d at 1068. As the U.S. Supreme Court
has recently said, although in a context
different than ‘‘absurd results,’’ ‘‘In the
end, the interpretation applied by EPA
‘‘governs if it is a reasonable
interpretation of the statute—not
necessarily the only possible * * *
interpretation, nor even the
interpretation deemed most reasonable
by the courts.’’ Entergy Corp. v.
Riverkeeper, Inc., 129 S.Ct. 1498. 1505
(2009).
As a related matter, although the
courts have described Chevron Step 2 as
requiring that the agency’s policy be ‘‘a
permissible construction of the statute,’’
see Mova Pharm. Corp, 140 F.3d at 1068
(quoting Chevron, 467 U.S. at 842–43),
if the statutory requirements cannot be
read literally because doing so would
produce ‘‘absurd results,’’ then the
agency’s policy need not be completely
consistent with those particular
requirements. The policy must still, in
order to be upheld, be consistent with
Congress’s actions, but those actions
should be considered to afford the
agency broad discretion considering that
both the statutory terms cannot be
considered dispositive and underlying
congressional intent is not clear. As the
U.S. Supreme Court has recently said,
although in a context different than
‘‘absurd results,’’ In the end, the
interpretation applied by the agency
governs if it is a reasonable
interpretation of the statute—not
necessarily the only possible * * *
interpretation, nor even the
interpretation deemed most reasonable
by the courts.’’ Entergy Corp. v.
Riverkeeper, Inc., 129 S.Ct. 1498. 1505
(2009).
There is another aspect of the
‘‘administrative necessity’’ doctrine
worth noting in this context: The
doctrine applies when (i) a literal
application of the statutory directive to
the case at hand is impossible for the
agency to administer; and (ii) even so,
either Congress clearly intended the
statutory directive to apply to the case
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at hand or, if Congress did not clearly
intend that, then the agency reasonably
construes the statute to apply the
statutory directive to the case at hand.
In contrast, if Congress did not intend
the statutory directive to apply to the
case at hand, or if congressional intent
is uncertain and the agency considers
another approach to be reasonable, then
the ‘‘administrative necessity’’ doctrine
would not apply. As a result, the agency
would not be required to implement the
statutory directive to the case at hand at
all, much less in a more administrable
fashion.
f. Interconnectedness of the Legal
Doctrines
Although we believe that each of the
‘‘absurd results,’’ ‘‘administrative
necessity,’’ and ‘‘one-step-at-a-time’’
doctrines provide independent support
for our action, we also believe that in
this case, the three doctrines are
intertwined and form a comprehensive
basis for EPA’s tailoring approach. As
just discussed, each of the three
doctrines is tied into the Chevron
analytical framework because each is
designed to give effect to underlying
intent. As discussed previously, each of
the three doctrines comes into play in
this case because a literal reading of the
PSD and title V applicability provisions
results in insurmountable
administrative burdens. Those
insurmountable administrative
burdens—along with the undue costs to
sources—must be considered ‘‘absurd
results’’ that would undermine
congressional purpose for the PSD and
title V programs. Under the ‘‘absurd
results’’ doctrine, EPA is authorized not
to implement the applicability
provisions literally—that is, not to
implement them as applying on the
January 2, 2011 date that PSD and title
V are triggered to all GHG sources at or
above the statutory thresholds—but
instead to tailor them in a manner
consistent with congressional intent.
That means applying the PSD and title
V requirements through a phase-in
approach to as many sources as possible
and as quickly as possible, starting with
the largest sources, as EPA does with
this Tailoring Rule,29 at least to a certain
point. By the same token, the
insurmountable administrative burdens
bring into play the ‘‘administrative
necessity’’ doctrine, under which EPA
is, again, authorized not to implement
the applicability provisions literally, but
29 As discussed later, EPA may, in future
rulemaking, make a final determination that under
the ‘‘absurd results’’ doctrine, Congress did not
intend for EPA to apply PSD to very small sources,
that is, those, with emissions at or near the 100/250
tpy statutory levels.
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instead to apply them in a manner
consistent with administrative
resources. This also means phasing
them in through the approach in the
Tailoring Rule. Finally, the ‘‘one-step-ata-time’’ doctrine, which authorizes
incremental action by agencies to
implement statutory requirements under
certain circumstances, provides further
support for the phased tailoring
approach in the Tailoring Rule.
g. Application of Chevron Approach
The Chevron analytical approach, and
the three legal doctrines at issue here,
apply to this action in the following
manner: To reiterate, for convenience,
the statutory provisions at issue:
Congress, through the definition of
‘‘major emitting facility,’’ applied the
PSD program to include (i) ‘‘any * * *
stationary sources of air pollutants
which emit or have the potential to
emit, one hundred [or, depending on the
source category, two hundred fifty] tons
per year or more of any air pollutant,’’
CAA sections 165(a), 169(1); and (ii) and
such sources that undertake a physical
or operational change that ‘‘increases the
amount of any air pollutant emitted’’ by
such sources, CAA sections 165(a),
169(2)(C), 111(a)(4).30 Similarly,
Congress, through the definition of
‘‘major source,’’ specified that the title V
program includes ‘‘any stationary
facility or source of air pollutants which
directly emits, or has the potential to
emit, one hundred tons per year or more
of any air pollutant.’’ CAA sections
502(a), 501(2)(B), 302(j). EPA, through
long-established regulatory action, in
the case of PSD, and long-established
interpretation, in the case of title V, has
interpreted these definitions so that they
apply only with respect to air pollutants
that are subject to regulation under the
CAA.
For each of these applicability
provisions, the approach under Chevron
is as follows: Under Chevron Step 1, we
must determine whether Congress
expressed an intention on the specific
question, which is whether the PSD or
title V applicability provisions apply to
GHG sources. Said differently, the
specific question is whether, in the case
of PSD, Congress intended that the
definitions of ‘‘major emitting facility’’
and ‘‘modification’’ apply, respectively,
to all GHG sources that emit at least 100
30 A physical or operational change is treated as
a ‘‘modification’’ that is subject to PSD if it either
‘‘increases the amount of any air pollutant emitted’’
by the source or ‘‘results in the emission of any air
pollutant not previously emitted.’’ For convenience,
unless otherwise indicated, when we refer to
changes that ‘‘increase[ ] the amount of any air
pollutant emitted,’’ we mean both to those types of
changes and changes that ‘‘result[ ] in the emission
of any air pollutant not previously emitted.’’
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or 250 tpy or GHGs and to all physical
or operational changes by major
emitting facilities that ‘‘increase[ ] the
amount’’ of GHGs; and, in the case of
title V, whether the definition of ‘‘major
source’’ applies to all GHG sources that
emit at least 100 tpy GHGs.
To determine intent, we must first
examine the terms of the statute in light
of their literal meaning. Here, the literal
reading of each provision covers GHG
sources. For PSD, a GHG source that
emits at least 100 or 250 tpy GHGs
literally qualifies as ‘‘stationary source
[ ] of air pollutants which emit[s] or
ha[s] the potential to emit, one hundred
[or two hundred fifty] tons per year or
more of any air pollutant [subject to
regulation under the CAA].’’ CAA
section 169(1). For modifications, a
physical or operational change that
increases the amount of GHG emissions
qualifies as a ‘‘modification’’ because it
‘‘increases the amount of any air
pollutant emitted’’ by the source.
Similarly, for title V, a GHG source that
emits at least 100 tpy GHGs literally
qualifies as ‘‘any stationary facility or
source of air pollutants which directly
emits, or has the potential to emit, one
hundred tons per year or more of any air
pollutant [subject to regulation under
the CAA].’’ CAA sections 502(a),
501(2)(B), 302(j).
Although each definition is clear that
it applies to GHG sources as a general
matter, applying each definition in
accordance with its literal meaning to
all GHG sources at the specified levels
of emissions and at the present time—
in advance of the development of
streamlining methods and greater
permitting authority expertise and
resources—would create undue costs for
sources and impossible administrative
burdens for permitting authorities.
These results are not consistent with
other provisions of the PSD and title V
requirements, and are inconsistent
with—and, indeed, undermine—
congressional purposes for the PSD and
title V provisions. Accordingly, under
the ‘‘absurd results’’ doctrine, neither the
PSD definition of ‘‘major emitting
facility’’ or ‘‘modification’’ nor the title V
definition of ‘‘major source,’’ should be
applied literally to all GHG sources, and
therefore none should be considered to
have a literal meaning with respect to its
application to all GHG sources.
In analyzing the provisions of each
definition more closely, we believe that
each has four terms, any one of which
could be considered not to have its
literal meaning, in this respect.
Specifically, each provision includes (i)
The term ‘‘any * * * source,’’ or ‘‘a
stationary source,’’ and that term could
be considered not to refer literally to all
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of the GHG sources; (ii) either the term
‘‘two hundred fifty tons per year’’ or
‘‘100 tons per year,’’ or the term
‘‘increases the amount,’’ and those terms
could be considered not to refer literally
to the tonnage amount of emissions
from all of the GHG sources; (iii) the
term ‘‘any air pollutant,’’ 31 and that term
could be considered not to refer literally
to the emissions from all of the GHG
sources; and (iv) the term ‘‘subject to
regulation under the CAA’’ (which we
have interpreted ‘‘any air pollutant’’ to
include), and that term could be
considered not to refer literally to the
emissions from all of the GHG sources.
As long as any one of those four terms
may be considered not to have its literal
meaning as applied to GHG sources,
then the definition as a whole—again,
for PSD, the terms ‘‘major emitting
facility’’ or ‘‘modifications,’’ and for title
V, the term ‘‘major source’’—cannot be
considered to apply literally to GHG
sources. Because we read the terms
together, as integral parts of each
definition as a whole, we do not think
that the choice of which of those four
terms within each definition cannot be
considered to apply literally to GHG
sources has substantive legal effect. In
other words, we believe that any one of
these terms, or all of them together as
part of each definition as a whole,
should be considered not to apply
literally in the case of GHG sources.
Having determined that each
definition does not have a literal
meaning with respect to the
applicability of PSD or title V applies to
all GHG sources, we must next inquire
as to whether Congress has nevertheless
expressed an intent on that question
through other means. We discuss the
statutory terms and legislative history of
the PSD and title V provisions in more
detail later, but for now it suffices to say
that on the issue of whether PSD and
title V apply to GHG sources, we believe
that congressional intent is clear, and
that is to apply PSD and title V to GHG
sources generally. We believe that this
intent is clear from the broad phrasing
of the applicability provisions—as noted
earlier, the definitions apply by their
terms to GHG source generally, even
though the definitions should not be
applied literally to all GHG sources—the
fact that the various components of the
PSD and title V programs can be readily
applied to GHG sources, and the fact
that the two programs can readily
accommodate at least some GHG
31 We do not believe that this term is ambiguous
with respect to the need to cover GHG sources
under either the PSD or title V program, only with
respect to what sources of GHG should be covered
under the circumstances presented here.
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sources. As a result, we believe that as
a matter of Chevron Step 1, PSD and
title V generally apply to GHG sources.
Our previous regulatory action defining
the applicability provisions made this
clear, and we do not reopen this issue
in this rulemaking. Moreover, even if
this long-established regulatory position
were not justifiable based on Chevron
step 1—on the grounds that in fact,
congressional intent on this point is not
clear—then we believe that this
position, that the statutory provisions to
apply PSD and title V generally to GHG
sources, was justified under Chevron
step 2.32
On the issue of how to apply PSD to
GHG sources, including the specific
threshold levels and the timing, we
believe that Congress could be
considered to have expressed a clear
intent that GHG sources be included in
the PSD program at as close to the
statutory thresholds as possible, and as
quickly as possible, and at least to a
certain point, all as consistent with the
need to assure that the PSD program
does not impose undue costs on sources
or undue administrative burdens on the
permitting authorities. Under this view,
EPA would be required at Chevron Step
1 to adopt the Tailoring Rule because,
by phasing in PSD applicability, it most
closely gives effect to Congress’s intent.
Under these circumstances, EPA is
authorized to exercise its expert
judgment as to the best approach for
phasing in the application of PSD to
GHG sources.
Even so, we recognize that it could be
concluded that on the issue of how to
apply PSD to GHG sources,
congressional intent is unclear. Under
these circumstances, EPA has the
discretion at Chevron Step 2 to adopt
the Tailoring Rule because it is a
reasonable interpretation of the
statutory requirements (remaining
mindful that the applicability
requirements cannot be applied
literally). Under the Tailoring Rule, EPA
seeks to include as many GHG sources
in the permitting programs at as close to
the statutory thresholds as possible, and
as quickly as possible, although we
recognize that we ultimately may stop
the phase-in process short of the
statutory threshold levels.
As for title V, we believe that taken
together, the various statutory
requirements and statements in the
legislative history do not evidence a
32 In this preamble and the response to comments
document we fully address arguments that
commenters and others have presented about
congressional intent and coverage of GHGs. We do
so to be fully responsive, even though we believe
that this is a settled matter for which the time for
judicial review has past.
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clear congressional intent for how title
V is to be applied to GHG sources. As
discussed later, the relevant title V
requirements and statements in
legislative history differ from PSD, not
least because they include provisions
that concern empty permits that point in
different directions. As a result, here,
too, EPA has the discretion at Chevron
Step 2 to adopt the Tailoring Rule as a
reasonable interpretation of the
statutory requirements. Alternatively,
even if the statute does express a clear
intent as to title V that, similar to PSD,
title V requirements must be phased in
as closely to the statutory threshold as
possible and as quickly as possible, this
Tailoring Rule is consistent with that
intent.
It should also be noted that although
EPA has concluded that applying the
PSD and title V applicability provisions
literally in the case of GHG sources
would produce ‘‘absurd results’’ and
therefore is not required, this
conclusion has no relevance for
applying other CAA requirements—
such as the requirements concerning
endangerment and contribution findings
under CAA section 202(a)(1) or
emission standards for new motor
vehicles or new motor vehicle engines
under CAA section 202—to GHGs or
GHG sources. EPA’s conclusions with
respect to the PSD and title V
applicability requirements are based on
the specific terms of those requirements,
other relevant PSD and title V
provisions, and the legislative history of
the PSD and title V programs.
Within the context of the Chevron
framework, the ‘‘administrative
necessity’’ doctrine applies as follows:
Under the doctrine, Congress is
presumed to intend that the PSD and
title V applicability requirements be
administrable. Here, those applicability
requirements, if applied to GHG sources
in accordance with their literal
meaning, would be impossible to
administer. Accordingly, under Chevron
Step 1, it is consistent with
congressional intent that EPA and the
permitting authorities be authorized to
implement the applicability
requirements in a manner that is
administrable, that is, through the
tailoring approach.
As for the ‘‘one-step-at-a-time’’
doctrine, we believe it applies within
the Chevron framework in conjunction
with the ‘‘absurd results’’ and
‘‘administrative necessity’’ doctrines. As
we discuss elsewhere, the PSD and title
V applicability provisions by their terms
require that sources at or above the 100/
250 tpy thresholds comply with PSD
and title V requirements at the time
those requirements are triggered, which
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is when GHGs become subject to
regulation. Therefore, if the literal
meaning of the applicability provisions
as applied to GHG sources were
controlling—that is, if it reflected
congressional intent—it would foreclose
use of the one-step-at-a-time doctrine to
implement a phase-in approach.
However, the literal meaning is not
controlling because—in light of the
absurd results, including the
insurmountable administrative burdens,
that would result from the literal
meaning—congressional intent is not to
require the application of the PSD and
title V requirements to all GHG sources
at or above the statutory thresholds at
the time that GHGs become subject to
regulation. Instead, as described
previously, we consider congressional
intent for the applicability provisions,
as applied to GHG sources, either (i) to
be clear that PSD and title V should be
phased in for GHG sources as quickly as
possible, or (ii) to be unclear, so that
EPA may reasonably choose to phase
PSD and title V in for those sources in
that manner. Under either view,
congressional intent for PSD and title V
applicability to GHG sources
accommodates the ‘‘one-step-at-a-time’’
approach.
4. The PSD and Title V Programs
Having discussed both the factual
underpinnings and, immediately above,
the legal underpinnings for our tailoring
approach, we now discuss the PSD and
title V programs themselves, including,
for each program, the key statutory
provisions, their legislative history, and
the relevant regulations and guidance
documents through which EPA has
implemented the provisions. We start
with the PSD program.
a. The PSD program
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(1) PSD Provisions
Several PSD provisions are relevant
for present purposes because of the
specific requirements that they establish
and the window that they provide into
congressional intent. These provisions
start with the applicability provisions,
found in CAA sections 165(a) and
169(1), which identify the new sources
subject to PSD, and CAA section
111(a)(4), which describes the
modifications of existing sources that
are subject to PSD. CAA section 165(a)
provides:
No major emitting facility on which
construction is commenced after August 7,
1977, may be constructed in any area to
which this part applies unless—
(1) A permit has been issued for such
proposed facility in accordance with this part
setting forth emission limitations for such
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facility which conform to the requirements of
this part;
(2) The proposed permit has been subject
to a review in accordance with this section
* * *, and a public hearing has been held
with opportunity for interested persons
including representatives of the
Administrator to appear and submit written
or oral presentations on the air quality
impact of such source, alternatives thereto,
control technology requirements, and other
appropriate considerations;
*
*
*
*
*
(4) The proposed facility is subject to the
best available control technology for each
pollutant subject to regulation under this
chapter emitted from, or which results from,
such facility * * *.
The term ‘‘major emitting facility’’ is
defined, under CAA section 169(1) to
include:
* * * stationary sources of air pollutants
which emit, or have the potential to emit, one
hundred tons per year or more of any air
pollutant from [28 listed] types of stationary
sources. * * * Such term also includes any
other source with the potential to emit two
hundred and fifty tons per year or more of
any air pollutant. This term shall not include
new or modified facilities which are
nonprofit health or education institutions
which have been exempted by the State.
As for modification of existing
sources, CAA section 169(1)(C) provides
that the term ‘‘construction,’’ as used in
CAA section 165(a) (the PSD
applicability section) ‘‘includes the
modification (as defined in section
111(a)(4)) of any source or facility.’’
Section 111(a)(4), in turn, provides:
The term ‘‘modification’’ means any
physical change in, or change in the method
of operation of, a stationary source which
increases the amount of any air pollutant
emitted by such source or which results in
the emission of any air pollutant not
previously emitted.
As interpreted by EPA regulations,
these provisions, taken together, provide
that new stationary sources are subject
to PSD if they emit at the 100/250–tpy
thresholds air pollutants that are subject
to EPA regulation, and that existing
stationary sources that emit such air
pollutants at the 100/250–tpy thresholds
are subject to PSD if they undertake a
physical or operational change that
increases their emissions of such air
pollutants by any amount.
Other provisions of particular
relevance are the requirements for
timely issuance of permits. The
permitting authority must ‘‘grant[ ] or
den[y] [any completed permit
application] not later than one year after
the date of filing of such completed
application.’’ CAA section 165(c).
In addition, the PSD provisions
articulate ‘‘the purposes of [the PSD
program],’’ which are to balance
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environmental protection and growth.
CAA section 160. One of the purposes,
in subsection (1), is specifically ‘‘to
protect public health and welfare,’’ and
another, in subsection (3), is ‘‘to insure
that economic growth will occur in a
manner consistent with the
preservations of existing clean air
resources.’’
The PSD provisions also include
detailed procedures for implementation.
Most relevant for sources of GHG are the
provisions that the proposed permit for
each source must be the subject of a
public hearing with opportunity for
interested persons to comment, CAA
section 165(a)(2), and each source must
be subject to BACT, as determined by
the permitting authority on a source-bysource basis, CAA section 165(a)(4),
169(3).
(2) PSD Legislative History
The legislative history of the PSD
provisions, enacted in the 1977 CAA
Amendments, makes clear that Congress
was largely focused on sources of
criteria pollutants: primarily sulfur
dioxide, PM, NOX, and carbon
monoxide (CO). This focus is evident in
the basic purpose of the PSD program,
which is to safeguard maintenance of
the NAAQS. See S 95–127 (95th Cong.,
1st Sess.), at 27.
Congress designed the PSD provisions
to impose significant regulatory
requirements, on a source-by-source
basis, to identify and implement BACT
and, for criteria pollutant, to also
undertake certain studies. Congress was
well aware that because these
requirements are individualized to the
source, they are expensive. Accordingly,
Congress designed the applicability
provisions (i) to apply these
requirements to industrial sources of a
certain type and a certain size—sources
within 28 specified source categories
and that emit at least 100 tpy—as well
as all other sources that emit at least 250
tpy, and, by the same token, (ii) to
exempt other sources from these
requirements.33
Although Congress required that CAA
requirements generally apply to ‘‘major
emitting facilities,’’ defined as any
source that emits or has the potential to
emit 100 tpy of any pollutant, Congress
applied PSD to only sources at 100 tpy
or higher in 28 specified industrial
source categories, and at 250 tpy or
33 Coverage of modifications by the PSD program
was addressed by a technical amendment which
added a cross reference in section 169 to section
111. The legislative history of this provision is scant
and there is no suggestion that Congress would
have contemplated sweeping in large number of
changes from smaller sources through the addition
of this provision.
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more in all other source categories. This
distinction was deliberate: According to
Sen. McClure, Congress selected the 28
source categories after reviewing an EPA
study describing 190 industrial source
categories. 122 Cong. Rec. 24521 (July
29, 1976) (statement by Sen. McClure).
Congress also relied on an EPA
memorandum that identified the range
of industrial categories that EPA
regulated under its regulations that
constituted the precursor to the
statutory PSD program,34 and listed both
the estimated number of new sources
constructing each year and the amount
of pollution emitted by the ‘‘typical
plant’’ in the category. The
memorandum was prepared by B.J.
Steigerwald, Director of the Office of Air
Quality Planning and Standards and
Roger Strelow, EPA’s Assistant
Administrator for Air and Waste
Management (‘‘Steigerwald-Strelow
memorandum’’). The SteigerwaldStrelow memorandum makes clear that
the 100 tpy cut-off for the 28 listed
sources categories, and the 250 tpy cutoff for all other sources, was
meaningful; that is, there were a large
number of sources below those cut-offs
that Congress explicitly contemplated
would not be included in the PSD
program. Id. at 24548–50.
Consistent with this, the legislative
history on the Senate side also
specifically identified certain source
categories that Senators believed should
not be covered by PSD. The Senate bill
language limited PSD to sources of 100
tpy or more in 28 listed source
categories, and to any other categories
that the Administrator might add. Sen.
Muskie stated that the Senate bill
excluded ‘‘houses, dairies, farms,
highways, hospitals, schools, grocery
stores, and other such sources.’’ 123
Cong. Rec. 18021 (June 8, 1977)
(statement of Sen. Muskie). Sen.
McLure’s list of excluded source
categories were ‘‘[a] small gasoline
jobber, or a heating plant at a
community college, [which] could have
the potential to emit 100 tons of
pollution annually.’’ 122 Cong. Rec.
24548–49 (July 29, 1976) (statement of
Sen. McClure). The Senate Committee
Report included a comparable list, and
in describing it, concisely articulated
the cost-conscious basis for the linedrawing: ‘‘[the PSD] procedure * * *
must include an effective review-and34 Beginning in 1974, EPA implemented a
program that required sources of certain NAAQS
pollutants seeking to construct in attainment or
unclassifiable areas to implement emission controls
for the purpose of preventing deterioration in the
ambient air quality in those areas. This program
was the precursor to the PSD program Congress
enacted in 1977.
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permit process. Such a process is
reasonable and necessary for very large
sources, such as new electrical
generating plants or new steel mills. But
the procedure would prove costly and
potentially unreasonable if imposed on
construction of storage facilities for a
small gasoline jobber or on the
construction of a new heating plant at
a junior college, each of which may
have the potential to emit 100 tons of
pollution annually.’’ S. Rpt. 95–127 at
96–97.
The enacted legislation differs from
the Senate bill by replacing the
authorization to EPA to include by
regulation source categories in addition
to the listed 28 source categories with
an inclusion of all other sources if they
exceed 250 tpy, and with an
authorization for the states to exempt
hospitals and educational institutions.
But Congress’s overall intention remains
clear, as the DC Circuit described in
Alabama Power: ‘‘Congress’s intention
was to identify facilities which, due to
their size, are financially able to bear the
substantial regulatory costs imposed by
the PSD provisions and which, as a
group, are primarily responsible for
emissions of the deleterious pollutants
that befoul our nation’s air * * *. [With
respect to] the heating plant operating in
a large high school or in a small
community college * * * [w]e have no
reason to believe that Congress intended
to define such obviously minor sources
as ‘major’ for the purposes of the PSD
provision.’’ 35 636 F.2d at 353–54.
A particularly important indication of
congressional intent to limit the PSD
program it was designing to larger
sources comes in considering the
emissions profile of the small-sized
boilers. Congress focused closely on
identifying which sources with
emissions in excess of 100 tpy should
not be subject to PSD even though they
are subject to CAA requirements
generally. But Congress viewed a large
set of sources as emitting below 100 tpy
and therefore not included in the PSD
program. Chief among these sources, in
terms of absolute numbers of sources,
were small boilers. The SteigerwaldStrelow memorandum identified two
categories of these boilers, differentiated
by size. The first ranges in size from 10
to 250 x 10 6 Btu per hour (Btu/hr), and
has a ‘‘typical plant’’ size of 10 7 Btu/hr,
with ‘‘BACT emissions from typical
plant’’ of 53 tpy, and a total of 1,446
35 Note that although Congress specifically
authorized the states to exempt ‘‘nonprofit health or
education institutions’’ from the definition of ‘‘major
emitting facility,’’ this statement by the DC Circuit
should be taken as the Court’s view that Congress
did not design PSD to cover sources of the small
size described.
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sources in the category. The second
category ranges in size from 0.3 to 10 x
10 6 Btu/hr, and has a ‘‘typical plant’’
size of 1.3 x 10 6 Btu/hr, with ‘‘BACT
emissions from typical plant’’ of 2 tpy,
and a total of 11,215 sources in the
category. The memorandum discusses
these two categories in the context of
explaining which source categories
exceed a size of 100 tpy—and therefore
would be subject to PSD if a 100 tpy
threshold were set—by stating,
‘‘Fortunately, most truly small boilers
and typical space heating operations
would not be covered.’’ 122 Cong. Rec.
24549 (July 29, 1976).
The legislative history also provides a
window into the scope of the program
that Congress anticipated and related
administrability concerns. According to
the Steigerwald-Strelow memorandum,
the number of new sources each year
whose ‘‘BACT emissions from typical
plant’’ exceed 100 for the 28 listed
source categories and 250 for all other
source categories is less than 100 per
year. Although the Steigerwald-Strelow
memorandum does not attempt to
estimate the number of modifications, it
appears that based on this information,
Congress had reason to expect the total
size of the PSD program to be measured
in the hundreds or perhaps thousands of
permits each year. A program of this
size would be manageable by EPA and
the permitting authorities.
(3) PSD Regulatory History: Regulations
Concerning the Definition of ‘‘Major
Stationary Source’’
For present purposes, the regulatory
history of the PSD program is most
noteworthy because it shows that since
the inception of the program following
the 1977 CAA Amendments, EPA has
interpreted the statutory PSD
applicability provisions to apply more
narrowly—to any air pollutant subject to
regulation—than their literal meaning
(‘‘any air pollutant’’). EPA’s initial
rulemaking implementing the PSD
program, which was proposed and
finalized in 1977–1978, made explicit
that the entire PSD program applied to
only pollutants regulated under the Act.
43 FR 26380, 26403, 26406 (June 19,
1978) (promulgating 40 CFR
51.21(b)(1)(i)). In 1979–1980, EPA
revised the PSD program to conform to
Alabama Power v. Costle, 636 F.2d 323
(DC Cir. 1980). 44 FR 51924 (September
5, 1979) (proposed rule); 45 FR 52676
(August 7, 1980) (final rule). In this
rulemaking, EPA did not disturb the
pre-existing provisions that limited the
applicability of the PSD program to
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regulated air pollutants.36 In 1996 EPA
proposed, and in 2002 finalized, a set of
amendments to the PSD provisions that
included revisions to conform with the
1990 CAA Amendments, which, in
relevant part, exempted hazardous air
pollutants (HAPs) from PSD, under CAA
section 112(b)(6). See 61 FR 38250 (July
23, 1996), 67 FR 80186 (December 31,
2002). In the preamble to the final rule,
EPA noted that based on a request from
a commenter, EPA was amending the
regulations to ‘‘clarify which pollutants
are covered under the PSD program.’’
EPA accomplished this by promulgating
a definition for ‘‘regulated NSR
pollutant,’’ which listed categories of
pollutants regulated under the Act, and
by substituting that defined term for the
phrase ‘‘pollutants regulated under the
Act’’ that was previously used in various
parts of the PSD regulations. 67 FR
80240. The definition of ‘‘regulated NSR
pollutant’’ includes several categories of
pollutants (including, in general,
NAAQS pollutants and precursors,
pollutants regulated under CAA section
111 NSPS, Class I or II substances
regulated under CAA title VI) and a
catch-all category, ‘‘[a]ny pollutant that
otherwise is subject to regulation under
the Act.’’ E.g., 40 CFR 52.21(b)(50). As
in the previous rulemakings, EPA did
not address the difference between the
definition of ‘‘major emitting facility’’
and its regulatory approach or indicate
that it had received comments on this
issue. While the definition of ‘‘major
modification’’ in the PSD regulations has
changed over time with respect to how
emission increases are calculated, the
regulatory history with respect to
pollutant coverage parallels that of
major emitting facility.
We recount this regulatory history as
background information. We are not
reconsidering or reopening these
regulations to the extent they interpret
the definition of ‘‘major emitting
facility’’ and ‘‘modification’’ narrowly to
be limited to pollutants subject to
regulation under the Act.
36 As noted elsewhere in this notice, in Alabama
Power, the DC Circuit noted that the definition of
‘‘major emitting facility’’ under CAA section 169(1)
could apply to air pollutants not regulated under
other provisions of the Act, and discussed the
contrast of this broad definition to the narrower
application of the BACT provisions. 636 F.2d at
352–53 & n. 60. In its rulemaking notices
responding to Alabama Power, EPA discussed at
length certain issues, such as the applicability of
NSR to pollutants emitted below the ‘‘major’’
thresholds, that are based on the reference in ‘‘major
emitting facility’’ to ‘‘any air pollutant.’’ However,
throughout its discussion, EPA interpreted that
reference as ‘‘any regulated air pollutant,’’ again
without specifically acknowledging the difference
or without acknowledging the above-noted
statements in Alabama Power. See 45 FR 52710–
52711. EPA did not indicate that it had received
comments on this issue.
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b. Title V Program
Having reviewed the key statutory
provisions, their legislative history, and
the relevant administrative
interpretations for the PSD program, we
now do the same for the title V program.
(1) Title V Provisions
The key title V provisions for present
purposes start with the applicability
provisions, which are found in CAA
sections 502(a), 501(2)(B), and 302(j).
These provisions provide that it is
unlawful for any person to operate a
‘‘major source’’ without a title V permit,
section 502(a), and define a ‘‘major
source’’ to include ‘‘any major stationary
facility or source of air pollutants which
directly emits, or has the potential to
emit, one hundred tons per year or more
of any air pollutant.’’ CAA sections
501(2)(B) and 302(j). As noted
elsewhere, these provisions, taken
together and as interpreted by EPA,
provide that stationary sources are
subject to title V if they emit at the 100tpy threshold air pollutants that are
subject to EPA regulation.
In addition, although title V does not
have a set of provisions describing its
purpose, it is clear from its provisions
and its legislative history, discussed
later, that its key goal is to gather into
one permitting mechanism the CAA
requirements applicable to a source and
impose conditions necessary to assure
compliance with such requirements,
and thereby promote the enforceability
of CAA requirements applicable to the
covered sources. Section 503(b)(1)
requires that the source’s permit
application contain a compliance plan
describing how the source will ’’comply
with all applicable requirements’’ of the
CAA, and section 504(a) requires that
‘‘[e]ach permit issued under [title V]
shall include * * * such * * *
conditions as are necessary to assure
compliance with applicable
requirements of [the Act].’’ See H.R. Rep.
No. 101–490, at 351 (1990) (‘‘It should
be emphasized that the operating permit
to be issued under this title is intended
by the Administration to be the single
document or source of all of the
requirements under the Act applicable
to the source.’’).
Importantly, title V is replete with
provisions designed to make the
permitting process as efficient and
smooth-running as possible, including
the expeditious processing of permit
applications and the timely issuance of
permits. Section 503(c) requires that
‘‘the permitting authority shall approve
or disapprove a completed application
* * * and shall issue or deny the
permit, within 18 months after the date
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31551
of receipt thereof * * *.’’ Section
502(b)(6) requires the permitting
authority to develop ‘‘adequate,
streamlined, and reasonable procedures
for expeditiously determining when
applications are complete, for
processing such applications, for public
notice * * * and for expeditious review
of permit actions, including * * *
judicial review in State court of the final
permit action by [specified persons].’’
Section 502(b)(7) includes a ‘‘hammer’’
provision designed to reinforce timely
permit issuance, which is that the
permitting authority’s program must
include:
To ensure against unreasonable delay by
the permitting authority, adequate authority
and procedures to provide that a failure of
such permitting authority to act on a permit
application or permit renewal application (in
accordance with the time periods specified in
[CAA] section 503 * * *) shall be treated as
a final permit action solely for purposes of
obtaining judicial review in State court of an
action brought by any person referred to in
paragraph (6) to require that action be taken
by the permitting authority on such
application without additional delay.
Section 502(b)(8) requires the permit
program to include ‘‘[a]uthority and
reasonable procedures consistent with
the need for expeditious action by the
permitting authority on permit
applications and related matters, to
make available to the public [certain
permit-related documents]’’. Section
502(b)(9) requires a permit revision to
incorporate requirements promulgated
after issuance of the permit, but only if
the permit is for a major source and has
a term of 3 or more years remaining. In
addition, the revision must occur ‘‘as
expeditiously as practicable.’’ Section
502(b)(10) requires the permit program
to include operational flexibility
provisions that ‘‘allow changes within a
permitted facility * * * without
requiring a permit revision, if the
changes are not modifications * * *
and * * * do not exceed the emissions
allowable under the permit * * *.’’
In addition, title V includes a
comprehensive and finely detailed
implementation schedule that mandates
timely issuance of permits while
building in EPA and affected state
review, public participation, and timely
compliance by the source with reporting
requirements. Following the date that
sources become subject to title V, they
have 1 year to submit their permit
applications. CAA section 503(c). As
noted previously, the permitting
authority then has 18 months to issue or
deny the permit. CAA section 503(c).
Permitting authorities must provide an
opportunity for public comment and a
hearing. CAA section 502(b)(6). If the
permitting authority proposes to issue
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the permit, the permitting authority
must submit the permit to EPA, and
notify affected states, for review. CAA
section 505(a)(1). EPA then has 45 days
to review the permit and, if EPA deems
it appropriate, to object to the permit.
CAA section 505(b)(1). If EPA does
object, then the permitting authority
must, within 90 days, revise it to meet
the objections, or else EPA becomes
required to issue or deny the permit.
CAA section 505(c). If EPA does not
object, then, within 60 days of the close
of the 45-day review period, any person
may petition EPA to object, and EPA
must grant or deny the petition within
60 days. CAA section 505(b)(2). If a
permit is issued, it must include a
permit compliance plan, under which
the permittee must ‘‘submit progress
reports to the permitting authority no
less frequently than every 6 months,’’
and must ‘‘periodically (but no less
frequently than annually) certify that
the facility is in compliance with any
applicable requirements of the permit,
and [ ] promptly report any deviations
from permit requirements to the
permitting authority.’’ CAA section
503(b).
(2) Title V Legislative History
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The legislative history of title V,
enacted by Congress in the 1990 CAA
Amendments, indicates the scope of the
program that Congress expected:
Congress expected the program to cover
some tens of thousands of sources,
which would approximate the scope of
the permit program under the Clean
Water Act. The Senate Committee on
Environment and Public Works stated:
EPA estimates that the new permit
requirements will cover about 8,200 major
sources that emit 100 tons per year or more
of criteria pollutants (which are regulated
under SIPs). In addition, many smaller
sources are (or, as EPA promulgates
additional regulations, will be) covered by
new source performance standards under
section 111 of the Act, hazardous air
pollutant standards under section 112 of the
Act, and nonattainment provisions of this
legislation. By comparison, under the Clean
Water Act, some 70,000 sources receive
permits, including more than 16,000 major
sources. Although many air pollution sources
have more emission points than water
pollution sources, the additional workload in
managing the air pollution permit system is
estimated to be roughly comparable to the
burden that States and EPA have successfully
managed under the Clean Water Act.
S. Rep. 101–228, at 353 (1990).37 Sen.
Mitchell, the Senate Majority Leader,
37 The House Committee on Energy and
Commerce acknowledged that it was ‘‘uncertain
about the magnitude of permit applications likely
to be submitted under the bill initially and
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stated that he expected ‘‘over 10,000
permits [to] * * * be issued under this
program.’’ 136 Cong. Rec. S3239–03
(March 27, 1990). Others in Congress
had similar estimates. See, e.g., 136
Cong. Rec. S3166 (‘‘thousands and
thousands of permit applications * * *
will be required to be submitted’’)
(statement of Sen. Nickles).
Furthermore, the legislative history
indicates that Congress did not
contemplate that large numbers of very
small sources would be subject to title
V’s requirements.38 This becomes clear
by reviewing the legislative history of a
companion piece of legislation to the
operating permits provisions that
Congress enacted into CAA section 507,
which is the ‘‘Small business stationary
source technical and environmental
compliance assistance program.’’ CAA
section 507. Under this provision,
sources that, among other things, ‘‘are
not major stationary source[s]’’ and that
emit less than 50 tpy of any regulated
pollutant, as well as less than 75 tpy or
all regulated pollutants, are eligible for
assistance under CAA section 507. CAA
section 507(c)(1). The House Committee
Report described this provision—
including what types of sources it
expected this provision to benefit—as
follows:
New section [507] is a small source/small
business provision added by the Committee.
It seeks to help small businesses to comply
with the problems that are likely to occur
under the Act as amended by this bill. For
purposes of this section, small businesses or
small emitters are defined as sources that are
emitting 100 tons or less per year and that
have a number of employees that would
qualify them for assistance from the Small
Business Administration (SBA). As we look
to the future of environmental protection
under the Act, we take special steps here to
ensure that it is possible for these small
businesses to comply with minimum hassle
and in recognition of the problems that are
unique to them. Such small businesses
include printers, furniture makers, dry
cleaners, and millions of other small
businesses in this country.
House Committee Report, H.R. 101–590,
at 354. In this manner, the House
Committee Report made clear that it
thereafter in each State or to EPA,’’ H. Rep. 101–
490 p. 346.
38 Title V can apply to certain small businesses
in some circumstances. Under CAA sections 502(a)
and 501(2)(A), title V applies to major sources of
HAPs, which includes sources that may emit as
little as 10 tpy of a single HAP, and which may
include some dry cleaners and other small
businesses. In addition, under CAA section 502(a),
title V applies to area sources subject to standards
under CAA sections 111 or 112 (or required to have
a PSD or nonattainment NSR permit), unless the
Administrator exempts those sources from title V
because compliance would be impracticable,
infeasible, or unnecessarily burdensome.
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expected ‘‘millions of * * * small
businesses’’—including ‘‘printers,
furniture makers, dry cleaners’’ and
many others—to benefit from the CAA
section 507 small source/small business
program, but Congress did not expect
them to become subject to the operating
permit requirements of title V because
their emissions fell below 100 tpy,
which is, in general, the threshold for
title V applicability as a ‘‘major source.’’
The legislative history of title V
confirms that Congress viewed a
principal purpose of title V as providing
a vehicle to compile the requirements
applicable to the source. As the report
of the House Committee on Energy and
Commerce (‘‘House Committee Report’’)
stated, ‘‘It should be emphasized that the
operating permit to be issued under this
title is intended by the Administration
to be the single document or source of
all of the requirements under the Act
applicable to the source.’’ H.R. Rep. No.
101–490, at 351 (1990). Combined with
the source’s reporting requirements, this
compilation of applicable requirements
would facilitate public awareness of a
source’s obligations and compliance and
would facilitate compliance and
enforcement.
On the Senate side, Sen. Chafee, one
of the floor managers of the bill, made
a similar point:
The permits will serve the very useful
function of gathering and reciting in one
place—the permit document itself—all of the
duties imposed by the Clean Air Act upon
the source that holds the permit. This would
clearly be an improvement over the present
system, where both the source and EPA must
search through numerous provisions of state
implementation plans and regulations to
assemble a complete list of requirements that
apply to any particular plant * * *.
Once these permits are in place, plant
managers will be better able to understand
and to follow the requirements of the Clean
Air Act. At the same time, EPA will be better
able to monitor how well each plant is
complying with those requirements. This is
a highly sensible approach for all concerned.
136 Cong. Rec. S213 (January 24,
1990) (statement of Sen. Chafee). Sen.
Lieberman made a similar statement.
136 Cong. Rec. 3172–73 (March 26,
1990) (statement of Sen. Lieberman).
Thus, a central purpose of the title V
permit program is to compile all the
requirements applicable to the source
into a single place, the permit. Implicit
in this purpose is that the sources
subject to title V will have applicable
requirements to be compiled. As Sen.
Chafee directly stated, ‘‘[T]he vast
majority of these permit applications
will * * *, in all likelihood, only codify
the existing requirements of the
applicable State implementation plan.’’
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136 Cong. Rec. S2720 (March 20, 1990)
(statement of Sen. Chafee).
More broadly, the legislative history
also indicates congressional concern
about the costs of permitting for small
businesses, and a determination to
minimize those costs to the extent
possible. This concern is reflected in
several provisions of title V. For
example, section 502(a) authorizes EPA
to exempt all or part of a source
category—except for any major source
from the title V permit program if EPA
‘‘finds that compliance with [title V]
requirements is impracticable,
infeasible, or unnecessarily burdensome
on such categories.’’ Similarly, the
permit fee provisions include a
presumptive minimum fee amount, but
authorize an exemption from that
presumptive amount upon a showing
that a lesser amount will meet overall
fee requirements, CAA section
502(b)(3)(B)(iv). One of the drafters of
this provision, Rep. Wyden, explained
that its purpose was to preserve the
flexibility of states to impose lower fees
of small businesses:
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I note that the provision on fees allows
reductions for small sources where
appropriate. The state has some flexibility,
under the general permit fee provisions, to
adjust fee levels for any source so long as the
average fee charged meets the statutory
minimum.
136 Cong. Rec. H12884 (Oct. 26, 1990)
(statement of Rep. Wyden). See, e.g., 136
Cong. Rec. H2559 (May 21, 1990)
(statement of Rep. Wyden) (discussing
need to ‘‘help small businesses through
the air permit labyrinth’’).
The legislative history also indicates
that Congress was deeply concerned
both about the need not to burden
sources generally with undue costs and
to assure the administrability of the title
V program, and as a result, was
determined to make the program as
smooth-running as possible. These goals
are reflected in many of the title V
requirements, as discussed previously.
See, e.g., CAA section 502(b)(6)
(requiring ‘‘adequate, streamlined, and
reasonable procedures for expeditiously
determining when applications are
complete, for processing such
applications, for public notice * * *
and for expeditious review of permit
actions); CAA section 502(b)(7)
(includes a ‘‘hammer’’ provision
designed to reinforce timely permit
issuance); CAA section 502(b)(9)–(10)
(limiting circumstances under which
permit revision is required; requiring
revision to occur ‘‘as expeditiously as
practicable;’’ including operational
flexibility provisions).
The legislative history confirms that
these provisions were designed to
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reduce costs to sources and promote
administrability. The ‘‘Chafee-Baucus
Statement of Senate Managers’’ for the
bill explained the purpose of the CAA
section 502(b)(6) requirement for
‘‘[a]dequate, streamlined, and reasonable
procedures for expeditious[ ]’’ permit
actions as follows:
[M]uch concern has been expressed that
this new permitting process will unduly
delay the proper functioning of many
sources, and we intend to mitigate any delay
by directing that the process be expeditious.
In addition to this general directive for
expeditious processing, we mandate in new
section 503 that permitting authorities
approve or reject permit applications within
certain specified time periods following
filing. In this fashion, we have taken explicit
steps to protect against undue delays.
136 Cong. Rec. S16941 (statement of
Sen. Chafee). The same statement
explained that the permit revision
procedures of CAA section 502(b)(9)
reflect a—
careful effort to ensure that the permit
program works effectively and efficiently.
Succinctly, this provision accommodates two
competing concerns. On the one hand, it is
important to ensure that permit requirements
remain up-to-date as the provisions of the
Clean Air Act are developed and new
requirements are imposed. On the other
hand, it also is important to be sure that we
do not reduce the permit program to a
shambles by requiring sources to engage in a
continuous process of revising their permits
as these new requirements are imposed.
136 Cong. Rec. 16942 (Oct. 27, 1990)
(Chafee-Baucus statement of Senate
Managers) (statement of Sen. Chafee).
In addition, these concerns were at
the bottom of the following statement by
Sen. Chafee, in which he described how
the bill’s drafters had revised it in
response to a concern by industry that
an earlier version of the bill would have
put undue costs on industry:
We have also heard concerns from industry
that S. 1630 would burden sources unduly by
requiring them to submit—along with their
permit applications—plans explaining how
they intend to comply with all requirements
of the Clean Air Act that apply to them.
But, Mr. President, we emphatically do not
intend to burden industry with preparation
and submission of unnecessary compliance
plans. The substitute clarifies that any
compliance plans would address only those
matters by which the sources would comply
with new requirements imposed by this act
as it is finally signed into law. These plans
would not need to address compliance with
any existing Clean Air Act requirements,
unless the source is in violation of those
requirements.
136 Cong. Rec. S2107 (March 5, 1990)
(statement of Sen. Chafee).
As another indication of
congressional concern over
administrability, Congress recognized
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31553
that at the beginning of the program,
large numbers of permit applications
might overwhelm the permitting
authorities. To protect against this,
Congress included in CAA section
503(c) a phase-in schedule for
permitting authorities to act on the
initial set of permit applications. Under
503(c), permitting authorities were not
required to act on the initial set of
permit applications within 18 months
after it received the application, but
rather could act on one-third of them on
an annual basis over a 3-year period.
Sen. Chafee, in describing an early
version of this provision—which would
have allowed permitting authorities to
phase in the submission of permit
applications—explained that its purpose
was ‘‘to avoid a logjam of permit
applications[,] * * * ensure that
[regulatory] gridlock can be avoided,
and [ensure] that the permitting process
will work with a minimum of
disruption and delay.’’ 136 Cong. Rec.,
S2106 (March 5, 1990) (statement of
Sen. Chafee).
(3) Title V Regulatory History
As with PSD, for present purposes,
the regulatory history of the title V
program is most noteworthy because it
shows that beginning shortly after the
inception of the program following the
1990 CAA Amendments, EPA has
interpreted the statutory title V
applicability provisions to apply more
narrowly—to any air pollutant subject to
regulation—than their literal meaning
(‘‘any air pollutant’’). As discussed
previously, title V applies to any ‘‘major
source,’’ defined, as relevant here, under
CAA sections 501(2)(B) and 302(j), as
‘‘any stationary facility or source of air
pollutants which directly emits, or has
the potential to emit, one hundred tons
per year or more of any air pollutant
* * *.’’ EPA’s regulations mirror the
CAA definitional provisions. 40 CFR
70.2.
However, since 1993, EPA has
interpreted the applicability provisions
more narrowly. At that time, which was
shortly after title V was enacted, EPA
issued a guidance document making
clear that it interprets this requirement
to apply to sources of pollutants ‘‘subject
to regulation’’ under the Act.
Memorandum from Lydia N. Wegman,
Deputy Director, Office of Air Quality
Planning and Standards, U.S. EPA,
‘‘Definition of Regulated Air Pollutant
for Purposes of Title V’’ (Apr. 26, 1993)
(Wegman Memorandum). The
interpretation in this memorandum was
based on: (1) EPA’s reading of the
definitional chain for ‘‘major source’’
under title V, including the definition of
‘‘air pollutant’’ under section 302(g) and
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the definition of ‘‘major source’’ under
302(j); (2) the view that Congress did not
intend to require a variety of sources to
obtain title V permits if they are not
otherwise regulated under the Act (see
also CAA section 504(a), providing that
title V permits are to include and assure
compliance with applicable
requirements under the Act); and (3)
consistency with the approach under
the PSD program.
While the specific narrow
interpretation in the Wegman
Memorandum of the definition of ‘‘air
pollutant’’ in CAA section 302(g) is in
question in light of the holding in
Massachusetts v. EPA, 549 U.S. 497, 533
(2007) (finding this definition to be
‘‘capacious’’), we believe that the overall
rationale for our interpretation of the
applicability of title V remains sound.
EPA continues to maintain its
interpretation, consistent with CAA
sections 302(j), 501, 502 and 504(a), that
the provisions governing title V
applicability for ‘‘a major stationary
source’’ can only be triggered by
emissions of pollutants subject to
regulation. This interpretation is based
primarily on the purpose of title V to
collect all regulatory requirements
applicable to a source and to assure
compliance with such requirements,
see, e.g., CAA section 504(a), and on the
desire to promote consistency with the
approach under the PSD program.
In the Tailoring Rule notice of
proposed rulemaking, EPA
acknowledged the Wegman
Memorandum and affirmed the
memorandum’s continued viability,
stating that ‘‘EPA continues to maintain
this interpretation.’’ 74 FR 55300, col. 3,
fn. 8; see also 75 FR 17022–23
(Interpretive Memo reconsideration).
As with PSD, we recount this
regulatory history as background
information, and we are not
reconsidering or re-opening this
interpretation of the definition of ‘‘major
source’’ narrowly to be limited to
pollutants subject to regulation under
the Act.
5. Application of the ‘‘Absurd Results’’
Doctrine for the PSD Program
Having reviewed the factual
background, legal doctrines, and the key
components of the PSD and title V
programs, we now turn towards
interpreting the PSD and title V
requirements in accordance with the
Chevron framework, accounting for the
applicable legal doctrines. We begin
with the ‘‘absurd results’’ doctrine, and
apply it first to the PSD requirements.
In this action, we finalize, with some
refinements, the ‘‘absurd results’’ basis
we proposed. Specifically, we are
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revising our regulations to limit PSD
applicability to GHG emitting sources
by revising the regulatory term,
‘‘regulated NSR pollutant,’’ and although
our revised regulations do not accord
with a literal reading of the statutory
provisions for PSD applicability, which
are incorporated into the definition of
‘‘major emitting facility’’ and ‘‘major
modification,’’ we have concluded that
based on the ‘‘absurd results’’ doctrine,
a literal adherence to the terms of these
definitions is not required. Even so, we
believe Congress did intend that PSD
apply to GHG sources as a general
matter. Further, we may apply PSD to
GHG sources in a phased-in manner, as
we do through the tailoring approach,
because either congressional intent is
clear on that issue and the tailoring
approach best reflects it, or
congressional intent is unclear and the
tailoring approach is a reasonable
interpretation of the statute.
a. Congressional Purpose for the PSD
Program
To reiterate, for convenience, CAA
section 169(1) defines a ‘‘major emitting
facility’’ to include ‘‘any * * * source[]
[that] emit[s], or ha[s] the potential to
emit, [depending on the source
category], one hundred [or two hundred
fifty] tons per year or more or more of
any air pollutant.’’ CAA section 169(1);
and a ‘‘modification’’ as any physical or
operational change in ‘‘a stationary
source which increases the amount of
any air pollutant emitted by such
source,’’ CAA section 169(2)(C),
111(a)(4). We also reiterate that, as
discussed above, beginning with our
initial rulemaking in 1977–1978 to
implement the PSD program, we have
interpreted these definitions more
narrowly by reading into them the
limitation that a source is subject to PSD
only if the air pollutants in question are
‘‘subject to regulation under the Act.’’ 40
CFR 51.166(b)(49)(iv). EPA is not reopening this interpretation in this
regulation in this action.
Under the current interpretation of
the PSD applicability provision, EPA’s
recent promulgation of the LDVR will
trigger the applicability of PSD for GHG
sources at the 100/250 tpy threshold
levels as of January 2, 2011. This is
because PSD applicability hinges on the
definition of ‘‘major emitting facility,’’
which, under EPA’s long-standing
narrowing interpretation, but absent
further tailoring, applies PSD to sources
of any air pollutant subject that is
subject to regulation under another
provision of the CAA. EPA’s
promulgation of the LDVR means that
GHGs will become subject to regulation
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on the date that the rule takes effect,
which will be January 2, 2011.
But absent tailoring, the January 2,
2011 trigger date for GHG PSD
applicability will subject an
extraordinarily large number of sources,
more than 81,000, to PSD each year, an
increase of almost 300-fold. And the
great majority of these new sources will
be small commercial or residential
sources. We believe that for many
reasons, this result is contrary to
congressional intent for the PSD
program, and in fact would severely
undermine what Congress sought to
accomplish with the program. As a
result, under our Chevron analysis,
accounting for the ‘‘absurd results’’
doctrine, the statutory definition for
‘‘major emitting facility’’ (as interpreted
narrowly to include ‘‘subject to
regulation’’) should not be read to apply
to all GHG sources at or above the 100/
250 tpy threshold as of the January 2,
2011 date. Rather, the definitions of
‘‘major emitting facility’’ and
‘‘modification’’ should be tailored so that
they apply to GHG sources on a phasedin basis, with the largest sources first, as
we describe in this rule.
As explained previously, Chevron
Step 1 calls for a determination of
congressional intent, and the courts
consider the best indicator of
congressional intent to be the plain
meaning of the statute. However, the
U.S. Supreme Court has held that the
literal meaning of a statutory provision
is not conclusive ‘‘in the ‘rare cases [in
which] the literal application of a
statute will produce a result
demonstrably at odds with the
intentions of the drafters’ * * * [in
which case] the intention of the drafters,
rather than the strict language, controls.’’
United States v. Ron Pair Enterprises,
489 U.S. 235, 242 (1989). To determine
whether ‘‘the intentions of the * * *
drafters’’ differ from the result produced
from ‘‘literal application’’ of the
statutory provisions in question, the
courts may examine the overall context
of the statutory provisions, including
whether there are related statutory
provisions that either conflict or are
consistent with that interpretation; and
the legislative history to see if it exposes
what the legislature meant by the terms
in question. In addition, the courts may
examine whether a literal application of
the provisions produces a result that the
courts characterize variously as absurd,
futile, strange, or indeterminate, and
therefore so illogical or otherwise
contrary to sensible public policy as to
be beyond anything Congress would
reasonably have intended. In such cases,
the literal language cannot be said to
reflect the intention of the drafters, and
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therefore does not control. See United
States v. Ron Pair Enterprises, 489 U.S.
235, 242–43 (1989); Griffin v. Oceanic
Contractors, Inc., 458 U.S. 564, 571
(1982).
Here, applying the definitions of
‘‘major emitting facility’’ and
‘‘modification’’ literally (as EPA has
interpreted them more narrowly) at the
present time—in the absence of
streamlining measures or additional
permitting authority resources, and
without tailoring—would be contrary to
congressional purpose for the PSD
provisions, as found in the statutory
provisions and legislative history,
especially in light of the impact from
applying those definitions literally.
Congress established the PSD program
in large measure because it was
concerned that around the country,
industrial development, which was
confronting barriers to locating in
nonattainment areas (that is, areas that
do not meet the NAAQS), would
attempt to locate in clean air areas (that
is, attainment areas or unclassifiable
areas), but that as a consequence, the
clean air areas would see their air
quality deteriorate to the point where
they, too, would no longer meet the
NAAQS. The end result would be the
spread of environmental and health
problems to those formerly clean air
areas, as well as more barriers to further
industrial development. With these
concerns in mind, Congress designed
the PSD program to require newly
constructing or modifying sources in
areas with air quality that meets the
NAAQS (or that is unclassifiable) to
analyze their emissions of NAAQS
pollutants and to implement controls as
needed to assure that those emissions
do not significantly deteriorate air
quality. Many of the PSD requirements,
and much of the discussion in the
legislative history, reflect these aspects
of the PSD program. E.g., CAA sections
162, 163, 164, 165(a)(3), 165(d)(2),
165(e), 166; see generally H. Rep. 95–
294, 95th Cong., 1st Sess. (1977) 103–78.
Congress also designed the PSD
program to impose controls on nonNAAQS pollutants, through the
requirement under CAA section
165(a)(4) that the source be ‘‘subject to
the best available control technology for
each pollutant subject to regulation
under this chapter emitted from, or
which results from, such facility.’’ For
example, when Congress enacted the
PSD provisions in 1977, sources
emitting HAPs were required to
implement BACT for those pollutants,
although in the 1990 CAA
Amendments, Congress redesigned CAA
section 112, which includes the
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requirements for HAPs, and excluded
HAPs from PSD. CAA section 112(b)(6).
Congress was keenly aware that the
PSD program needed to serve two
purposes: Protect the environment and
promote economic growth. Congress
explicitly identified these two goals in
the ‘‘purposes’’ section of the PSD
provision, CAA section 160, and various
PSD requirements clearly reflect them.
For example, to protect economic
growth, the PSD program expedites the
permit process to include a 1-year
limitation on the time that the
permitting authority has act on permit
applications. To protect the
environment, in addition to including
many provisions that focus on NAAQS
pollutants, the PSD program requires
that the preconstruction permit impose
emission limits that reflect BACT for
each pollutant subject to regulation
under another CAA provision. CAA
section 165(a)(4). This BACT provision
also makes clear, by its terms, that
although Congress designed the PSD
program largely with NAAQS pollutants
in mind, Congress also intended that
sources subject to PSD control the
emissions of their other pollutants as
well. The DC Circuit has recognized the
twin goals of environmental protection
and economic development that
underlie PSD, and has upheld EPA
interpretations of the PSD program that
reflect a balancing of those goals. See,
e.g., New York v. EPA, 413 F.3d 3, 27
(DC Cir.), rehearing en banc den. 431
F.3d 801 (2005).
Congress was also keenly aware that
the PSD analyses and controls that it
was mandating had to be implemented
on a source-by-source basis, and that
this process would be expensive for
sources. As a result, Congress intended
to limit the PSD program to large
industrial sources because it was those
sources that were the primary cause of
the pollution problems in question and
because those sources would have the
resources to comply with the PSD
requirements. Congress’s mechanism for
limiting PSD was the 100/250 tpy
threshold limitations. Focused as it was
primarily on NAAQS pollutants,
Congress considered sources that emit
NAAQS pollutants in those quantities
generally to be the large industrial
sources to which it intended PSD to be
limited.
That Congress paid careful attention
to the types and sizes of sources that
would be subject to the PSD program
and designed the thresholds deliberately
to limit the program’s scope is evident
from the legislative history. Several
Senate floor statements and the
Committee Report made clear that PSD
should not apply to small sources. As
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31555
discussed later, Congress scrutinized
information that EPA provided as to
types and sizes of sources, found largely
in the Steigerwald-Strelow
memorandum. Sen. Muskie stated that
the Senate bill excluded ‘‘houses,
dairies, farms, highways, hospitals,
schools, grocery stores, and other such
sources.’’ 123 Cong. Rec. 18021 (June 8,
1977) (statement of Sen. Muskie). Sen.
McClure stated that PSD should be
limited to ‘‘industrial plants of
significant impact,’’ and should exclude
’’[a] small gasoline jobber, or a heating
plant at a community college, [which]
could have the potential to emit 100
tons of pollution annually.’’ 122 Cong.
Rec. 24548–49 (July 29, 1976) (statement
of Sen. McClure). The Senate Committee
Report mirrored Sen. McClure’s
statement, and concisely articulated the
cost-related basis for the line-drawing:
‘‘[The PSD] procedure * * * must
include an effective review-and-permit
process. Such a process is reasonable
and necessary for very large sources,
such as new electrical generating plants
or new steel mills. But the procedure
would prove costly and potentially
unreasonable if imposed on
construction of storage facilities for a
small gasoline jobber or on the
construction of a new heating plant at
a junior college, each of which may
have the potential to emit 100 tons of
pollution annually.’’ S. Rpt. 95–127 at
96–97.
The DC Circuit had occasion, in
Alabama Power, to acknowledge this
legislative history. ‘‘Congress’s intention
was to identify facilities which, due to
their size, are financially able to bear the
substantial regulatory costs imposed by
the PSD provisions and which, as a
group, are primarily responsible for
emissions of the deleterious pollutants
that befoul our nation’s air.’’ Alabama
Power, 636 F.2d at 353. The Court
added, ‘‘Though the costs of compliance
with [the PSD] requirements are
substantial, they can reasonably be
borne by facilities that actually emit, or
would actually emit when operating at
full capacity, the large tonnage
thresholds specified in section 169(1).’’.
Id. at 354.
It is not too much to say that applying
PSD requirements literally to GHG
sources at the present time—in the
absence of streamlining or increasing
permitting authority resources and
without tailoring the definition of
‘‘major emitting facility’’ or
‘‘modification’’—would result in a
program that would have been
unrecognizable to the Congress that
designed PSD. Congress intended that
PSD be limited to a relatively small
number of large industrial sources.
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Without phasing in PSD and title V
applicability to GHG sources so as to
allow the development of streamlining
methods and increases in permitting
authority resources, the PSD program
would expand by January 2, 2011, from
the current 280 sources per year to
almost 82,000 sources, virtually all of
which would be smaller than the
sources currently in the PSD program
and most of which would be small
commercial and residential sources.
Until EPA could develop streamlining
methods, all of the sources that would
become newly subject to PSD—whether
they be larger or smaller sources,
whether industrial or commercial/
residential sources—would have to
undergo source-specific BACT
determinations for their GHG emissions,
as well as their emissions of
conventional pollutants in amounts in
excess of the significance levels. We
estimate that the commercial and
residential sources—the great majority
of which are small business—would
each incur, on average, almost $60,000
in PSD permitting expenses. This result
would be contrary to Congress’s careful
efforts to confine PSD to large industrial
sources that could afford these costs.
A closer look at the legislative history
confirms the view that Congress did not
expect PSD to apply to large numbers of
small sources, including commercial
and residential sources, and instead
expected the 100/250 tpy thresholds to
limit PSD’s applicability to larger
sources. As noted previously, Congress
relied on an EPA memorandum—the
Steigerwald-Strelow memorandum—
that identified the range of industrial
categories that EPA regulated under its
program that constituted the precursor
to the statutory PSD program, and listed
both the estimated number of new
sources constructing each year and the
amount of pollution emitted by the
‘‘typical plant’’ in the category. The
Steigerwald-Strelow memorandum
makes clear that the 100 tpy cut-off for
the 28 listed sources categories, and the
250 tpy cut-off for all other sources,
would exclude from PSD a large number
of sources. 122 Cong. Rec. 24548–50
(July 29, 1976). However, virtually all, if
not all, of the sources in half the 28
source categories emit CO2 in quantities
that equal or exceed the 100 tpy
threshold, and almost all of the sources
in the remaining categories emit CO2 in
quantities that equal or exceed the 100
tpy threshold. Therefore, applying the
‘‘major emitting facility’’ definition to
GHG sources, in the absence of
streamlining methods and without
tailoring, would, as a practical matter,
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vitiate much of the purpose of the 100
tpy cut-off for industrial sources.39
Most telling, in this regard, is the
small-sized boilers, which the
Steigerwald-Strelow memorandum
describes, in terms of size, pollutants
emitted, and numbers of sources, as
follows: The memorandum identified
two categories of these boilers,
differentiated by size. The first ranges in
size from 10 to 250 x 106 Btu/hr, and
has a ‘‘typical plant’’ size of 107 Btu/hr,
with ‘‘BACT emissions from typical
plant’’ of 53 tpy, and a total of 1,446
sources in that category. The second
category ranges in size from 0.3 to 10 x
106 Btu/hr, and has a ‘‘typical plant’’ size
of 1.3 x 106 Btu/hr, with ‘‘BACT
emissions from typical plant’’ of 2 tpy,
and a total of 11,215 sources in the
category. That memorandum makes
clear that EPA did not believe that
sources in these two categories—and
especially the smallest one—would be
subject to PSD under a 100 tpy
threshold, by stating, ‘‘Fortunately, most
truly small boilers and typical space
heating operations would not be
covered.’’ 122 Cong. Rec. 24549 (July 29,
1976). However, these data and
conclusions were all based on emissions
of NAAQS pollutants, the amounts of
which placed these boilers well below
the PSD threshold limitations. In
general, most boilers of these small sizes
are fired with natural gas, and a natural
gas boiler greater than 0.5 x 106 Btu/hr
emits at least 250 tpy CO2. Therefore, if
the CO2 emissions of these small boilers
are considered—as would occur by
applying the definition of ‘‘major
emitting facility’’ to GHG sources
without tailoring—then most of them
would in fact be subject to PSD. Again,
this result would directly contravene
Congress’s intention to limit PSD to
‘‘industrial plants of significant impact.’’
39 Specifically, of the 28 source categories under
CAA section 169(1), information available to EPA
indicates that all of the sources in the following
categories emit at least 100 tpy of CO2 annually:
fossil-fuel fired steam electric plants of more than
250 million Btu per hour heat input, Portland
Cement plants, primary zinc smelters, iron and steel
mill plants, primary aluminum ore reduction
plants, municipal incinerators capable of charging
more than 50 tons of refuse per day, nitric acid
plants, petroleum refineries, lime plants, primary
lead smelters, fossil-fuel boilers of more than 250
Btus per hour heat input. In addition, all but a few
kraft pulp mills and glass fiber processing plants
emit at least 100 tpy CO2 annually. Our information
is incomplete with respect to the remaining source
categories, but with the possible exception of
petroleum storage and transfer facilities with a
capacity exceeding three hundred thousand barrels,
we suspect that virtually all sources emit at least
100 tpy CO2 annually. See ‘‘Technical Support
Document for Greenhouse Gas Emissions
Thresholds Evaluation’’; Office of Air Quality
Planning and Standards; March 29, 2010.
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122 Cong. Rec. 24548–49 (statement of
Sen. McClure).
Perhaps the most compelling reason
why applying the PSD program to GHG
sources without tailoring, and before the
development of streamlining methods,
would be inconsistent with
congressional intent, is that the
resulting program would prove
unadministrable. Although the
legislative history of the PSD program
does not reveal much explicit
congressional focus on administrability
issues, the Steigerwald-Strelow
Memorandum, which identifies the
source categories and numbers of
sources that were before Congress as it
considered PSD, suggests that the
program that Congress fashioned could
be expected to cover at most a few
thousand sources each year. This
appears to be approximately the size of
the program that EPA administered
before the 1977 CAA Amendments, so
that it seems reasonable to assume that
Congress expected the PSD program it
enacted to be within EPA’s and the
states’ administrative capacities.
Moreover, the Alabama Power court
stressed the importance of
administrability concerns: Most
importantly, the Court held that EPA, in
interpreting the ‘‘modification’’
provisions that apply PSD to physical or
operational changes by major emitting
facilities that ‘‘increase the amount of
any air pollutant emitted,’’ CAA section
111(a)(4), may ‘‘exempt from PSD review
some emission increases on grounds of
de minimis or administrative necessity,’’
and went on to state that in establishing
the exemption thresholds, ‘‘[t]he Agency
should look at the degree of
administrative burden posed by
enforcement at various de minimis
threshold levels.’’ 636 F.2d at 400,405.
In addition, the Court based its holding
that potential-to-emit for purposes of the
applicability thresholds should be
defined as emissions at full capacity
with implementation of control
equipment, in part on its view that with
this definition, the number of sources
subject to PSD would be manageable:
Though the costs of compliance with
section 165 requirements are substantial,
they can reasonably be borne by facilities that
actually emit, or would actually emit when
operating at full capacity, the large tonnage
thresholds specified in section 169(1). The
numbers of sources that meet these criteria,
as we delineate them, are reasonably in line
with EPA’s administrative capability.
Alabama Power, 636 F.2d at 354.
However, applying PSD to GHG sources
before streamlining and without
tailoring would increase the size of the
PSD program at least an order of
magnitude beyond what Congress seems
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to have expected, which would have
been far beyond the ‘‘administrative
capability’’ that Alabama Power
described EPA as having.
Beyond this disconnect with
congressional expectations, what is
most important is that the
extraordinarily large number of permit
applications would overwhelm
permitting authorities and slow their
ability to process permit applications to
a crawl. Our best estimate at present is
that permitting authorities would need
to process almost 82,000 permit
applications per year, compared to, at
most, 800 in the current PSD program.
The total additional workload, in work
hours, for PSD permits would be more
than 19.5 million more work hours,
compared to 150,795 work hours for the
current PSD program, and the total
additional costs would be over $1.5
billion, compared with $12 million for
the current PSD program.
At proposal, we noted that the states
had estimated that the influx of permit
applications that would result from
applying the 250 tpy threshold at actual
emissions would, without additional
resources, result in permitting delays of
3 years. In fact, as we noted at proposal,
a literal reading of the PSD requirements
would require their application at the
250 tpy PTE level, which would result
in ten times more permit applications
than were assumed when the states
made the 3-year estimate. Further, our
current estimates of the numbers of
sources that would be subject to PSD
requirements are about twice what we
estimated at proposal, as described
elsewhere. Moreover, our estimate of the
number of hours that permitting
authorities would need to process a
permit application from a source in the
commercial or residential sector—which
is, by far, the largest single sector—is
three and one-half times as long as we
estimated at proposal. And under a
literal reading of the PSD applicability
provisions as applied to GHG sources,
the permitting authorities would be
required to implement a program of this
size beginning on January 2, 2011, less
than 9 months from now. We received
many comments from states and
industry raising concerns about the cost
to sources and administrative burdens
of PSD permitting if the statutory
threshold were to apply for GHG
emissions. One commenter estimated a
cost of over $5 billion and the
dedication of over 17,000 FTEs to this
effort.
We consider it difficult to overstate
the impact that applying PSD
requirements literally to GHG sources as
of January 2, 2011—before streamlining
or increasing permitting resources and
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without tailoring—would have on
permitting authorities and on the PSD
program, and we are concerned that this
impact could adversely affect national
economic development. The number of
PSD permits that would be required
from such an approach is far beyond
what the PSD program has seen to date.
It is clear throughout the country, PSD
permit issuance would be unable to
keep up with the flood of incoming
applications, resulting in delays, at the
outset, that would be at least a decade
or longer, and that would only grow
worse over time as each year, the
number of new permit applications
would exceed permitting authority
resources for that year. Because PSD is
a preconstruction program, during this
time, tens of thousands of sources each
year would be prevented from
constructing or modifying. In fact, it is
reasonable to assume that many of those
sources will be forced to abandon
altogether plans to construct or modify.
As a result, a literal application of the
PSD applicability provisions to GHG
sources would slow construction
nationwide for years, with all of the
adverse effects that this would have on
economic development.
The remedies for this scenario would
be for permitting authorities to increase
their PSD funding by over 100-fold,
from $12 million to over $1.5 billion, or
the development by EPA and the
permitting authorities of streamlining
techniques. But it is not possible for
permitting authorities to increase their
funding to those levels in the
foreseeable future, partly because of the
sheer magnitude of those levels and
partly because of the financial
challenges that states currently face.
And, for the reasons discussed later,
although streamlining offers genuine
promise to improve the manageability of
the PSD workload, streamlining cannot
do so in the very near term and, in any
event, the extent to which it can do so
has not yet come into focus.
So clear are at least the broad outlines
of this picture that EPA did not receive
any substantive comments arguing that
permitting authorities could in fact
administer the PSD program with the
applicability requirements applied
literally to GHG sources beginning in
the very near future.40 Every permitting
authority that addressed this issue in
their comments on the proposed
Tailoring Rule stated unequivocally that
it could not administer the PSD program
at the statutory levels. To cite a few
examples (each of which considered
40 EPA did receive a smaller number of comments
that asserted in conclusory fashion that permitting
authorities could administer the 100/250 tpy levels.
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both the PSD and title V programs
together): NACAA, which represents air
pollution control agencies in 53 states
and territories, stated it ‘‘* * * agrees
with the EPA that immediately
attempting to implement the PSD and
title V programs using the statutory
thresholds meets the test for invoking
the administrative necessity and absurd
results doctrines.’’ Similarly, the
California Air Resources Board stated
that it ‘‘* * * concurs with the United
States, EPA that if more appropriate
applicability thresholds [as opposed to
the statutory thresholds] are not set for
GHG it will not be administratively
possible to implement these [the PSD
and tile V] permitting programs.’’ All
other state and local permitting agencies
that commented on the proposed
tailoring provided similar comments
that they would not have the adequate
staff capacity or resources to be able to
successfully administer their permitting
programs with the addition of GHG
emission sources at the statutory
thresholds for PSD and title V.
It is the many-year delays in permit
issuance and the consequent chilling of
economic development that provide
perhaps the clearest indication that
applying the PSD applicability
provisions to GHG sources without
tailoring produces absurd results. These
effects would undermine one of
Congress’s central purposes in
establishing the PSD program, which
was to promote development in clean
air areas by large industrial sources (as
long as they included environmental
safeguards). As discussed previously,
this goal is manifest in the structure of
the PSD provisions, and Congress even
went so far as to make this goal explicit
in the purposes section of the PSD
provisions.
Moreover, at the present time, there is
relatively little environmental benefit in
subjecting large numbers of small GHG
sources to the expensive, source-bysource PSD permitting requirements.
They represent a relatively small share
of the GHG inventory and the control
options available to them, at present, are
limited. As a result, approaches other
than source-by-source permitting
presently offer more promise for
generating emissions reductions in an
efficient manner. These approaches,
which may be developed through both
federal and state efforts, include
requirements, incentives, and
educational outreach to promote
efficiency improvements to boilers and
furnaces and energy efficient operations,
including, for example, weatherization
programs.
For all these reasons, interpreting the
definition of ‘‘major emitting facility’’
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and ‘‘modification’’ literally—that is, as
EPA has interpreted them more
narrowly, but without tailoring and
before the program requirements can be
streamlined or permitting authority
resources can be increased—would
produce results that are not consonant
with, and, in fact, would severely
undermine, Congress’s purpose for the
PSD program. These results may fairly
be characterized as the type of absurd
results that support our view that the
literal terms of the PSD applicability
provisions do not indicate congressional
intent for how those provisions should
applied to GHG sources.
b. Congressional Intent for the
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(1) Congressional Intent for Whether
and How PSD Applies to GHG Sources
Several of the PSD provisions and
statements in the legislative history are
particularly important in determining
whether and how the PSD program
should apply to GHG sources, as
discussed elsewhere:
(1) The applicability provisions,
under CAA section 165(a) and 169(1).
These provisions are written broadly,
and although, as we explain above, they
cannot be read literally to apply to GHG
sources at or above the 100/250 tpy,
they nevertheless can be read to indicate
that directionally, Congress intended
that PSD be applied inclusively.
(2) The various PSD provisions that
identify the pollutants subject to PSD.
Compare, e.g., CAA sections 162, 163,
164, 165(a)(3), 165(d)(2), 165(e), and 166
(NAAQS pollutants) with CAA sections
165(a)(3)(C), 165(a)(4) (other pollutants).
These provisions indicate that a major
purpose of the PSD program is to
control NAAQS pollutants, but that the
program also covers non-NAAQS
pollutants.
(3) The requirement that permitting
authorities act on PSD applications
within 1 year. CAA section 165(c). This
provision indicates that Congress
anticipated the PSD program would be
of a size that would allow permitting
authorities to meet this deadline.
(4) The purpose provision. CAA
section 160. This provision makes clear
that PSD is designed both to protect
public health and welfare and to
promote economic growth.
(5) In addition, we consider important
the legislative history indicating the
Congress intended PSD to apply to large
industrial sources because they were the
primary source of the air pollution
problems and they have the resources to
manage the demands of the PSD
permitting process; and that, by the
same token, Congress expected that
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small sources would not be subject to
PSD. The legislative history does not
specifically mention GHG sources.
Looking at these provisions and the
legislative history together, we think
Congress can be said to have intended
that the PSD program apply to GHG
sources as a general matter. The most
important indication of congressional
intent in this regard is the applicability
provisions, which provide, in part, that
PSD applies to (i) ‘‘any * * * source[
that] emit[s], or ha[s] the potential to
emit [the specified quantity] of any air
pollutant,’’ CAA section 169(1); and (ii)
to any such source that undertakes a
physical or operational change that
‘‘increases the amount of any air
pollutant emitted.’’ CAA section
169(2)(C), 111(a)(4). These terms are
quite broad, and should be read to
include GHG sources and GHGs. See
Massachusetts v. EPA, 549 U.S. 497, 533
(2007) (‘‘Because greenhouse gases fit
well within the Clean Air Act’s
capacious definition of ‘air pollutant,’
we hold that EPA has the statutory
authority to regulate the emission of
such gases from new motor vehicles.’’).
Moreover, including GHG sources—
under certain circumstances—is
consistent with the PSD provisions that
refer to other pollutants, establish the
time-frame for acting on PSD
applications, and establish the overall
purpose of the program. In addition,
including GHG sources—again, under
certain circumstances—is consistent
with the legislative history that PSD be
limited to sources that cause a
meaningful part of the air pollution
problem and have the resources to
manage the PSD requirements. No PSD
provision explicitly imposes any
limitation of PSD to large industrial
sources, and Congress’s reasoning for
focusing on large industrial sources—
which was that these sources are best
suited to handle the resource -intensive
analyses required by the PSD program—
could extend to GHG sources under
certain circumstances (that is, large
sources first, and smaller sources after
streamlining methods are developed).
Similarly, as discussed previously, it is
reasonable to read into Congress’s intent
that the PSD program be limited to a
size that permitting authorities would
be able to administer, but it is consistent
with that reading to recognize that the
permitting authorities could take certain
steps—including adoption of
streamlining measures and ramping up
resources—that would allow them to
handle a higher volume of permitting.
Finally, we find nothing in the PSD
provisions or legislative history that
would indicate congressional intent to
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exclude GHG sources. Accordingly, we
believe that Congress must be said to
have intended an affirmative response
for whether PSD applies to sources of
GHGs as a general matter. Our previous
regulatory action defining the PSD
applicability provisions made this clear,
and we do not reopen this issue in this
rulemaking. Moreover, even if this longestablished regulatory position were not
justifiable based on Chevron Step 1—on
the grounds that in fact, congressional
intent on this point is not clear—then
we believe that this position, that the
statutory provisions to apply PSD to
GHG sources in general, was justified
under Chevron Step 2.
As to how PSD applies to GHG
sources, although, for reasons discussed
previously, the 100/250 tpy threshold
provision, which establishes the scope
of PSD applicability, should not be read
as applying literally to GHG sources—
and as a result, the applicability
provision as a whole cannot be said to
have a plain meaning as to the scope of
coverage of GHG sources—we believe
that the applicability provisions and
legislative history nevertheless indicate
a congressional intent for how PSD
should apply to GHG sources. That is to
apply PSD to as many sources as
possible as quickly as possible, at least
to a certain point. We believe that this
intent can be inferred from the
inclusiveness of the applicability
provision, combined with the legislative
history that focuses on Congress’s desire
to include in the PSD program sources
that have the resources to comply with
the requirements and, as the Court in
Alabama Power recognized, Congress’s
concern about administrability. That is,
at first, PSD may apply to the largest
GHG sources because they may be
expected to have the resources to
comply with PSD’s requirements and
permitting authorities may be expected
to accommodate those sources; and over
time, with streamlining and increases in
permitting authority resources, PSD may
apply to more GHG sources. As
discussed later, the tailoring approach is
consistent with congressional intent in
this regard.
We recognize the tension between the
applicability provisions, which are
inclusive, and the statements in the
legislative history that express
Congress’s expectation that PSD be
limited to large industrial sources. At
least to a point, the applicability
provisions and these statements can be
reconciled by recognizing that the
reason why Congress expected that PSD
would be limited to large industrial
sources was that Congress recognized
that PSD applied on a source-by-source
basis, that this would be costly to
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sources, and that only the large
industrial sources could afford those
costs. Taking certain actions—including
streamlining PSD requirements—can
render PSD more affordable and thereby
allow its application to smaller sources
in a more cost-effective manner. In this
way, PSD’s inclusive applicability
provisions can be reconciled with the
narrower scope Congress expected, and
this is part of the reason why we
characterize congressional intent as
being consistent with phasing in the
applicability of PSD to GHG sources
through the tailoring approach.41
On the other hand, if Congress cannot
be said to have expressed an intent as
to the manner and scope of PSD
applicability to GHG sources, then,
under Chevron Step 2, EPA may apply
a reasonable interpretation of the
applicability provisions to determine
the scope of coverage of GHG sources
that is consistent with the statutory
requirements. The Tailoring Rule is a
reasonable interpretation under Chevron
Step 2. It is consistent with (1) The
applicability provisions, recognizing
that as we have seen, those provisions
cannot be applied literally under these
circumstances,42 (2) the provisions
described above concerning which
pollutants the PSD provisions cover and
the timetable for permitting authority
action on PSD applications; (3) the
purpose provisions of PSD, and the
accompanying legislative history,
because it protects public health and
welfare without inhibiting economic
development; and (4) the legislative
history indicating Congress intended
that PSD be limited to sources that
cause a meaningful part of the problem
41 Reconciling the applicability provisions with
the statements in the legislative history in this
manner is also consistent with the U.S. Supreme
Court’s view that the Clean Air Act has inherent
flexibility, as it stated in Massachusetts v. EPA, 549
U.S. 497, 532 (2007):
While the Congresses that drafted § 202(a)(1)
might not have appreciated the possibility that
burning fossil fuels could lead to global warming,
they did understand that without regulatory
flexibility, changing circumstances and scientific
developments would soon render the Clean Air Act
obsolete. The broad language of § 202(a)(1) reflects
an intentional effort to confer the flexibility
necessary to forestall such obsolescence. See
Pennsylvania Dept. of Corrections v. Yeskey, 524 U.
S. 206, 212 (1998) (‘‘[T]he fact that a statute can be
applied in situations not expressly anticipated by
Congress does not demonstrate ambiguity. It
demonstrates breadth’’ (internal quotation marks
omitted)).
42 For the reasons discussed above, we believe
that Step 2 of the Chevron framework, which
authorizes the exercise of agency discretion as long
as the agency remains consistent with a reasonable
construction of the statute, does not require a literal
construction of the statute in a case such as this
one, in which the ‘‘absurd results’’ doctrine applies
so that the statutory requirements cannot be read
literally.
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and can manage its requirements,
because it will expand PSD’s
applicability only after streamlining
methods and greater permitting
authority resources will allow for such
an expansion in an orderly manner.
(2) Criteria for Establishing Phase-in
Schedule
The specific phase-in schedule under
the tailoring approach will depend on
several things. The first is our progress
in developing streamlining methods that
will render the permitting authority
workload more manageable by taking
some sources off the table (through
regulations or guidance interpreting
PTE), and by allowing for more efficient
permit processing (through general
permits and presumptive BACT). At the
same time, streamlining techniques will
lower permitting costs to sources or
even eliminate some sources’
obligations to obtain permits altogether.
The second is the time that permitting
authorities need to ramp up their
resources in an orderly and efficient
manner to manage the additional
workload. The third is information we
have as to the sources’ abilities to meet
the requirements of the PSD program
and the permitting authorities’ ability to
process permits in a timely fashion.
That information will be based on the
real-world experience the permitting
authorities will accumulate as they
proceed to process permit application
for the larger GHG sources.
Thus, under our present approach, we
will develop streamlining techniques,
we expect the permitting authorities to
ramp up resources in response to the
additional demands placed upon them
in the first two steps, and we will gather
real-world information about the GHG
permitting process; and based on all
that, we will address expanding the PSD
program in a step-by-step fashion to
include more sources over time. We
intend to follow this process to establish
both the PSD applicability thresholds
and, as we describe next, the
significance levels.
(3) Criteria for Establishing Significance
Levels 43
The criteria for establishing the
significance levels are the same as for
establishing the ‘‘major emitting facility’’
thresholds. As noted previously, under
43 It should be noted that strictly speaking, we do
not, in our drafting of the regulatory revisions that
are part of this rulemaking, establish a significance
level for GHG emissions based on CO2e. Rather, we
establish an applicability criteria for determining
whether GHGs are subject to regulation with respect
to the particular source. We explain our approach
in more detail in the Response to Comments
document. Throughout this preamble, we refer to
this action, for convenience, as a significance level.
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the applicable CAA sections, any
physical or operational change at a
stationary source that ‘‘increases the
amount of any air pollutant emitted by
such source’’ or that results in the
emission of a new pollutant is treated as
a ‘‘modification’’ that is subject to PSD
requirements. Although the CAA, by its
terms, treats as an ‘‘increase’’ any
amount of emissions that is greater than
zero, the DC Circuit held in Alabama
Power v. Costle that EPA may establish
a threshold—called the significance
level—on de minimis grounds for the
amount of any particular pollutant that
may be increased. 636 F.2d at 400.
Of particular importance, the Court in
Alabama Power indicated that EPA may
rely on administrative considerations to
establish significance levels. Id. To
reiterate, the Court held that ‘‘EPA does
have discretion, in administering the
statute’s ‘modification’ provision, to
exempt from PSD review some emission
increases on grounds of de minimis or
administrative necessity.’’ 636 F.2d at
400. The Court added a more detailed
exposition of its views in a subsequent
part of its opinion, where it discussed
the BACT provision, under CAA section
165(a)(4), and the Court made clear that
those views applied as well to the
‘‘modification’’ provision. There, the
Court invalidated an EPA regulation
that established a 100- and 250-tpy
exemption from the BACT requirement.
Both the BACT provision and the
modification provision apply by their
terms to all emissions from a source, but
the Court stated that each provision
must be read to incorporate an
exemption based on de minimis or
administrative considerations, and
explained:
We understand that the application of
BACT requirements to the emission of all
pollutants from a new facility, no matter how
miniscule some may be, could impose severe
administrative burdens on EPA, as well as
severe economic burdens on the construction
of new facilities. But the proper way to
resolve this difficulty is to define a de
minimis standard rationally designed to
alleviate severe administrative burdens, not
to extend the statutory 100 or 250-ton
threshold to a context where Congress clearly
did not apply it. Just as for the applicability
of PSD to modifications, the de minimis
exemption must be designed with the
specific administrative burdens and specific
regulatory context in mind. This the Agency
has failed to do. We do not hold that 100 tons
per year necessarily exceeds a permissible de
minimis level; only that the Agency must
follow a rational approach to determine what
level of emission is a de minimis amount.
A rational approach would consider the
administrative burden with respect to each
statutory context: what level of emission is
de minimis for modification, what level de
minimis for application of BACT. Concerning
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the application of BACT, a rational approach
would consider whether the de minimis
threshold should vary depending on the
specific pollutant and the danger posed by
increases in its emission. The Agency should
look at the degree of administrative burden
posed by enforcement at various de minimis
threshold levels. It is relevant that our
decision requires the Agency, in its
evaluation of emissions of facilities, to take
into account the facility’s air pollution
controls. It may also be relevant, though it is
certainly not controlling, that Congress made
a judgment in the Act that new facilities
emitting less than 100 or 250 tons per year
are not sizeable enough to warrant PSD
review.
Id. at 405. As just quoted, the Court
acknowledged the 100 and 250 tpy
thresholds for a major emitting facility,
and did not indicate whether the
modification exemption level could
exceed those statutory levels, but
nevertheless, the Court made clear that
EPA may ‘‘consider the administrative
burden’’ associated with modifications
to establish an exemption level for
modifications.
EPA has established significance
levels for various pollutants, generally
relying on a de minimis basis. See, e.g.,
45 FR 52676, 52705–52710 (August 7,
1980). In these actions, EPA generally
established the level based on the
triviality of the amount of emissions
excluded. To this point, we have not
attempted to determine de minimis—
that is, trivial—levels for GHGs. Instead,
in this rulemaking, EPA is establishing
a phase-in schedule for significance
levels based on the Chevron framework,
accounting for the ‘‘absurd results,’’
‘‘administrative necessity,’’ and ‘‘onestep-at-a-time’’ doctrines. It is not
necessary to establish a permanent de
minimis level in this rulemaking. For
one thing, the Court in Alabama Power
explicitly authorized an administrative
basis for significance levels. Moreover,
were EPA to establish a de minimis
level, that amount could be below—
perhaps even well below—the ‘‘major
emitting facility’’ thresholds established
in this rulemaking on grounds of
‘‘administrative necessity’’ and the other
doctrines. Accordingly, at present, if we
were to establish a permanent
significance level on a de minimis basis,
that level could result in too many small
sources being required to submit permit
applications while the phase-in is
occurring. This would give rise to the
same problems concerning undue costs
to the sources and administrative
burdens for the permitting authorities
for which we are fashioning a remedy.
Accordingly, the significance levels we
establish with this action are the lowest
levels that sources and permitting
authorities can reasonably be expected
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to implement at the present time in light
of the costs to the sources and the
administrative burdens to the permitting
authorities.
c. Other Possible Approaches to
Reconciling a Literal Reading of PSD
Applicability Provisions and
Congressional Intent
Commenters have suggested another
approach to reconciling the
inconsistency between the definition of
‘‘major emitting facility’’ and
congressional intent. They urge that the
‘‘major emitting facility’’ definition
should be applied so that only sources
that emit NAAQS pollutants, for which
the area is designated attainment or
unclassifiable, in the requisite quantities
would be subject to PSD, and sources
would not be subject to PSD based
solely on their emissions of nonNAAQS pollutants or a NAAQS
pollutant for which an area has been
designated nonattainment. Some
commenters argue that this approach is
mandated by several of the PSD
provisions, read together or at least that
the relevant statutory provisions are
ambiguous and that this approach is a
reasonable reading of them. Under this
approach, we would not need to phase
in the application of PSD by lowering
the applicability threshold for GHG
emitters.
Specifically, many commenters have
questioned whether EPA has the
authority to regulate GHGs under the
PSD provisions. Although the specific
lines of reasoning vary somewhat from
one commenter to another, in general,
they based their arguments largely on
CAA sections 161 and 165(a). Under
CAA section 161:
In accordance with the policy of section
101(b)(1), each applicable implementation
plan shall contain emission limitations and
such other measures as may be necessary, as
determined under regulations promulgated
under this part, to prevent significant
deterioration of air quality in each region (or
portion thereof) designated pursuant to
section 107 as attainment or unclassifiable.
Commenters point out that section 107
applies only to NAAQS pollutants and
directs that areas be designated as
attainment, nonattainment, or
unclassifiable on a pollutant-bypollutant basis. Under CAA section
165(a), a ‘‘major emitting facility’’ cannot
be constructed ‘‘in any area to which
this part applies’’ unless it meets certain
requirements. According to some
commenters, these provisions, read
together, limit PSD’s applications to
only NAAQS pollutants that are emitted
from sources in areas that are designated
attainment or unclassifiable for those
pollutants. Other comments make a
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similar point, except to state that PSD
applies more broadly to pollutants with
a local, ambient impact.
Some commenters go on to take the
position that NAAQS pollutants for
which the area is designated attainment
or unclassifiable are the only pollutants
that can be regulated under any
provision of the PSD requirements;
while others take the position that once
PSD is triggered for a source on the basis
of its NAAQS pollutants, then other,
non-NAAQS, pollutants may be
regulated under certain PSD provisions,
in particular, the BACT provision under
CAA section 165(a)(4). These
commenters agree, however, that
emissions of GHGs, by themselves,
cannot trigger PSD applicability.
Finally, some commenters state that
even if the PSD provisions cannot be
read by their terms to preclude GHGs
from triggering PSD, then they can be
read to authorize EPA to determine that
GHG emissions do not trigger PSD.
We recognize, as we have said
elsewhere, that a major purpose of the
PSD provisions is to regulate emissions
of NAAQS pollutants in an area that is
designated attainment or unclassifiable
for those pollutants. However, we do
not read CAA sections 161 and the ‘‘in
any area to which this part applies’’
clause in 165(a), in the context of the
PSD applicability provisions, as limiting
PSD applicability to those pollutants.
The key PSD applicability provisions
are found in sections 165(a) and 169(1).
Section 165(a) states, ‘‘No major emitting
facility on which construction is
commenced after August 7, 1977, may
be constructed in any area to which this
part applies unless [certain
requirements are met].’’ A ‘‘major
emitting facility’’ is defined, under CAA
section 169(1), as ‘‘any * * * stationary
source[s] which emit[s], or ha[s] the
potential to emit, one hundred [or,
depending on the source category, two
hundred fifty] tons per year or more of
any air pollutant.’’ As discussed
elsewhere, EPA has long interpreted the
term ‘‘any air pollutant’’ to refer to ‘‘any
air pollutant subject to regulation under
the CAA,’’ and for present purposes, will
continue to read the ‘‘subject to
regulation’’ phrase into that term.
Although section 165(a) makes clear
that the PSD requirements apply only to
sources located in areas designated
attainment or unclassifiable, it does not,
by its terms, state that the PSD
requirements apply only to pollutants
for which the area is designated
attainment or unclassifiable. Rather,
section 165(a) explicitly states that the
PSD requirements apply more broadly
to any pollutant that is subject to
regulation. Moreover, another
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requirement in CAA section 165(a) also
applies to air pollutants broadly. Under
CAA section 165(a)(3), one of the
requirements for securing a
preconstruction permit is to
demonstrate that the source’s emissions
‘‘will not cause, or contribute to, air
pollution in excess of any (A) maximum
allowable increase or maximum
allowable concentration for any
pollutant in any area [to which the PSD
requirements apply], (B) [NAAQS] in
any air quality control region, or (C) any
other applicable emission standard or
standard of performance under this
chapter.’’ As just quoted, subparagraph
(C), by its terms clearly applies to nonNAAQS pollutants. This is because it
refers to (1) ‘‘any other applicable
emission standard,’’ which distinguishes
it from subparagraph (B) and therefore
from NAAQS pollutants; and (2) ‘‘any
* * * standard of performance under
this chapter,’’ which refers to standards
of performance under section 111,
several of which are for non-NAAQS
pollutants. See, e.g., 40 CFR 60.33c(a)
‘‘municipal solid waste landfill
emissions.’’ By the same token, CAA
section 110(j) specifically contemplates
that a source required to hold a permit
under title I of the Act, which includes
a PSD permit, demonstrate that the
source complies with ‘‘standards of
performance,’’ which may include
requirements for pollutants other than
NAAQS.
In addition, CAA section 163(a)(4)
includes as a PSD requirement that ‘‘the
proposed facility is subject to the best
available control technology for each
pollutant subject to regulation under
this chapter emitted from, or which
results from, such facility.’’ Section
163(a)(4)’s broad reference to ‘‘each
pollutant subject to regulation under
this chapter’’ clearly indicates that it
applies to non-NAAQS pollutants, as
long as they are regulated under other
provisions of the Act.44 The DC Circuit,
in Alabama Power v. Costle, 636 F.2d
323, 361 n.90 (DC Cir. 1980) indicated
that, under the law applicable at the
time the Court handed down the
decision in 1980, PSD applies to
HAPs.45
44 We find no support for the proposition raised
by some commenters that this provision is limited
to ‘‘NAAQS’’ pollutants. To the contrary, ‘‘under this
chapter’’ unambiguously signals an intent to cover
any pollutant regulated under the Act. Had
Congress intended a narrower focus, they would
have specified ‘‘any NAAQS pollutant’’ or any
pollutant subject to regulation under this Part
(PSD).
45 In the 1990 CAA Amendments, Congress added
section 112(b)(6), which provides that PSD ‘‘shall
not apply to pollutants listed under this section,’’
that is, HAPs.
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In addition, PSD requirements are
part of SIPs, and although SIPs generally
are limited to provisions that implement
the NAAQS, and therefore generally are
limited to controlling NAAQS
pollutants (or non-NAAQS pollutants
that affect ambient air quality), see
generally CAA section 110, Congress
explicitly required SIPs to include
requirements to protect visibility, under
CAA section 169A–B. See CAA sections
110(a)(2)(D)(i)(II), 169A(b)(2)(A).
Congress took much the same approach
with the PSD program, which was to
require that PSD requirements be
included in the SIPs, but to explicitly
require that PSD apply to non-NAAQS
pollutants.
These provisions—sections 165(a)(3),
165(a)(4), and 110(j)—all indicate by
their terms that PSD requirements apply
to non-NAAQS pollutants. As such,
they lend credence to our view that
Congress intended the PSD applicability
provisions to include GHG sources. At
the very least, they demonstrate that
Congress certainly knew how to
specifically describe certain air
pollutants—e.g., ‘‘air pollution in excess
of * * * any other applicable emission
standard or standard of performance
under this chapter,’’ CAA section
165(a)(3)(C)—which indicates that its
decision not to specifically describe air
pollutants in the applicability
provisions suggests an intent to cover
air pollutants broadly.
To return to sections 161 and the ‘‘in
any area to which this part applies’’
phrase in 165(a), which commenters
rely on as the cornerstone of their
argument, commenters in effect take the
position that Congress intended the
geographic references in these
provisions—that is, the references to
areas designated as attainment or
unclassifiable—to limit the scope of the
permitting provisions. We think it
unpersuasive that Congress would have
taken such an indirect, and silently
implied, route to limit the scope of the
permitting provisions. As noted
previously, the permitting provisions
apply broadly by their terms. Had
Congress intended to limit PSD
permitting in the manner urged by
commenters, it certainly could have
done so directly, such as by limiting
PSD permitting to ‘‘any pollutant for
which an area is designated attainment
or unclassifiable.’’ Indeed, Congress did
so in other PSD provisions, discussed
previously. Similarly, in other sections
of the CAA, Congress also directly
limited the scope of pollutant
applicability by specifying which
pollutants are or are not subject to the
provision. See, e.g., section 111(d)
(performance standards for existing
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sources apply only to pollutants other
than NAAQS or HAPs), section 112(a)(1)
(applying air toxics requirements in
section 112 to sources that emit above
the specified tonnage thresholds of
‘‘hazardous air pollutants’’).
In addition, although section 161
requires that SIPs contain emission
limitations and other measures as
necessary to prevent significant
deterioration in areas designated as
attainment or unclassifiable, it does not
by its terms limit SIPs to only those
measures.
Most broadly, we read the PSD
provisions and their legislative history
to evidence Congress’s intent that PSD
apply throughout the country to large
sources that undertake new construction
or modifications, and that Congress’s
overall purpose was to assure that, as
the industrial stock of the nation turned
over, it would become cleaner for all air
pollutants emitted. Greenhouse gas
sources, as a general matter, fit readily
into this overall vision. At the time that
Congress enacted the PSD provisions in
1977, every area of the nation was
designated attainment or unclassifiable
for at least one air pollutant, and that
has remained the case to the present
time. Accordingly, at all times, PSD has
applied in every area of the country.
The PSD requirements clearly cover all
air pollutants emitted by the source, and
provide a process for reviewing those
emissions and determining BACT for
them under CAA section 165(a)(4). It is
true that at the time Congress adopted
the PSD provisions, it was primarily
concerned about the NAAQS
pollutants—or, as some commenters
assert, pollutants with local, ambient
impact—because those pollutants
represented a major component of the
air pollution problems it was aware of
and was addressing. But its overall
purpose was broad enough to cover
additional pollutants; the process it
enacted for establishing BACT was
broad enough to encompass additional
pollutants; and the applicability
provisions it established were phrased
broadly enough to encompass additional
pollutants, see section 169(1). As a
result, we believe that the PSD
applicability provisions, which, again,
refer to, as we have interpreted them,
‘‘any air pollutant [subject to regulation
under the CAA],’’ should be seen as
‘‘capacious’’ and therefore encompass
GHG sources, in much the same manner
as the U.S. Supreme Court viewed the
definition of ‘‘air pollutant’’ to be
‘‘capacious’’ and therefore encompass
GHGs. Massachusetts v. EPA, 549 U.S.
497, 533 (2007).
In addition, it should not be
overlooked that we have applied PSD to
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non-NAAQS pollutants since the
inception of the program over 30 years
ago. For example, prior to the 1990 CAA
Amendments, PSD applied to HAPs
regulated under CAA section 112; and
over the years, EPA has established
significance levels for fluorides, sulfuric
acid mist, hydrogen sulfide, TRS,
reduced sulfur compounds, municipal
waste combustor organics, municipal
waste combustor metals, municipal
waste combustor acid gases, and
municipal solid waste landfill
emissions, see 40 CFR 51.166(b)(23)(i);
and EPA has proposed a significance
level for ozone depleting substances.
See 61 FR 38307 (July 23, 1996). Of
course, the basis for all these actions is
PSD’s applicability to these nonNAAQS air pollutants. We are not aware
that EPA’s actions in establishing
significance levels for these pollutants
gave rise to challenges on grounds that
the PSD provisions do not apply to
them. As the U.S. Supreme Court
recently stated in upholding an EPA
approach in another context: ‘‘While not
conclusive, it surely tends to show that
the EPA’s current practice is a
reasonable and hence legitimate
exercise of its discretion * * * that the
agency has been proceeding in
essentially this fashion for over 30
years.’’ Entergy Corp. v. Riverkeeper,
Inc., 129 S.Ct. 1498, 1509 (2009)
(citations omitted).
Finally, we note that excluding GHG
sources from PSD applicability would
create inequitable results. Consider the
hypothetical case of two sources that
construct in the same area, each of
which emits the same amount of GHGs,
and that amount is large enough to
trigger PSD applicability. Assume that
the first one, but not the second, also
emits NAAQS pollutants amounts large
enough to trigger PSD applicability. If
GHG sources are excluded from PSD
applicability, then the first of those
sources, but not the second, would be
subject to PSD requirements for its GHG
emissions. Similarly, consider the
hypothetical case of two sources that
emit identical amounts of the same
NAAQS pollutant and identical
amounts of GHGs, all amounts of which
are large enough to trigger PSD
applicability requirements. Assume that
the first source constructs in an area that
is an attainment or unclassifiable area
for the NAAQS pollutant that it emits,
and that the second source constructs in
an area that is not an attainment or
unclassifiable area for that NAAQS
pollutant. Here again, if GHG sources
are excluded from PSD applicability,
then the first of those sources, but not
the second, would be subject to PSD
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requirements for its GHG emissions.
These results are inequitable and would
create an uneven playing field and for
this reason, too, support our view that
the PSD applicability provisions apply
to GHG sources.
Accordingly, we reject the argument
that section 165 must be, or may
reasonably be, limited in scope to
pollutants for which an area has been
designated as attainment or
unclassifiable. Rather, the PSD
applicability provision—the definition
of ‘‘major emitting facility’’ in CAA
section 169(1)—applies by its terms (as
we have interpreted them narrowly
through regulation) to sources emitting
any air pollutant subject to regulation,
and is not limited to any NAAQS air
pollutant. Our research has not
disclosed any explicit statements in the
legislative history that Congress
intended to limit PSD applicability to
sources of NAAQS pollutants.
6. Application of the ‘‘Absurd Results’’
Doctrine for the Title V Program
Having discussed the application of
the Chevron framework, taking account
of the ‘‘absurd results’’ doctrine, for the
PSD applicability requirements, we now
turn towards applying the same
approach to the title V applicability
requirements. Because of the parallels
between the PSD and title V
applicability provisions, much of the
discussion later parallels the previous
discussion of PSD. As with PSD, we
finalize, with some refinements, the
‘‘absurd results’’ basis we proposed.
Specifically, we are revising our
regulations to limit title V applicability
to GHG emitting sources by revising the
regulatory term, ‘‘major source,’’ and
although our revised regulations do not
accord with a literal reading of the
statutory provisions for title V
applicability, which are incorporated
into the statutory definition of ‘‘major
source,’’ we have concluded that based
on the ‘‘absurd results’’ doctrine, a literal
adherence to the terms of this definition
is not required. Rather, we may apply
title V to GHG sources in a phased-in
manner, as we do through the tailoring
approach, because although
congressional intent is clear that title V
applies to GHG sources in general,
congressional intent is unclear on the
question of how title V applies, and the
tailoring approach is a reasonable
interpretation of the statute.
To reiterate, for convenience, the title
V applicability provisions provide that
after the effective date of a title V
program, it is unlawful for any person
to operate a ‘‘major source’’ without a
title V permit (CAA section 502(a), and
define a ‘‘major source’’ to include ‘‘any
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major stationary facility or source of air
pollutants which directly emits, or has
the potential to emit, one hundred tons
per year or more of any air pollutant.’’
CAA sections 501(2)(B) and 302(j).
Under the current interpretation of
the title V applicability provisions,
EPA’s recent promulgation of the LDVR
will trigger the applicability of title V
for GHG sources at the 100 tpy
threshold levels as of January 2, 2011.
This is because title V applicability
hinges on the definition of ‘‘major
source,’’ which, under EPA’s longstanding narrowing interpretation, but
absent further tailoring, applies title V
to sources of any air pollutant that is
subject to regulation under another
provision of the CAA. EPA’s
promulgation of the LDVR means that
GHGs will become subject to regulation
on the date that the rule takes effect,
which will be January 2, 2011.
But absent tailoring, the January 2,
2011 trigger date for GHG PSD
applicability will see an extraordinarily
large number of sources—some 6.1
million—become subject to title V, an
increase of over 400-fold over the 14,700
sources that currently are subject to title
V. The great majority of these will be
small commercial or residential sources.
We believe that for many reasons, this
result is contrary to congressional intent
for the title V program, and in fact
would severely undermine what
Congress sought to accomplish with the
program. As a result, under Chevron,
accounting for the ‘‘absurd results’’
doctrine, the statutory definition for
‘‘major source’’ (as EPA has already
narrowed it to refer to any air pollutant
‘‘subject to regulation’’) should not be
read to apply to all GHG sources at or
above the 100 tpy threshold as of the
January 2, 2011 date. Rather, the
definition of ‘‘major source’’ should be
tailored so that it applies to GHG
sources on a phased-in basis, with the
largest sources first, as we describe in
this rule.
a. Congressional Intent for the Title V
Program
As we said, previously, in a similar
circumstance involving the PSD
program, applying title V requirements
to GHG sources without tailoring the
definition of ‘‘major source’’—and, as
discussed later, without streamlining
the title V requirements or allowing for
time for permitting authorities to ramp
up resources—would result in a
program unrecognizable to the Congress
that enacted title V, and one that would
be flatly unadministrable. Without
tailoring, the PSD program would
expand from the current 14,700 sources
to some 6.1 million, with the great
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majority of the sources being small
commercial and residential sources that
not only have never been permitted
before, but that in many cases have no
applicable requirements under the CAA
to include in the permit. In the next
several sections, we will describe some
of the specific ways that this literal
application of title V would not only
differ from, but would undermine,
congressional intent. But the big picture
is readily drawn: The influx of millions
of permit applications would do nothing
less than overwhelm the program
Congress finely crafted for thousands of
sources, with its multi-step deadlines
measured in days and months, its
multiple mandates for expeditious
permit processing, its nuanced
limitations on the need for permit
revisions, its efforts to save smaller
sources permit fees. Regulatory gridlock,
precisely what Congress strove to avoid,
would result.
Most visibly, interpreting the
applicability provisions literally to
include GHG sources at the 100 tpy
level immediately would revise the
program from what Congress envisioned
in three major ways, the legislative
history of each of which was discussed
previously:
• It would immediately expand the
program to cover several-hundred-fold
more sources than Congress anticipated.
• It would immediately expand the
program to cover very small sources that
Congress expected would not be
included in the program.
• It would immediately expand the
program so that a large number of
sources have empty permits, that is,
permits without applicable requirement,
and undermine the implementation of
the program for sources with applicable
requirements.
Revising the program in this way
through a literal interpretation of the
applicability provisions—without
tailoring the applicability requirements
and without streamlining the program
requirements—is clearly inconsistent
with Congress’s conception of the
program’s scope, and these
inconsistencies are foundational. Most
importantly, the program that would
result would be unduly costly to sources
and impossible for permitting
authorities to implement, and therefore
would frustrate the purposes that
Congress intended to achieve with the
program that it did design.
As discussed previously, Congress
was fully aware that with the title V
program, it was subjecting sources and
permitting authorities to additional
costs and administrative burdens, and it
was fully aware of concerns that absent
careful design, the program could
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become a formula for regulatory
gridlock. Determined to make the
program workable, Congress crafted the
provisions to be efficient and workable.
However, if title V were to apply to
GHG sources at the 100 tpy level, until
EPA could develop streamlining
methods, all of these sources newly
subject to title V would need to apply
for permits. We estimate that the
commercial and residential sources
would incur, on average, expenses of
$23,175, while an industrial source
would incur expenses of $46,350, to
prepare a permit application and receive
a permit. The great majority of these
sources would be small commercial and
residential sources of the type that
Congress did not expect would be
included in title V. For example, as
discussed above, the legislative history
of title V, including both the permit
program under CAA sections 501–506
and the ‘‘small business stationary
source technical and environmental
compliance assistance program’’ under
CAA section 507, indicated that
Congress did not expect that ‘‘printers,
furniture makers, dry cleaners, and
millions of other small businesses’’
would become subject to title V. House
Committee Report, H.R. 101–590, at 354.
These sources generally do not have the
potential to emit conventional
pollutants at or above the 100 tpy
threshold.46 However, many do have the
potential to emit GHGs above that
threshold. Many printers and furniture
makers use a variety of combustion
equipment that has the potential to emit
at least 100 tpy CO2, and many
commercial dry cleaners have gas-fired
driers that have the potential to emit at
least 100 tpy of CO2. All told, there are
in fact ‘‘millions of * * * small
businesses’’ that would become subject
to title V—of the 6.1 million sources
that would become subject to title V, the
great majority are small businesses—if
the title V applicability provisions are
applied literally to GHG sources.
Moreover, the overall cost to all 6.1
million sources—before the
development of streamlining methods—
would be a staggering $49 billion per
year over a 3 year period. Imposing
46 As noted previously, the fact that some small
sources are subject to title V because they are ‘‘major
sources’’ of HAPs or certain area sources and
therefore are covered under CAA sections 502(a)
and 501(2)(A) does not alter the conclusion from
the legislative history that Congress did not expect
large numbers of small sources to become subject
to title V. The fact that Congress authorized the
Administrator to exempt area sources from the title
V program where compliance with title V would be
‘‘impracticable, infeasible, or unnecessarily
burdensome’’ reinforces the conclusion that
Congress did not intend the program to be
‘‘impracticable, infeasible or unnecessarily
burdensome’’ for small sources.
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burdens of this magnitude on these
sources—individually and in total—
would of course be contrary to
Congress’s efforts to minimize the
expenses of title V, especially to small
sources. The magnitude of the costs is,
in a sense, heightened because a great
many of these sources will not have
applicable requirements to include in
their permits; therefore, much of the
costs will produce relatively little
benefit.
Yet, the most important reason why
applying the title V program to GHG
sources without tailoring, and before the
development of streamlining methods,
would be inconsistent with
congressional intent, is that the
resulting program would prove
unadministrable. Adding some 6.1
million permit applications to the
14,700 that permitting authorities now
handle would completely overwhelm
permitting authorities, and for all
practical purposes, bring the title V
permitting process to a standstill.
The costs to permitting authorities of
this multi-million-source program
would again be staggering. On average,
and without streamlining, a permitting
authority would expend 214 hours,
which would cost $9,844, to issue a
permit to a commercial or residential
source; and 428 hours, which would
cost $19,688, to issue a permit to an
industrial source. In all, permitting
authorities would face over $21 billion
in additional permitting costs each year
due to GHGs, compared to the current
program cost of $62 million each year.
Beyond this disconnect with
congressional expectations as to scope
of the program, the extraordinarily large
number of permit applications would
overwhelm permitting authorities and
slow their ability to process permit
applications to a crawl. As described at
proposal, the survey of permitting
authorities conducted by NACAA found
that a literal application of the title V
applicability provisions to all GHG
sources would result in permitting
delays of some 10 years. However, as we
further noted at proposal, this estimate
was based on the assumption that the
applicability threshold would be 100
tpy based on actual emissions; in fact,
the applicability threshold would be
100 tpy based on PTE, which would
sweep in many more sources. Moreover,
as stated elsewhere, we currently
estimate the amount of per-permit work
hours for permitting authorities in
processing title V permit applications to
be several times higher than what we
estimated at proposal. As with PSD,
such a program would be beyond
anything within our experience, and it
is difficult to give a meaningful estimate
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for how long the permitting process
would take for each permit on average.
But it is clear that the period would be
many years longer than even the 10
years estimated by NACAA.
In addition, applying title V to all
GHG sources without tailoring would be
in tension with a specific CAA
requirement, that of CAA section 503(c),
which imposes a time limit of 18
months from the date of receipt of the
completed permit application for the
permitting authority to issue or deny the
permit. It would be impossible for
permitting authorities to meet this
statutory requirement if their workload
increases from some 14,700 permits to
6.1 million, and without streamlining.
Instead, as just noted, permit
applications would face multi-year
delays in obtaining their permits.
Moreover, these delays would
undermine the overall statutory design
that promotes the smooth-running of the
permitting process, and the underlying
purpose of the title V program itself. As
noted elsewhere, Congress intended
through title V to facilitate sources’
compliance with their CAA obligations
by establishing an operating permit
program that requires the source to
combine all of its CAA requirements,
and explain how it will assure
compliance with such requirements.
Congress established a comprehensive
process to implement the operating
permit program. Through this process,
following the date that sources become
subject to title V, they have 1 year to
submit their permit applications. CAA
section 503(c). As noted, the permitting
authority then has 18 months to issue or
deny the permit. CAA section 503(c).
Permitting authorities must provide an
opportunity for public comment and a
hearing. CAA section 502(b)(6). If the
permitting authority proposes to issue
the permit, the permitting authority
must submit the permit to EPA for
review, and notify affected states. CAA
section 505(a)(1). EPA then has 45 days
to review the permit and, if EPA deems
it appropriate, to object to the permit.
CAA section 503(b)(1). If EPA does
object, then the permitting authority
must, within 90 days, revise it to meet
the objections, or else EPA becomes
required to issue or deny the permit.
CAA section 503(c). If EPA does not
object, then, within 60 days of the close
of the 45-day review period, any person
may petition EPA to object, and EPA
must grant or deny the petition within
60 days. CAA section 505(b)(2). This set
of applicant, permitting authority, and
EPA actions and deadlines establishes
the process for the prompt and efficient
issuance of operating permits for the
appropriate universe of sources.
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But at least for an initial period, until
resources could be ramped up and
streamlining methods could be
developed, the extraordinary numbers
of these permit applicants would sweep
aside this carefully constructed
program, and instead, backlog the
permit authorities. This initial period
would last for many years. As discussed
elsewhere, it would take several years to
develop and apply streamlining
measures—in particular, general
permits—and during that time, the
permit backlog would grow so large that
it would take many more years for
permitting authorities to catch up by
raising the requisite funds and hiring
and training the necessary employees.
What’s more, only a fraction of these
millions of sources newly covered by
title V will be subject to any CAA
requirements due to their GHG
emissions, and we suspect that a larger
number will not be subject to any CAA
requirements at all. As a result, for most
of these sources, although they would
need to apply for and receive a permit,
there would be no applicable
requirements to include in the permit
and thus the exercise would not
improve compliance.
The picture that emerges from a literal
application of title V’s requirements to
all GHG sources—at the 100 tpy level,
beginning on January 2, 2011—shows
multi-year delays in issuance of all
permits, for both the sources that have
applicable requirements and that
Congress clearly intended the program
to cover, and for the millions of sources
that may not be subject to any
applicable requirements. In short, this
literal interpretation would apply title V
to millions of sources that Congress did
not expect be covered, and the ensuing
administrative burdens—at least
initially—would impede the issuance of
permits to the thousands or perhaps
tens of thousands of sources that
Congress did expect be covered. This is
the type of ‘‘absurd results’’ from a literal
application of statutory provisions that
the courts have held should be avoided.
And even beyond all that, the sheer
magnitude of the numbers involved—
millions of permits requiring thousands
of FTEs at a cost to the permitting
authorities of billions of dollars, all this
beginning immediately at the time that
GHGs become subject to regulation—
makes clear that this result of a literal
application of the title V provisions to
GHG sources cannot be what Congress
intended.
b. EPA’s Reconciliation of Applicability
Provisions With Congressional Intent
For the reasons just described, we
should not consider the literal meaning
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of the applicability provisions to be
determinative of congressional intent as
to the applicability of title V to all GHG
sources; rather, we should examine
other provisions of the statute and the
legislative history to determine
congressional intent on that question. If
congressional intent is clear, we must
adopt and implement an applicability
approach that is as close as possible to
congressional intent; and if
congressional intent is not clear, then
we must select an interpretation that is
reasonable and consistent with the
statutory requirements. This section
explains EPA’s view of congressional
intent for the applicability of the title V
program to GHG sources and the
principles and approach EPA is using
for tailoring. In addition, we also
respond to other approaches that were
suggested by commenters.
To determine congressional intent, we
consider the statutory provisions and
legislative history, and this analysis is
similar to that for PSD. The most
important title V provisions and
legislative history for this purpose are
the following:
(1) The applicability provisions
themselves, which, as we have
interpreted them, apply title V to all
sources that emit at least 100 tpy of any
air pollutant subject to regulation. CAA
sections 502(a), 501(2)(B), 302(j).
Although we do not believe these
provisions should be applied literally to
GHG sources, their broad phrasing
indicates, directionally, a congressional
intent towards inclusiveness of sources
in title V, including GHG sources.
(2) The provisions for general permits,
CAA section 504(d); and title V fees,
CAA section 502(b)(3)(A). These
provisions give title V an important
measure of flexibility as to its scope.
The explicit authorization of general
permits means that title V may be
applied to more sources and more
efficiently, thereby saving costs to both
source and permitting authority. The
requirements for permit fees provide a
mechanism for permitting authorities to,
over time, develop their programs to
cover more sources. In this sense, these
provisions could be construed to
indicate congressional intent to apply
title V inclusively, to the extent that
permitting authorities can accommodate
additional sources through general
permits and permit fees.
(3) The detailed procedural
requirements—including time periods,
such as the 18-month time period for
action on permit applications—for title
V permit processing. CAA sections 503,
505. Although these requirements are
consistent with applying title V to GHG
sources—in the sense that at least in
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theory, there is nothing intrinsic to GHG
sources that would mean that permitting
authorities could not comply with these
requirements—these requirements cast
doubt on whether Congress can be said
to have intended that title V cover the
many small GHG sources (at least
immediately) in light of the risk that
including all those sources in title V
would strain the process.
(4) The provisions and legislative
history concerning applicable
requirements, which indicate that a
purpose of title V is to include sources’
applicable requirements in their
permits. CAA sections 503(b)(2), 504(a).
These provisions, and the
accompanying legislative history,
discussed previously, suggest an intent
to include within title V GHG sources
that have applicable requirements, but
may also suggest that Congress would
not have intended to include in title V
the large numbers of GHG sources that
have ‘‘empty permits,’’ at least where
their inclusion would undermine
implementation of the program for
sources with applicable requirements.
(5) The small-business-assistance
provisions of section 507 and the
legislative history of title V—both the
permitting program and the smallbusiness-assistance program—
concerning the scope of the permitting
program and small businesses. These
indicate that Congress intended title V
to cover some tens of thousands of
sources, and did not intend that title V
apply to small businesses. These
provisions and legislative history
suggest that Congress did not intend for
title V to apply to include large numbers
of small GHG sources.
Finally, the legislative history of title V
does not explicitly mention GHG
sources, which could suggest that
Congress did not have occasion to focus
on whether and how title V would
apply to GHG sources.
With all this, we believe that Congress
had a clear intent on the question of
whether title V generally applies to GHG
sources, and that was that it does. As
with PSD, the most important indication
of congressional intent in this regard is
the applicability provisions, which
provide, in part, that title V applies to
‘‘any stationary facility or source of air
pollutants which directly emits, or has
the potential to emit, [the requisite
quantity] of any air pollutant.’’ CAA
sections 502(a), 501(2)(B), 302(j). This
term is quite broad, and should be read
to include GHG sources. See
Massachusetts v. EPA, 549 U.S. 497, 533
(2007) (‘‘Because greenhouse gases fit
well within the Clean Air Act’s
capacious definition of ‘air pollutant,’
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we hold that EPA has the statutory
authority to regulate the emission of
such gases from new motor vehicles.’’).
Moreover, including GHG sources—
under certain circumstances—is
consistent with the various statutory
provisions and statements in the
legislative history described previously.
In the alternative, if it is concluded
that Congress did not express a clear
intent on that question, then, under
Chevron Step 2, EPA exercises its
discretion to conclude that title V
applies to GHG sources as a general
matter. This is a reasonable policy
because applying the title V program to
at least the larger GHG sources will
assure promote accountability and
enforceability for those sources, which
is a key goal of the title V program, and
will not impose obligations that are
beyond the resources of those sources or
insurmountable burdens on the
permitting authorities. This policy is a
reasonable interpretation of the
statutory provisions for the same
reasons just discussed.
As to the question of how title V
applies to GHG sources, we believe that
Congress cannot be said to have
expressed a clear intent. A central
aspect of how title V is to apply to GHG
sources concerns ‘‘empty permits,’’ and
on this aspect, some of the abovedescribed provisions and statements in
the legislative history point in different
directions. This is particularly true of,
on the one hand the title V applicability
provisions, which apply by their terms
inclusively and, on the other hand, the
requirement that sources include
applicable CAA requirements in their
permits, and the statements in the
legislative history indicating that
Congress intended title V to cover
sources subject to other CAA
requirements.
Because Congress cannot be said to
have expressed an intent as to the
manner and scope of title V
applicability to GHG sources, then,
under Chevron Step 2, EPA may apply
a reasonable interpretation of the
applicability provision to determine the
scope of coverage of GHG sources that
is consistent with the statutory
requirements. The Tailoring Rule
qualifies as such an interpretation. The
Tailoring Rule in effect reads the
applicability provisions not to apply
title V to GHG sources at or above the
100 tpy level, but instead to apply title
V to as many of the GHG sources at or
above that level as possible and as
quickly as possible, starting with the
largest sources first, that is consistent
with both the permitting authorities’
ability to administer the program and
with a sensible imposition of costs to
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sources. This tailoring approach is
consistent with the inclusive direction
of the applicability provision, the
flexibility in title V’s scope that is
inherent in the provisions authorizing
general permits and requiring permit
fees, the detailed process requirements,
and the legislative history that focuses
on Congress’s concern about costs to
sources and administrability. With the
tailoring approach, over time, more
sources may be included in title V,
consistent with those provisions and
legislative history. This reconciles the
inclusiveness of the applicability
provisions with Congress’s expectations
of a more limited scope for the title V
program.47 However, as part of the
tailoring approach, we recognize that we
may at some point determine that it is
appropriate to exclude certain sources,
such as the smallest of the GHG sources.
In addition, we intend to address the
issue of sources with ‘‘empty permits’’ in
a later rulemaking, as discussed
previously.
The specific phase-in schedule will
depend on the following: We will gather
information about the permitting
authorities’ ability to process permits,
and we will develop streamlining
techniques. Based on that information,
we will address expanding the title V
program in a step-by-step fashion to
include more sources over time. Each
step will be based on our assessment of
the permitting authorities’ and sources’
ability to comply with their respective
obligations under the title V program.
We recognize that the availability of
permit fees to support title V permit
actions creates a potentially important
source of resources, and that this has
implications for the permitting
authorities’ ability to implement the
title V program for sources of GHGs. At
least in theory, permitting authorities
could assess and collect sufficient fees
to support hiring and training sufficient
personnel so that they could expand
their programs to match the expansion
in the number of sources covered by the
program.
Even so, title V fees cannot be
considered a panacea that will resolve
all resource problems that permitting
authorities will have, for several
reasons. Permitting authorities will
likely be constrained as to the rate in
which they can increase fees in light of
47 As with PSD, this way of reconciling the PSD
applicability provisions with Congress’s
expectations for a narrower PSD program is
consistent with the U.S. Supreme Court’s view that
the CAA should be read to include ‘‘regulatory
flexibility, [without which] changing circumstances
and scientific developments would soon render the
Clean Air Act obsolete.’’ Massachusetts v. EPA, 549
U.S. 532.
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the costs to sources. As indicated
elsewhere, at least at the outset of the
program before streamlining techniques
have been developed, a literal
application of the title V applicability
provisions to GHG sources would, on
average, cost each industrial source
$46,400 and each commercial or
residential source $23,200 to complete
the permit application and take other
associated actions; and it would cost
each permitting authority, on average,
$19,688 to process the industrial source
permit and $9,844 to process the
commercial or residential source permit.
Particularly in light of the high costs to
sources of applying for a permit, it is not
likely that permitting authorities would
be able to pass on to the sources in the
form of fees, the entirety of the
permitting authorities’ own high costs
for processing those permits, at least not
right away. Even to the extent it would
be possible to raise permit fees,
permitting authorities would have to
undergo a process to assess, impose, and
collect those fees, and then hire and
train personnel. The survey from the
state and local agencies described
previously forecast a 2-year period for
hiring and training, without counting
time for the fee process. For these
reasons, we do not believe that the
authorization for fees will allow the
permitting authorities either to
accelerate Steps 1 or 2 of the tailoring
schedule or to permit a larger number of
sources at those steps. Step 1 will take
effect on January 2, 2011, Step 2 will
take effect on July 1, 2011, and the
process for determining and collecting
fees, and then hiring and training
personnel will take at least several years
after July 1, 2011.
Moreover, we do not believe that the
authorization for fees means that
permitting authorities can reasonably be
expected to permit title V sources at
levels below 50,000 tpy CO2e before
2016. The next level below 50,000 tpy
CO2e for which we have data is 25,000
tpy CO2e, and the costs to permitting
authorities to run their programs at that
level ($126 million) is more than double
their current costs ($62 million). We do
not consider it reasonable to expect
permitting authorities to more than
double their program within the first 6
years of title V applicability to GHG
sources. That it is not reasonable to
expect that is made even clearer when
the permitting authorities’ burdens in
implementing their PSD programs are
considered. The ability of permitting
authorities to impose fees may have
more important implications for
subsequent steps, and as we address
those subsequent steps in future
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rulemakings, we will consider the fees.
EPA’s approach to fees in this
rulemaking is discussed elsewhere.
c. Other Possible Approaches to
Reconciling Literal Reading of Title V
Applicability Provisions and
Congressional Intent
Having described how the Chevron
framework, accounting for the ‘‘absurd
results’’ doctrine, applies to title V
requirements in this case and why it
supports this Tailoring Rule—under
which we expect to apply title V to
more sources, in a step-by-step fashion,
over time—we turn to the last part of
our discussion of this doctrine. Here, we
address another possible approach
suggested by comments, which is that
EPA should apply the title V program
only to sources that are subject to
applicable requirements, so that sources
should not be required to hold ‘‘empty
permits’’ (e.g., permits issued to a source
that is not subject to any applicable
requirement for any pollutant). To the
extent that commenters argue that the
statute requires EPA to adopt a ‘‘noempty-permits’’ theory, we disagree. We
believe that although various provisions
of title V indicate that one of title V’s
purposes is to gather a source’s
applicable requirements into a single
permitting mechanism, see CAA
sections 503(b)(1), 504(a), we do not
read those provisions as expressly
limiting, as a matter of Chevron Step 1,
title V to sources with applicable
requirements. The applicability
provisions, by their terms, include
sources based on amount of emissions,
and do not include any explicit limits
to applicability based on whether the
sources has applicable requirements. As
described previously, we believe that
Congress, although clearly expressing an
intent that title V apply to GHG sources
generally, did not express a clear intent
as to how title V applies to GHG
sources. The tension between these two
sets of provisions, which we identified
in the proposal and commenters further
discussed, provides further support for
that conclusion. Accordingly, we have
discretion under Chevron Step 2 to
determine a reasonable approach,
consistent with the statutory
requirements, concerning the
application of title V to GHG sources
with empty permits.
We note that to date, we have issued
permits to sources without applicable
requirements, albeit on rare occasions.
We have little reason to believe that the
‘‘empty-permits’’ issue will arise in
Steps 1 and 2 of our tailoring approach
because we believe there will be no
‘‘empty permits’’ in Step 1 or Step 2 or,
if there are, that they will be very few
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in number. As stated elsewhere, we
believe that the tailoring approach we
adopt in this rulemaking for Steps 1 and
2 is a reasonable approach that is
consistent with statutory requirements.
We need to gather more information
concerning the potential number and
utility of ‘‘empty permits’’ for GHG
sources, in light of the fact that the need
for requirements in title V permits will
vary based on the requirements of each
SIP, and the fact that some SIPs contain
broadly applicable requirements. As
stated elsewhere, we intend to consider
the issue of the applicability of title V
to GHG sources with ‘‘empty permits’’ in
Step 3 of our tailoring approach. When
we do so, we will further assess the
potential for the approach of excluding
empty permits from title V to relieve
burden consistent with statutory
requirements.
7. Additional Rulemaking for the PSD
and Title V Programs
The previous sections 5 and 6
discussed our application of the
Chevron framework, accounting for the
‘‘absurd results’’ doctrine, to the PSD
and title V applicability requirements,
respectively. As another point in this
regard, which is relevant for both PSD
and title V purposes, we also commit to
subsequent rulemakings in which we
may further address the ‘‘absurd results’’
doctrine.
Specifically, we will propose or
solicit comment on establishing a
further phase-in, that is, a Step 3, that
would apply PSD and title V to
additional sources, effective July 1,
2013, and on which we commit to take
final action, as supported by the record,
by no later than July 1, 2012. We further
commit to completing another round of
rulemaking addressing smaller sources
by April 30, 2016. Our action in that
rulemaking would take into account the
severity of the remaining problems
associated with permitting authority
burden and source costs.
While committing to future action, we
do not decide in this rule when the
phase-in process will ultimately end, or
at what threshold level, because all that
depends on uncertain variables such as
our progress in developing streamlining
approaches and on permitting
authorities’ progress in developing
permitting expertise and acquiring more
resources. We may continue the phasein process with further rulemaking(s)
after 2016. Alternatively, we may make
a final determination through future
rulemaking that, under the ‘‘absurd
results’’ doctrine, PSD and/or title V do
not apply to GHG sources that, while
small and relatively inconsequential in
terms of GHG contribution, are above
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the statutory tonnage thresholds for
these programs, and thereby end the
phase-in process. In addition, we may
consider whether to limit title V
applicability to GHG sources in order to
minimize the number of GHG sources
with ‘‘empty’’ permits.
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8. Rationale for the Phase-In Schedule
for Applying PSD and Title V to GHG
Sources
Having discussed in sections V.B.5,
V.B.6, and V.B.7 the reasons for
tailoring the PSD and title V programs,
we now describe our rationale for
selecting the specific phase-in schedule
in this rule for applying PSD and title
V to GHG-emitting sources. To reiterate
for convenience, under Step 1 of this
schedule, which begins on January 2,
2011, (1) PSD applies to the GHG
emissions of ‘‘anyway’’ PSD sources, that
is, sources that are subject to PSD
anyway due to their emissions of
conventional pollutants and that
undertake a modification that results in
an increase of at least 75,000 tpy CO2e;
and (2) title V applies to ‘‘anyway’’ title
V sources, that is, sources that are
subject to title V anyway due to their
emissions of conventional pollutants.
Under Step 2, which begins on July 1,
2011, (1) sources will be subject to PSD
on account of their GHG emissions if
they newly construct and emit at least
100,000 tpy CO2e, or if they are existing
sources that emit at least 100,000 tpy
CO2e of GHGs and make a modification
that results in the emission of at least
75,000 tpy CO2e; and (2) existing and
new sources will be subject to title V on
account of their GHG emissions if they
emit 100,000 tpy CO2e in GHG
emissions. In addition, EPA intends to
begin another round of rulemaking—
Step 3—in 2011 and commits to
complete it by July 1, 2012. In that
rulemaking, we will propose or solicit
comment on a further phase-in of GHG
sources for PSD and title V
applicability, and we may propose or
solicit comment on another application
of the ‘‘absurd results’’ doctrine that
excludes categories of sources from PSD
or title V. However, under this rule, in
no event will EPA apply PSD or title V
to sources below the 50,000 tpy CO2e
levels in Step 3, or any other step we
might promulgate prior to April 2016. In
addition, EPA commits to conduct a
study, to be concluded by April 30,
2015, evaluating the status of PSD and
title V applicability to GHG sources,
and, based on the study, complete a
rulemaking by April 30, 2016 that
addresses another round of a phase-in.
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a. Rationale for Step 1
In Step 1 of our tailoring approach,
which begins on January 2, 2011, PSD
and title V requirements will apply to
only those sources that are subject to
PSD or title V requirements anyway due
to their conventional pollutants
(‘‘anyway’’ sources) and that, in the case
of PSD, make modifications that result
in an increase in GHG emissions of at
least 75,000 tpy CO2e. No sources would
become major for PSD or title V under
this step based on their GHG emissions
alone. This section describes our
proposal, comments on the proposal
and our response to those comments,
and our rationale for Step 1.
(1) Proposal
In our proposal, we proposed (1) the
application of PSD and title V
requirements to sources that emit at
least 25,000 tpy CO2e, (2) a PSD
significance level of between 10,000 and
25,000 tpy CO2e, and (3) a commitment
to undertake a study to be followed by
further rulemaking after 6 years. In
addition, we solicited comment on the
alternative of limiting PSD and title V
applicability to ‘‘anyway’’ sources for at
least the first 6 years. Under this
approach, PSD and title V applicability
would be determined based on nonGHG pollutants, and without regard to
GHGs, but those sources subject to PSD
would also be subject to BACT
requirements for GHGs if their GHG
emissions exceeded the significance
level established in the final rule, and
those sources subject to title V would be
required to include any applicable
requirements for GHGs in their permits.
(2) Comments
Many commenters supported this
‘‘anyway’’-source approach, and offered
a variety of reasons: According to the
commenters, (1) This approach is a
better reading of Congress’s intent in the
Act and is consistent with Alabama
Power v. Costle, 636 F.2d 323 (DC Cir.
1980); (2) this approach would reduce
the permitting workload on sources
currently considered minor and focus
PSD and title V requirements on large
sources of non-GHG pollutants, as
intended by Congress; (3) it is
appropriate to base PSD and title V
applicability on non-GHG emissions
until data on GHG emissions are
available from the mandatory GHG
reporting rule; (4) in the initial phase,
this approach would be more
straightforward to administer, would
provide a more predictable permitting
workload, and would prevent a flood of
newly regulated sources from
overburdening state agencies; (5) this
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approach would provide permitting
agencies time to develop experience
handling GHG sources and requirements
under the PSD and title V programs; (6)
this approach would provide EPA and
the permitting agencies the time needed
to develop streamlining techniques; (7)
this approach is consistent with the
‘‘absurd results’’ and ‘‘administrative
necessity’’ doctrines because the scope
of the permitting programs would
remain consistent with both
congressional intent and current
administrative practice, but EPA and
state agencies would still be allowed to
begin regulating GHG emissions from
existing PSD and title V sources; and (8)
sources already required to obtain PSD
permits are best equipped to work
through BACT issues with permitting
authorities.
Commenters added that if BACT is
applied for GHGs due to permit actions
involving non-GHG pollutants, EPA
would need to set a significance
threshold for the application of BACT,
without which BACT could apply to
very small (e.g., 1 ton) GHG increases
associated with projects that otherwise
triggered PSD for increases of non-GHG.
(3) Determination as to Step 1, PSD and
Title V Applicability and PSD
Significance Level
After considering the administrative
burdens from increased permitting
actions and the need for permitting
authorities to have sufficient time to
develop necessary expertise and staffing
resources to address that burden, we
have decided in this final action to
establish the ‘‘anyway’’ source approach
as Step 1. Beginning on January 2, 2011,
sources subject to PSD requirements for
their conventional pollutants anyway
will be required to apply BACT to their
GHG emissions if they construct or
modify and in so doing, emit at least
75,000 tpy CO2e in GHGs. Similarly,
sources subject to title V requirements
anyway due to their conventional
pollutants will be required to meet
certain requirements for their GHGs, as
described elsewhere. These
requirements at Step 1 for PSD and title
V will not expire. On July 1, 2011, a
further phase-in of PSD and title V
applicability—Step 2—will kick in.
At Step 1, by definition, all of the
covered sources are already subject to
PSD and title V permitting
requirements, and will simply be adding
a GHG component to what would be an
otherwise occurring permitting action
for conventional pollutants. These
sources include fossil fuel-fired power
plants, petroleum refineries, cement
plants, iron and steel plants, pulp and
paper plants, petroleum refineries, large
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landfills, and other large industrial
sources. These sources will need to
perform some additional analysis that is
unique to GHG emission units,
particularly related to the BACT review
and selection process, but they will
likely be able to utilize information
developed as part of other permitting
requirements for conventional
pollutants, such as equipment fuel
usage and operational parameters. Also,
because these facilities are familiar with
the case-by-case permitting processes,
including all the steps from the
application to the final review process,
they will not confront a high PSD or
title V learning curve.
The ‘‘anyway’’ source approach has
particular appeal during the first step of
the phase-in approach because it begins
to apply key PSD and title V program
requirements as soon as January 2, 2011
to large sources of emissions, but
because it applies only to sources that
are already subject to PSD for other
pollutants, it can be implemented
efficiently and with an administrative
burden that is manageable in the next 8
months. We expect that under this
approach, the sources and permitting
authorities will still face substantial
additional work to address the GHG
emissions. In addition to the activities
discussed elsewhere, there will be
significant and complex policy
questions about how BACT will be
implemented for GHGs that must be
resolved. These issues will include how
to determine BACT for GHGs, how to do
netting, and other similar issues. Even
with EPA guidance, many case-specific
policy issues will arise and will have to
be resolved by the permitting authority
in the context of a specific permit
application. Nevertheless, with the
‘‘anyway’’ source approach, this work
will be manageable because the
associated permitting burden will be
limited to adding a GHG component to
each existing permit action for which it
will be required, and will avoid the
significantly greater burdens associated
with large numbers of new permit
actions that would be required for
sources and modifications that would be
subject to PSD for the first time. Instead,
this ‘‘anyway’’ source approach allows
permitting authorities sufficient time to
develop necessary expertise and staffing
resources to address GHG BACT.
We agree with commenters that the
establishment of a significance level—
which, in effect, is a BACT threshold—
is appropriate, and we have decided to
establish this level at 75,000 tpy CO2e
because, for reasons discussed later, that
is the level that will apply during Step
2. At this level, the administrative
burdens, described later, will be
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manageable. Importantly, we believe a
consistent significance level between
Steps 1 and 2, as opposed to a lower
significance level in Step 1, will provide
for a smoother transition and avoid the
problems that would arise if PSD
applied to modifications during Step 1
that PSD would not apply to in Step 2.
Otherwise, we would create a perverse
incentive for companies to delay such
projects until Step 2 to avoid BACT.
We estimate that Step 1 will result in
a 23 percent increase in permitting
authority work hours and a $3 million
increase—which amounts to a 25
percent increase from the current
program cost of $12 million—in their
annual costs for running PSD programs.
This is primarily due to the GHG BACT
review requirements. For title V
programs, we estimate a 2 percent
increase in permitting authority work
hours and a $1 million increase in the
title V annual program costs for
permitting authorities under Step 1 as
compared to the current program cost of
$62 million. These work hours and costs
will be needed primarily to review GHG
emissions information, add any GHGrelated requirements to title V revisions
and renewal actions that would
otherwise be occurring, respond to
comments and petitions from the
public, as well as develop fee
requirements and make fee
determinations associated with issuing
new or revised title V permits that add
GHG-related information. For both the
PSD and title V programs on a combined
basis, the additional costs for Step 1 will
be $4 million, which amounts to a 5
percent increase in the current
combined program cost of $74 million.
In addition to these workload and
monetary costs, permitting authorities
will confront additional burdens before
and during Step 1, which we have not
attempted to quantify. One of the most
significant of these is training staff in
the PSD-related areas of GHG emissions
calculations and BACT evaluations. In
addition, permitting staff will need to
build staff expertise and capacity for
addressing GHG requirements in
preparation for Step 2, which will begin
only 6 months after Step 1; and in
communicating and providing outreach
to sources addressing GHG emissions
for the first time. Based on comments
we received on the proposal from
permitting authorities, we believe these
additional training and outreach
requirements—for both the PSD and
title V programs—will add significantly
to the permitting authorities’ burden
during the initial 6-month period under
Step 1.
We believe that these administrative
burdens are substantial but manageable.
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Following this action, permitting
authorities will have only 8 months to
prepare for Step 1, when they will need
to increase their resources by 5 percent
for both the PSD and title V programs
combined, and be able to implement
BACT requirements for GHG sources.
During Step 1, they will need to prepare
for Step 2, when, as discussed later,
they will need to process over 900
additional PSD permits each year and
begin to process over 1,100 additional
title V permit actions.
We have decided to limit Step 1 to the
‘‘anyway’’ source approach, and not
apply PSD or title V to sources based on
their GHG emissions, for several
reasons. First, we believe that the
administrative burdens described
previously are the most that the
permitting authorities can reasonably be
expected to manage before and during
Step 1. Tighter PSD and title V
applicability requirements would mean
greater administrative burdens.
Second, we believe that the costs of
GHG permitting to the sources, as
described previously, are substantial
and as a result, necessitate that we wait
for the permitting authorities to develop
the PSD and title V programs for GHG
sources during the first 6 months of
2011 before subjecting sources to PSD
and title V requirements on account of
their GHG emissions. By July 1, 2011,
when Step 2 takes effect, the PSD and
title V programs will be better
developed. For example, the permitting
authorities will have more experience
making BACT determinations. In
addition, by that time, sources will have
had more time to prepare for the
permitting processes. In addition, as
suggested by one commenter, the
additional time will allow sources and
permitting authorities to address the
current uncertainty surrounding how to
measure high-GWP gases.
Third, we estimate that ‘‘anyway’’
sources account for approximately 65
percent of total national stationary
source GHG emissions. As a result,
limiting Step 1 to these sources will still
capture a large portion of the GHG
inventory.
A large number of commenters urged
us to leave this ‘‘anyway’’ source
approach in place until such time as we
complete an assessment and conduct
further rulemaking, which we proposed
would be 6 years from now. We are not
taking this action; rather, for the reasons
discussed next, we believe it is
reasonable to use GHG thresholds to
begin to phase in PSD and title V
applicability to additional sources in
Step 2.
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b. Rationale for Step 2
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(1) Proposal
We proposed to establish the
applicability level for PSD and title V to
GHG sources at 25,000 tpy CO2e, and we
proposed a PSD significance level in the
range of 10,000 to 25,000 tpy CO2e. Our
burden estimates at proposal led us to
conclude that at those threshold levels,
for the PSD program, ‘‘approximately
400 additional new or modified
facilities would be subject to PSD
review in a given year. These include
approximately 130 new facilities and
approximately 270 modifications
* * *.’’ 74 FR 55331, col. 1. We
estimated that processing these numbers
of additional permits, along with doing
the additional work associated with
GHG emissions from sources subject to
PSD anyway due to their conventional
emissions, would increase permitting
authority burdens by ‘‘approximately
112,000 staff hours at an additional cost
of approximately $8 million. This
workload amount represents an increase
of about 1.3 times, or 32 percent, in the
current burden for permitting
authorities on a nationwide basis.’’ Id.
col. 3. We concluded that ‘‘this
additional burden is manageable,’’ but
that ‘‘any threshold lower than 25,000
tpy CO2e, would create undue
administrative burdens.’’ Id.
For the title V program, we estimated
that at a 25,000-tpy CO2e permitting
threshold, ‘‘about 13,600 existing
facilities’’ would become subject to title
V, and that to manage the additional
workload associated with permitting
those sources and with the other permit
revisions and modifications that would
result from the 25,000 tpy CO2e
threshold, permitting authorities would
require an additional 492 FTEs, which
would be an estimated 50 percent
increase over current title V staffing
levels. 74 FR 55335, cols. 1–2.
(2) Comments
We received a significant number of
comments from both permitting
authorities and industry representatives
that our proposed GHG threshold of
25,000 tpy CO2e for major source
applicability was too low and would
result in an unmanageable amount of
permitting actions in the near term.
Many offered evidence that we severely
underestimated both the number of
permitting actions and the per-permit
administrative burden, for both PSD and
title V programs.
Commenters also asserted that the
proposed 25,000 tpy threshold is too
low because it will subject small sources
(including many small businesses) to
PSD and title V, which is not in keeping
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with Congress’s intent to limit PSD and
title V to large sources when Congress
set the 100/250 tpy thresholds for the
permitting programs. EPA, in
collaboration with the SBA, conducted
an outreach meeting designed to
exchange information with small
entities that may be interested in these
regulations. The EPA took this small
business outreach effort into account
when finalizing this rule. Many
commenters from this outreach effort
said that there were many more small
businesses that would become subject to
PSD and title V due to the proposed
permitting thresholds than EPA
estimated at proposal.
Many commenters recommended
specific major source thresholds for PSD
and title V, including levels of 25,000
(as proposed), 40,000, 50,000, 100,000,
150,000, 250,000, and 1,000,000 tpy
CO2e. A majority of the commenters—
including both industry and state
agency commenters—recommended
major source thresholds of 100,000 tpy
CO2e. However, several state agency
commenters recommended thresholds
of 50,000 tpy CO2e. Other commenters
recommended sector-specific
thresholds. For example, solid waste
industry commenters suggested
thresholds of 820,000 tpy CO2e for PSD
[which they calculate to be equivalent to
the existing PSD threshold for
‘‘municipal solid waste landfill
emissions,’’ i.e., 250 tpy nonmethane
organic compounds (NMOC)] and
320,000 tpy CO2e for title V (calculated
to be equivalent to the existing major
source applicability threshold of 100 tpy
NMOC). Other commenters urged EPA
to set the GHG thresholds at levels that
correspond to emissions of conventional
pollutants at the 100/250 tpy level.
Many of the commenters that
recommended increasing the thresholds
cited EPA’s estimates that a particular
threshold would significantly reduce
the number of sources subject to the rule
while causing only a slight reduction in
the percentage of GHGs captured.
Several of these commenters noted that
Table VIII–2 in the proposal preamble
indicates that shifting the major source
threshold for PSD from 25,000 to
100,000 tpy CO2e would reduce the
number of major sources from 13,661 to
4,850 while reducing the coverage of
U.S. stationary source GHG emissions
by only about 4 percent. Other
commenters referred to the regulatory
impact analysis (RIA) for the mandatory
GHG reporting rule to conclude that
raising the threshold from 25,000 to
100,000 tpy CO2e would exclude
thousands of entities that, on a
combined basis, emit only one percent
of the nation’s GHG emissions. See the
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RTC document for this final rulemaking
for more detailed description of
comments received on our proposed
burden assessment.
Many commenters also recommended
specific PSD GHG significance
thresholds, including levels of 10,000
(as proposed), 15,000 (within the
proposed range), 25,000 (also as
proposed), 40,000, 50,000, and 100,000,
and 150,000 tpy CO2e, as well as
suggesting sector-specific thresholds.
These recommendations were based on
the view that we had underestimated
the number of modifications and that
the burden of permitting at the proposed
levels would therefore be much worse
than we projected. A number of the
commenters argued that the significance
threshold should be no less than the
major source threshold, at whatever
level that is set. The largest number of
commenters recommended a PSD
significance threshold of 100,000 tpy
CO2e, although significant numbers also
support 25,000 and 50,000 tpy CO2e.
(3) Rationale for Step 2
Based on these comments, we
reassessed our original burden estimates
from our proposal. This reassessment is
discussed at the beginning of this
section. We decided that, once this
adjustment is taken into account, the
burdens at the proposed 25,000
threshold and the proposed 10,000–
25,000 significance levels would be
unmanageable. We therefore evaluated
higher thresholds ranging from a 25,000
tpy CO2e major source applicability
level for PSD and title V to a 50,000,
75,000, or 100,000 tpy CO2e level, with
associated PSD GHG significance levels
of equal or lesser magnitude; and we
selected the 100,000/75,000 tpy CO2e
level. Central to our decision to
promulgate higher thresholds than what
we proposed is our recognition, based
on comments and further analysis, that
applying PSD to GHG sources at the
statutory or any other threshold level or
significance level that we have
considered would result in (1) a greater
number of sources, and significantly
greater number of modifications than we
first estimated becoming subject to those
programs; and (2) a greater per-permit
cost than we first estimated to the
permitting authority of processing those
permit actions. We discussed our
revised estimates and reasoning at the
beginning of this section.
We now estimate that the 25,000/
25,000 tpy level would result in 250
additional PSD permit actions for new
construction (either for GHG-only
sources or additions to otherwise
occurring permits) and an additional
9,200 PSD permits for modifications
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each year (compared to our estimate at
proposal of 130 for new construction
and 270 for modifications). This level of
permitting would require an additional
2,815,927 work hours, or 1,400 FTEs
(compared to our estimate at proposal of
112,000 additional work hours, or 57
FTEs); and would cost an additional
$217 million each year (compared to our
estimate at proposal of an additional $8
million). See 74 FR 55331 (proposal).
This $217 million amount represents
approximately a 1,800 percent increase
over current permitting authority annual
cost of $12 million for the major NSR
programs.
For title V, under our final burden
analysis at a 25,000 tpy CO2e threshold,
we estimate a $64 million annual
increase in program costs to permitting
authorities to add GHG emission
sources, which reflects a greater than
100 percent increase over current
program costs of $62 million. We
estimate that this increased burden
would result in the need for almost 700
new FTEs nationwide at permitting
authorities (compared to our estimate at
proposal of 492 additional FTEs, or
about a 50 percent increase in existing
program size). This increase in burden
is due to an estimated annual increase
of 2,500 new title V permits, over 9,500
permit revisions, and over 2,600 permit
renewal actions due to GHG emission
sources. These additional title V actions
compare to current annual program
actions of approximately 50 new title V
permits, 1,394 significant revisions, and
3,267 permit renewals.
Based on this information, we have
decided not to finalize our proposal to
apply a 25,000 tpy CO2e applicability
threshold to GHG sources at the time
that PSD and title V take effect. At that
level, too many sources—many more
than we thought at proposal—would be
subject to high permitting costs. In
addition, permitting at that level and at
that time would not be administratively
feasible. The resulting increase in the
number of PSD and title V permitting
actions and workload would create
insurmountable resource demands for
permitting agencies in the near term,
which would jeopardize the functioning
of these permitting programs. We are
mindful that not only would the
permitting programs have to bear the
costs that our estimates are able to
monetize, but they would also incur
burdens associated with hiring and
training staff to make and implement
GHG BACT determinations, GHG
emissions evaluations, and other
evaluations required under the PSD
program for a wide variety of formerly
unpermitted sources, including
significant numbers and types of small
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manufacturing and commercial or
residential establishments. They would
also incur burdens associated with
reviewing applications, citizen
comment and petitions, and the need to
communicate and provide outreach to
new categories of sources, including,
again, significant numbers and types of
small manufacturing and commercial or
residential sources. Thus, the increased
administrative burdens at the 25,000/
25,000 tpy CO2e levels are so great that
we have concluded that they would not
be consistent with the goals of avoiding
absurd results that contravene
congressional intent, including avoiding
a permitting burden that would
overwhelm the capacity of permitting
authorities to effectively implement
their programs.
Based on our revised burden analysis,
in this final action, we have decided to
establish a multi-step, phase-in
approach that contains a significantly
higher initial threshold level. We have
determined that a 100,000 tpy CO2e
major source threshold level for PSD
and title V purposes, and a 75,000 tpy
CO2e significance level, produce a level
of permitting activity that would
certainly be an increase over current
workload, but that would be
administratively feasible by July 1,
2011. As a result, we have decided to
finalize these thresholds as Step 2.
In reaching this conclusion, we
needed to consider both the sources’
abilities to manage the permitting
process and the permitting authorities’
capacity to address newly-major sources
as expeditiously as possible. As to the
former, sources subject to Step 2 will,
for the most part, continue to include
the ‘‘anyway’’ sources subject to Step 1.
In addition, we estimate that Step 2 will
include about 500 additional sources
that are not already subject to
permitting. Most of them will become
subject to PSD and title V because of
fuel burning. In order to meet the
100,000/75,000 threshold, they will
have to burn a significant quantity of
fuel, and that means they will be a
significant size. In general, these sources
include municipal or commercial
landfills that are large, but not large
enough to be covered by the NSPS, pulp
and paper facilities, electronics
manufacturing plants, chemical
production plants, and beverage
producers. Although these sources have
not been subject to PSD permitting
before, some of them have already been
subject to minor source permitting, and
so will have some familiarity with the
permitting process. In addition, in
general, these sources are in source
categories that have larger sources that
are already subject to PSD and title V.
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As a result, they are in industries that
have experience in the permitting
process. Because of their relatively large
size and access to knowledge about the
permitting processes, we believe these
sources will be able to manage the
permitting requirements.
As to the permitting authorities’
capacity to handle the Step 2 workload,
we note first that our Step 1 approach
does not cover newly-major sources. As
a result, the Step 2 threshold and timing
has to be established in a way that takes
into account permitting authority
challenges in addressing many sources
and categories that would be subject to
major source permitting for the first
time.
We considered the various PSD and
title V threshold applicability and
significance level options in our final
burden analysis, summarized in Table
VI–1, including levels at 50,000 CO2e
and 100,000 CO2e. As Table VI–1
indicates, we estimate that a 100,000 tpy
CO2e major source applicability
threshold would result in approximately
550 sources becoming newly classified
as major sources for PSD based on their
GHG emissions, while a 50,000 tpy
CO2e threshold would result in 3,500
newly classified major sources.
We then considered the impact on
both PSD and title V programs of
different PSD significance level options
for GHGs. The choice of a PSD
significance level has a direct impact on
title V burdens because PSD permit
requirements resulting from
modification activities will result in
required title V permit revisions. We
developed PSD and title V burden
estimates based on significance levels of
50,000 tpy, 75,000 tpy and 100,000 tpy
CO2e, combined with a major source
applicability level of 100,000 tpy CO2e.
At a 50,000 tpy CO2e significance
level, we estimated an annual increase
of approximately 1,800 PSD permitting
actions and almost 2,000 additional title
V permitting actions, as compared to
Step 1. At a 75,000 tpy CO2e
significance level, we estimated an
annual increase of approximately 900
PSD permitting actions and just over
1,000 additional title V permitting
actions as compared to Step 1. At a
100,000 tpy CO2e significance level we
estimated an annual increase of
approximately 25 PSD permitting
actions and 210 additional title V
permitting actions as compared to Step
1. For title V, under these different
scenarios, the major source applicability
level of 100,000 tpy CO2e results in
approximately 200 new permits
annually, but, as noted, the choice of
significance levels affects the number of
required permit revisions.
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Based on this information, we have
decided to set our final Step 2
thresholds at 100,000 tpy CO2e for major
source applicability under PSD and title
V and at a 75,000 tpy CO2e significance
level for PSD. Overall, we estimate that
the almost 900 additional PSD
permitting actions (virtually all of
which would be modifications) per year
at these levels will result in an
approximately $21 million increase
(from Step 1) in states’ annual costs for
running PSD programs. In addition, we
estimate that the 1,000 additional title V
permit actions will cause the total title
V burden for permitting authorities to
increase by $6 million annually from
Step 1. This total increase in permit
program burdens of $27 million
represents a 34 percent increase over the
$78 million in total cost of PSD and title
V programs at Step 1. We consider this
a substantial increase particularly
because Step 2’s start date of July 1,
2011, is only 6 months after Step 1’s
start date of January 2, 2011. What’s
more, Step 1 will entail a substantial
increase in permitting authority
obligations, so that adding the costs of
Step 1 and Step 2 together—$31
million—means that permitting
authorities will be required to increase
their permitting resources by
approximately 42 percent between now
and Step 2. In addition to the
administrative burdens we have been
able to monetize, we must be mindful
that permitting authorities will incur
other burdens, including the significant
support and outreach activities by
permitting staff for the many newly
permitted sources. We believe that any
lower thresholds in this timeframe,
whether in the PSD and title V
applicability levels or in the
significance level, would give rise to
administrative burdens that are not
manageable by the permitting
authorities.
Although the burdens at the 100,000
tpy CO2e/75,000 tpy CO2e levels are
steep, we consider them manageable.
Step 2 permitting for GHGs will mostly
involve source categories in which some
sources have traditionally been subject
to permitting, which should render
applying even the new GHG
requirements more manageable. These
source categories include fossil fuelfired power plants, petroleum refineries,
cement plants, iron and steel plants, and
petroleum refineries, in addition to
other large industrial type source
categories. A full description of the type
of sources that we expect will have GHG
emissions that exceed the 100,000 tpy
CO2e threshold is provided in the
‘‘Technical Support Document for
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Greenhouse Gas Emissions Thresholds
Evaluation’’ located in the public docket
for this rulemaking. In addition, because
Step 2 does not begin until July 1, 2011,
permitting authorities have about 14
months to prepare for it.
In addition, we believe that the
sources that will become subject to PSD
and title V requirements at the 100,000/
75,000 tpy CO2e levels will be able to
accommodate the additional costs of
permitting. For the most part, these
sources will be of a comparable size and
activity level as those sources that are
already subject to those requirements.
Because the administrative burdens at
the 100,000/75,000 tpy CO2e level are as
heavy as the permitting authorities can
reasonably be expected to carry,
adopting these threshold levels is
consistent with our legal basis under the
‘‘absurd results’’ doctrine. Under this
basis, we are reconciling the statutory
levels with congressional intent by
requiring that the PSD and title V
requirements be applied to GHG sources
at levels as close as possible to the
statutory thresholds, and as quickly as
possible, in light of costs to sources and
administrative burdens.
Because the administrative burdens at
the 100,000/75,000 tpy CO2e level are
manageable, we do not believe that
higher threshold levels are justifiable for
Step 2. Specifically, at the 100,000/
100,000 level—which would entail a
100,000 tpy CO2e significance level,
rather than a 75,000 tpy CO2e level—
permitting sources would need to
handle only 20 additional modifications
beyond current levels, and thus would
not incur substantial additional costs.
By the same token, we disagree with
commenters who suggested that we
needed to set permanent GHG
permitting thresholds for major sources
at a rate equivalent to the amount of
GHGs that would be emitted by
conventional pollutants at the 100 and
250 tpy level in order to meet the legal
bases of the ‘‘absurd results’’ and
‘‘administrative necessity’’ doctrines.
These levels would likely be well above
300,000 tpy CO2e, depending on fuel
types and assumptions regarding the
relative emissions of GHGs compared to
the conventional pollutants. Our data
show that none of the levels above
100,000/75,000 tpy CO2e would result
in significant increases in
administrative burdens. As a result,
establishing these levels would not
apply PSD or title V requirements to
GHG sources as quickly as possible, and
thus would not be consistent with our
approach in the Tailoring Rule.
We estimate that facilities meeting the
Step 2 major source applicability
thresholds account for approximately 67
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31571
percent of total national stationary
source GHG emissions. Many
commenters felt that this should be an
important basis for our selection of a
threshold, stating that there is no
significant loss in GHG emissions
coverage of source categories at the
100,000 tpy CO2e threshold, and in
some cases arguing that as a result, we
should set the level even higher. We
agree that it is important that the
coverage in Step 2 represents 86 percent
of the coverage at full implementation of
the statutory 100/250 thresholds.
c. Rationale for EPA’s Plan Beyond Step
2
EPA commits that after Step 2, EPA
will begin another rulemaking in 2011
and complete it by July 1, 2012, and in
that rulemaking take comment on a
further phase-in of GHG sources for PSD
and title V applicability (Step 3).
However, under this rule, in no event
will EPA apply PSD or title V to sources
below the 50,000 tpy CO2e levels prior
to 2016. In addition, EPA commits to
conduct a study, to be concluded by
April 30, 2015, evaluating the status of
PSD and title V applicability to GHG
sources, and, based on the study,
complete a rulemaking by April 30,
2016, that addresses another round of a
phase-in.
(1) Proposal
In our proposal, we noted that
following implementation of the first
phase of PSD and title V applicability to
GHG sources, generally at the 25,000 tpy
CO2e threshold, additional action would
be required over time to assure full
compliance with the statute. We did not
establish more steps in the schedule, but
we did commit to conduct a study, to
be completed by 5 years after
promulgation, evaluating the status of
PSD and title V applicability to GHG
sources, and, based on the study,
complete a rulemaking by 6 years after
promulgation that addressed an
additional step of the phase-in.
(2) Comments
A number of commenters supported
the proposal’s overall approach to phase
in the permitting of GHGs, mainly
because this approach will allow
permitting of the largest sources of
GHGs immediately while collecting
more information about smaller sources
and more fully considering streamlining
options for subsequent phases. Many of
these commenters made clear that they
do not support implementation of the
statutory 100/250 tpy thresholds, even
through a phase-in approach. On the
other hand, one commenter asserted
that EPA has failed to demonstrate that
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it needs 6 years to study and implement
NSR and title V for sources emitting less
than 25,000 tpy. The commenter
contends that EPA has not analyzed,
among other things, what combined
effect the full implementation of its
streamlining proposals in the 15 months
before the due-date for title V permit
applications would be to reduce the
cost, complexity, and number of title V
permit applications that would have to
be submitted.
(3) Rationale for Further Steps
We agree with commenters who
support a phased-in approach to the
Tailoring Rule. Our final action reflects
a multi-step process that we believe will
facilitate a manageable expansion of
PSD and title V applicability, as
appropriate, to GHG-emitting sources. In
our final action, we have established the
initial two steps of a multi-step phasein of lower threshold applicability with
a commitment to take further regulatory
activity to consider adopting lower
thresholds. We believe this process will
provide substantial opportunity for
permitting authorities and sources to
establish enough experience and
information, and to provide significant
real-world feedback to EPA, so as to
better inform decisions on future phasein steps.
With this overall phase-in approach
in mind, in this final rule, EPA includes
an enforceable commitment to
undertake a notice-and-comment
rulemaking that would begin with an
SNPR that we expect to be issued in
2011 and that we commit will be
finalized in 2012. The notice will
propose or solicit comment on further
reductions in the applicability levels.
This rulemaking will take effect by July
1, 2013, and therefore, in effect,
constitute Step 3. In this action, we are
committing to a rulemaking for Step 3,
but are not promulgating Step 3,
because it is important to allow EPA
and the permitting authorities to gain
experience permitting sources under
Steps 1 and 2, and to allow time to
develop streamlining methods, before
attempting to determine what would be
the next phase-in levels for PSD and
title V applicability. While committing
to future action, we do not decide in
this rule when the phase-in process will
ultimately end, or at what threshold
level, because all that depends on
uncertain variables such as our progress
in developing streamlining approaches
and on permitting authorities’ progress
in developing permitting expertise and
acquiring more resources. We may
continue the phase-in process with
further rulemaking(s) after 2016.
Alternatively, we may make a final
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determination through future
rulemaking that, under a Chevron
analysis, accounting for the ‘‘absurd
results’’ doctrine, PSD and/or title V do
not apply to GHG sources that, while
small and relatively inconsequential in
terms of GHG contribution, are above
the statutory tonnage thresholds for
these programs, and thereby end the
phase-in process.
In addition, in this action, we are
determining that in no event—whether
through Step 3 or a subsequent step—
will we apply PSD or title V to sources
at the 50,000/50,000 tpy CO2e level or
lower prior to May 1, 2016. We have
several reasons for making this
determination at this time. Most
importantly, our examination of the
expected burdens to the permitting
authorities of applying PSD and title V
to GHG sources convinces us that
extending the permitting programs to
sources at or below the 50,000/50,000
tpy CO2e level within 6 years of
promulgation would result in
prohibitively heavy burdens. This
threshold option would result in close
to 2,000 additional annual PSD
permitting actions per year over the
current program and more than 1,000
over Step 2, including both new
construction and modifications. For title
V, we estimated an increase of over
1,000 new title V permits (all newly
permitted sources because of GHG
emissions) over 2,000 permit revisions
per year over the current program, and
about 980 new title V permits and 900
permit revisions more than the Step 2
amounts.
These increases, which could occur
between 2013 and 2016 under our
approach depending on the outcome of
the Step 3 rulemaking, represent very
substantial additions to the permitting
program. In terms of cost, we estimate
that these additional actions would
result in a $73 million per year increase
in joint PSD and title V program costs
over the current programs—which is
almost a doubling of costs—and $42
million annual cost increase over Step
2 for the current programs. We believe
that it would take permitting authorities
some time to adjust to this workload.
This is particularly true because at the
50,000/50,000 tpy CO2e level, smaller
sources—including ones not previously
subject to permitting requirements—will
become subject to PSD and title V. It
will take some time for both the
permitting authorities and the sources to
absorb these new obligations.
Importantly, the next lower cut-off—
below 50,000 tpy CO2e for the major
threshold level—is the 25,000/25,000
tpy CO2e level. For the reasons
discussed previously, this level is
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clearly not manageable within the first
6 years after this action. This
applicability level would bring in over
7,000 sources that would be newly
subject to title V permitting and result
in close to 10,000 new PSD permitting
actions. This would result in a 380
percent increase over current program
costs for PSD and title V to run these
programs. Based on comments we
received from state and local permitting
agencies on our proposed Tailoring
Rule, these levels of permitting
activities would far exceed the
administrative capabilities of the
permitting agencies for at least the near
future. Thus, the 6-year exclusion is
necessary to provide these agencies and
their permittees certainty that this will
not occur.
We recognize that at present, we do
not have data that would allow us to
compile administrative burden
estimates for specific levels between the
50,000/50,000 and 25,000/25,000 tpy
CO2e levels we assessed. However, it is
clear that the burdens begin to rise
sharply below the 50,000/50,000 tpy
CO2e level. To reiterate, the combined
PSD and title V administrative burdens
at the 50,000/50,000 tpy CO2e level cost
almost twice as much as the current
programs, but the burdens at the 25,000/
25,000 tpy CO2e level cost almost four
times as much as the current programs.
As a result, we conclude that dropping
the level below 50,000/50,000 tpy CO2e
too soon would quickly expose the
permitting authorities to unacceptably
high burdens.
As a further reason for concluding
that we will not reduce thresholds
beyond 50,000/50,000 tpy CO2e during
the first 6 years, we recognize that the
PSD permitting process in particular
carries important ramifications for the
permitting authorities and the affected
sources. If we have underestimated the
permitting burden or the ability of states
to respond to their additional workload,
then permitting backlogs will result, and
PSD permit issuance will be delayed,
and sources seeking a PSD permit will
not be able to construct or modify. If
this were to happen on a large enough
scale, it could have potentially serious
consequences for the national economy.
Moreover, we need to be mindful that
the best information we currently have
as to permitting authority burdens
represents a national average, as
described previously. Our information
at the individual state and local level,
where permitting occurs, is not as
robust. Accordingly, we recognize that a
particular state may encounter
permitting costs that are higher than
average, and this may result in
permitting backlogs in that state, with
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the consequence that sources in that
state will face long delays in
constructing or modifying. Similarly,
even if a particular state’s costs are in
line with the national average, that state
may not be able to find the additional
resources to cover those costs as readily
as other states. For this reason, too,
sources in that state could face long
delays in constructing or modifying.
Beyond the administrative burdens to
permitting authorities, we recognize that
the costs of PSD and title V permitting
to sources may be high, and we are not
inclined to allow their imposition at this
time on sources smaller than the 50,000/
50,000 tpy CO2e threshold. At that level,
the permitting programs will apply to a
significant number of newly permitted
sources, including a variety of small
manufacturing, commercial and
residential categories. The next level
that we have analyzed is the 25,000/
25,000 tpy CO2e threshold. At that level,
more than 7,000 more sources would
become subject to PSD each year—
almost all due to modifications—and
another 4,000 sources would become
subject to title V each year. These
sources would be even smaller than
those that already will have become
subject to PSD and title V due to their
GHG emissions. We do not think it
reasonable to subject more of those
types of sources, and smaller ones, to
permitting costs within the next 6 years.
Finally, we note that moving from a
50,000 tpy CO2e threshold to 25,000 tpy
CO2e will increase the emissions
coverage of GHG stationary sources from
70 percent to 75 percent nationwide,
which we consider to be a relatively
small amount.
We recognize that our progress in
developing streamlining methods will
be a key determinant to the ability of
permitting authorities to administer,
and sources to comply with, PSD and
title V at GHG emission levels below
50,000/50,000 tpy CO2e. Although we
commit to pursue streamlining, we
cannot predict our progress. This
uncertainty may be problematic for
stakeholders, primarily permitting
authorities and industry. That is,
permitting authorities will face
uncertainty in planning the scope of
their programs over the next few years,
and industry will face uncertainty as to
what new construction projects and
modifications will be subject to PSD for
GHGs. By determining now that for the
next 6 years we will not impose PSD
requirements below a floor at the
50,000/50,000 tpy CO2e level, we add a
measure of needed certainty.
We also recognize that selecting a
level that is too high or keeping a level
for too long means that some sources
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may construct or modify without
implementing BACT level controls, and
this could result in additional emissions
of GHGs. We need to be vigilant and to
protect against this outcome. Even so,
all things considered, we believe that
our determination not to apply the PSD
or title V permitting requirements to
sources below the 50,000/50,000 tpy
CO2e level for the first 6 years also
represents a reasonable balancing of
protection of the environment with
promotion of economic development.
This type of balancing is consistent with
our authority under the PSD provisions.
We also raised the issue of ‘‘hollow’’
or ‘‘empty’’ permits in discussing our
rationale for why it may make sense to
delay title V permitting under our
proposal. We were concerned that many
title V permits for GHG sources would
contain no applicable requirements, and
their issuance would therefore be of
little value and would not be the best
use of scarce resources. Several
commenters agreed that implementing
title V for GHGs will, at least initially,
require ‘‘empty permits’’ to be issued to
GHG sources because such sources will
not be subject to ‘‘substantive’’
requirements, and that this would not
be the best use of scarce resources.
We believe that the amount of
resources that would be spent on, and
the limited value that would result
from, ‘‘empty permits’’ does warrant
consideration under the Chevron
analysis, taking account of the ‘‘absurd
results’’ doctrine. Therefore, we intend
to consider the role of ‘‘empty permits’’
when we undertake future rulemaking.
However, we believe the issue of ‘‘empty
permits’’ has limited or no relevance to
the first two steps of the phase-in that
we are promulgating in this rule. During
Step 1, permitting for GHGs is only
required if the source is otherwise
subject to permitting for its emissions of
non-GHGs. Those sources very likely
will be subject to existing substantive
applicable requirements for non-GHGs
(e.g., NSPS, Maximum Achievable
Control Technology (MACT), and SIP
requirements, including PSD). Thus,
there should be no, or at least no
additional, ‘‘empty permits’’ during Step
1. For Step 2, it is possible that sources
that become subject to title V
requirements for GHG emissions may
not be subject to other requirements, but
our assessment suggests that this is very
unlikely. We estimate that virtually all
of the 550 newly-major sources in Step
2 will be subject to applicable
requirements under the CAA because
they are from categories that have been
traditionally subject to regulations, such
as smaller industrial sources from
already regulated categories, large
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31573
landfills, and oil/gas/coal production.
Even the approximately 50 newlysubject commercial sources in Step 2,
which we estimate to be comprised of
very large hospitals, are likely to be
covered by standards for medical waste
incinerators. In addition, we expect
these sources may well be subject to SIP
requirements. Thus, we do not expect
any, or at most very few ‘‘empty
permits’’ during Step 2.
In later stages of implementation (e.g.,
prospective Step 3) or in the event that
we permit smaller, non-traditional
sources of GHGs that have never
otherwise been subject to major source
permitting, there would be a greater
potential for ‘‘empty permits’’ to be
issued under title V. Cognizant of this,
we intend to further explore in the
rulemaking for Step 3 ‘‘empty permit’’
theories under the ‘‘absurd results’’
rationale that may serve to permanently
narrow the scope of title V to exclude
sources that would potentially be
required to obtain an ‘‘empty permit’’
due to GHG emissions.
In this action, EPA is also finalizing
its proposal to commit to conduct an
assessment of the threshold levels—to
be completed in 2015, 5 years after this
action—that will examine the
permitting authorities’ progress in
implementing the PSD and title V
programs for GHG sources as well as
EPA’s and the permitting authorities’
progress in developing streamlining
methods. We further commit to
undertake another round of
rulemaking—beginning after the
assessment is done, and to be completed
by April 30, 2016—to address smaller
sources.
We disagree with the commenter who
asserted that we do not need 6 years to
study and implement PSD and title V
for smaller sources. As we discussed in
the proposal, and reiterate in this final
action, we do not have sufficient
information at this time to determine
the applicability and effectiveness of the
various permitting streamlining
techniques. For reasons discussed in
more detail in section V.E.1 regarding
streamlining, we are not now able to
determine how such techniques will be
implemented or whether they will prove
viable or effective. We agree with the
commenter that these measures may
reduce the scope, cost, and complexity
of these programs, but there is
considerable uncertainty as to the extent
of this effect. We do commit in this
action to fully investigate, propose, and
evaluate permit streamlining techniques
to determine where they may have
applications, how they would be
applied, and whether they can
withstand legal challenge. Even for
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we have seen. These comments would
have been relevant only to the proposed
findings and LDVR, and we are not, in
this rulemaking, revisiting or reopening
the findings or the LDVR.48
Commenters claim that if EPA
promulgates the LDVR, the ‘‘absurd
results’’ doctrine will no longer apply to
the Tailoring Rule because it will have
been EPA’s own action—promulgation
of the LDVR—that gives rise to the
‘‘absurd results’’. We disagree for several
reasons. For one thing, commenters
have not cited case law, and our
research has disclosed none, in which a
court specifically addressed a similar
situation and issued a holding along the
lines of what commenters urge.
Moreover, commenters’ approach would
be punitive because the absurd results
would occur absent this rule going final.
Such an outcome would be counter to
the purpose of the doctrine. That is, it
d. Other Comments on ‘‘Absurd Results’’ would mean that PSD and title V would
apply to GHG sources by their terms—
Doctrine
at the statutory levels, as of January 2,
We received other comments on our
2011—with all the adverse
application of the ‘‘absurd results’’
consequences described elsewhere.
doctrine, which we respond to in the
In any event, and although we are not
RTC document. One comment was
obligated to respond to these comments
overarching, and so we respond to it
on the merits, they are incorrect on the
here: Commenters have asserted that
merits, for the reasons that follow. This
under the ‘‘absurd results’’ doctrine, EPA
discussion should not be viewed as
does not have authority to, or at least
reopening the endangerment/cause or
should not, promulgate the
contribute findings or the LDVR
endangerment/cause or contribute
because, as stated previously, we are not
findings (which we will sometimes refer
reconsidering or reopening those two
to as the ‘‘findings’’) or the LDVR
actions in this rule.
because doing so would trigger the PSD
In determining and implementing
and title V requirements, which in turn
congressional intent, it is important that
would give rise to ‘‘absurd results’’.
the statutory provisions at issue be
According to commenters, under the
‘‘absurd results’’ case law, EPA is obliged considered together—(1) The obligation
to make a determination on
to avoid taking any action that would
endangerment and contribution under
trigger absurd results and in this case
that means foregoing the endangerment/ CAA section 202(a); (2) if affirmative
endangerment/cause or contribute
cause or contribute findings and/or the
findings are made, the obligation to
LDVR, or at least deferring finalizing
promulgate standards applicable to the
them until EPA has time to streamline
emission of any air pollutant from new
PSD and title V requirements so as to
motor vehicles or new motor vehicle
avoid ‘‘absurd results’’. Commenters
engines under CAA section 202(a); and
made the related comment that if we
(3) the PSD and title V applicability
promulgate the LDVR, and thereby
provisions. The most appropriate
trigger PSD, we cannot rely on the
reading, and certainly a reasonable
‘‘absurd results’’ doctrine because it is
reading, is that we are required to take
our own actions—the promulgation of
the action we have taken, and are taking
the LDVR—that will have given rise to
with this rule, and that is to issue the
the ‘‘absurd results,’’ and under those
findings, promulgate the LDVR, and
circumstances, the doctrine is not
promulgate the Tailoring Rule. Our
available.
approach gives effect to as much of
The comments that EPA had no
Congress’s intent for each of these
authority to promulgate, or should not
provisions, and the CAA as a whole, as
have promulgated, the endangerment/
possible.
cause or contribute findings or the
LDVR at the times that EPA did are not
48 EPA does have pending before it ten petitions
relevant to this rule, the Tailoring Rule.
to reconsider the endangerment and cause or
EPA has already promulgated the
contribute findings. EPA is carefully evaluating
findings and the LDVR, and the LDVR
those petitions and expects to issue its decision(s)
triggers PSD and title V applicability, as on or about July 30, 2010.
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those techniques that may ultimately be
deemed viable, there is a significant
time period necessary for rulemaking
and state adoption, all of which could
take up to 3 years or more. We also note
that we will be required to complete our
study of the effectiveness of these
techniques within 5 years, meaning that,
in order to complete it in time, we will
essentially need to begin the study as
soon as relevant data are starting to
become available. Finally, the sixth
year, in which EPA must complete
rulemaking, requires proposal and
promulgation of a rule within 1 year,
which is an ambitious schedule.
Therefore we believe that 6 years is
appropriate for this type of effort. We
also have received a substantial number
of comments from permitting authorities
that agreed with our 5-year timeframe,
or a greater timeframe, to get more
prepared for permitting smaller sources.
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With respect to the endangerment/
cause or contribute findings under CAA
section 202(a), congressional intent is
clear that, as we stated in making the
findings and the Supreme Court held in
Massachusetts v. EPA, we are precluded
from considering factors other than the
science based factors relevant to
determining the health and welfare
effects of the air pollution in question.
Accordingly, EPA determined that
under Massachusetts v. EPA, 549 U.S.
497 (2007) we were precluded from
deferring or foregoing the findings due
to concern over impacts on stationary
sources affected by PSD or title V
requirements. See 74 FR at 66496,
66500–01 (‘‘Taken as a whole, the
Supreme Court’s decision clearly
indicates that policy reasons do not
justify the Administrator avoiding
taking further action on the questions
here.’’); see also Massachusetts v. EPA,
549 U.S. at 533; see also 74 FR at
66515–16 (December 9, 2009). (The
Administrator ‘‘must base her decision
about endangerment on the science, and
not on the policy considerations about
the repercussions or impact of such a
finding).49 Moreover, as EPA also noted,
‘‘EPA has the ability to fashion a
reasonable and common-sense approach
to address greenhouse gas emissions
and climate change.’’ 74 FR at 66516.
Regarding the timing of the LDVR,
Congress’s intent was that
endangerment/cause or contribute
findings under section 202(a) would in
fact lead to control of the air pollutants
from new motor vehicles and new motor
vehicle engines contributing to the
harm. The primary goal of section 202(a)
is to achieve such reductions by
requiring that EPA adopt emissions
standards, and as a result, proceeding
with the LDVR is consistent with that
goal. In contrast, deferring the LDVR
and thereby delaying achievement of the
public health and welfare benefits
Congress expected and required under
section 202(a) would run directly
counter to what Congress intended
under section 202(a)—EPA issuing
emissions standards to address the
public health and welfare problems that
were identified, not EPA refusing to do
so.
Moreover, we have compelling
reasons to proceed with the LDVR, in
the manner that we did. As we stated in
the LDVR, in response to similar
comments that we were not obligated to
49 Note, that at least one petition for
reconsideration on the endangerment/contribution
findings raises the same arguments related to the
timing of decisions and absurd results. As noted
before, EPA is carefully evaluating all the pending
petitions for reconsideration.
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conduct that rulemaking, or to conduct
it at the time that we did:
Some of the comments relating to the
stationary source permitting issues suggested
that EPA should defer setting GHG standards
for new motor vehicles to avoid * * *
[adverse] stationary source permitting
impacts. EPA is issuing these final GHG
standards for light-duty vehicles as part of its
efforts to expeditiously respond to the
Supreme Court’s nearly three year old ruling
in Massachusetts v. EPA, 549 U.S. 497
(2007). In that case, the Court held that
greenhouse gases fit within the definition of
air pollutant in the Clean Air Act, and that
EPA is therefore compelled to respond to the
rulemaking petition under section 202(a) by
determining whether or not emissions from
new motor vehicles cause or contribute to air
pollution which may reasonably be
anticipated to endanger public health or
welfare, or whether the science is too
uncertain to make a reasoned decision. The
Court further ruled that, in making these
decisions, the EPA Administrator is required
to follow the language of section 202(a) of the
CAA. The Court stated that under section
202(a), ‘‘[i]f EPA makes [the endangerment
and cause or contribute findings], the Clean
Air Act requires the agency to regulate
emissions of the deleterious pollutant.’’ 549
U.S. at 534. As discussed above, EPA has
made the two findings on contribution and
endangerment. 74 FR 66496 (December 15,
2009). Thus, EPA is required to issue
standards applicable to emissions of this air
pollutant from new motor vehicles.
The Court properly noted that EPA
retained ‘‘significant latitude’’ as to the
‘‘timing * * * and coordination of its
regulations with those of other agencies’’
(id.). However it has now been nearly three
years since the Court issued its opinion, and
the time for delay has passed. In the absence
of these final standards, there would be three
separate federal and state regimes
independently regulating light-duty vehicles
to increase fuel economy and reduce GHG
emissions: NHTSA’s CAFE standards, EPA’s
GHG standards, and the GHG standards
applicable in California and other states
adopting the California standards. This joint
EPA–NHTSA program will allow automakers
to meet all of these requirements with a
single national fleet because California has
indicated that it will accept compliance with
EPA’s GHG standards as compliance with
California’s GHG standards. 74 FR at 49460.
California has not indicated that it would
accept NHTSA’s CAFE standards by
themselves. Without EPA’s vehicle GHG
standards, the states will not offer the federal
program as an alternative compliance option
to automakers and the benefits of a
harmonized national program will be lost.
California and several other states have
expressed strong concern that, without
comparable federal vehicle GHG standards,
the states will not offer the federal program
as an alternative compliance option to
automakers. Letter dated February 23, 2010
from Commissioners of California, Maine,
New Mexico, Oregon and Washington to
Senators Harry Reid and Mitch McConnell
(Docket EPA–HQ–OAR–2009–0472–11400).
The automobile industry also strongly
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supports issuance of these rules to allow
implementation of the national program and
avoid ‘‘a myriad of problems for the auto
industry in terms of product planning,
vehicle distribution, adverse economic
impacts and, most importantly, adverse
consequences for their dealers and
customers.’’ Letter dated March 17, 2010 from
Alliance of Automobile Manufacturers to
Senators Harry Reid and Mitch McConnell,
and Representatives Nancy Pelosi and John
Boehner (Docket EPA–HQ–OAR–2009–0472–
11368). Thus, without EPA’s GHG standards
as part of a federal harmonized program,
important GHG reductions as well as benefits
to the automakers and to consumers would
be lost.165 In addition, delaying the rule
would impose significant burdens and
uncertainty on automakers, who are already
well into planning for production of MY
2012 vehicles, relying on the ability to
produce a single national fleet. Delaying the
issuance of this final rule would very
seriously disrupt the industry’s plans.
Instead of delaying the LDV rule and losing
the benefits of this rule and the harmonized
national program, EPA is directly addressing
concerns about stationary source permitting
in other actions that EPA is taking with
regard to such permitting. That is the proper
approach to address the issue of stationary
source permitting, as compared to delaying
the issuance of this rule for some undefined,
indefinite time period.
75 FR 25,402 cols. 1–3 (May 7, 2010)
(footnote omitted).
With respect to both the
endangerment/cause or contribute
findings and the LDVR, it would require
speculation and conjecture to defer—or,
certainly, to forego altogether—the
findings or LDVR until EPA completed
streamlining the PSD and title V
requirements on grounds that doing so
would allow full compliance in the
future with all PSD and title V statutory
provisions. That is the gist of
commenters’ argument—that EPA
should defer or forego issuance of the
findings and the LDVR to avoid causing
an absurd result from implementation of
the separate PSD and title V programs.
Underlying this claim is the assumption
that this would allow EPA to avoid the
‘‘absurd results’’. As we discuss
elsewhere in this rulemaking, there is
no basis at this point to determine that
streamlining will ultimately allow full
compliance with the PSD and title V
requirements. Rather, it is possible that
EPA may conclude that none of the
available streamlining techniques will
allow all GHG sources at the statutory
thresholds to comply with PSD and title
V requirements in a manner that does
not impose undue costs on the sources
or undue administrative burdens on the
permitting authorities. Under these
circumstances, EPA may then
permanently exclude GHG source
categories from PSD or title V
applicability under the absurd results
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doctrine. Moreover, it may well take
many years before EPA is in a position
to come to a conclusion about the extent
to which streamlining will be effective
and therefore be able to come to a
conclusion as to whether any source
categories should be permanently
excluded from PSD or title V
applicability. In our rulemaking today,
we describe what actions we expect to
take in the first 6 years after PSD and
title V are triggered for GHG sources,
and we may well be in a situation in
which we continue to evaluate
streamlining measures and PSD and title
V applicability to GHG sources after this
6-year period.
Accordingly, deferring the
endangerment/cause or contribute
findings and LDVR until such time that
PSD and title V streamlining would
allow full implementation of these
programs at the statutory limits would
serve only to delay the benefits of the
LDVR, as well as the benefits that come
from phasing in implementation of the
PSD program to cover larger sources
first. It would rely on an assumption
that is unfounded at this point, that is,
that such full compliance will be
required at some point in the future.
Delaying the emissions benefits of the
LDVR and the related emissions benefits
from partial implementation of the PSD
program fails to implement Congress’
intent that the endangerment/cause or
contribute findings ‘‘shall’’ lead to
emissions standards for new motor
vehicles contributing to the
endangerment, and related emissions
controls for the same air pollutant under
the PSD program. EPA need not
determine at this time what approach
would be appropriate if there was a
determination that full compliance with
PSD and title V would in fact occur at
some point in the future. In this case,
absent such a determination, it would
be improper to rely on speculation of
such a future possibility as a basis under
section 202(a) to defer or forego
issuance of the LDVR on the grounds
that EPA should defer or forego the
LDVR to avoid causing an absurd result.
Likewise there is no basis to defer
proceeding at this time with the
streamlining of the PSD and title V
programs.
With respect to the PSD and title V
applicability requirements, as we
discuss elsewhere, we believe that
Congress expressed a clear intent to
apply PSD and title V to GHG sources
and that the phase-in approach
incorporated in the Tailoring Rule is
fully appropriate. Proceeding now with
the endangerment/contribution findings
and LDVR, even if phasing-in of the PSD
and title V programs is required, is
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consistent with our interpretation of the
PSD and title V applicability
requirements. Delaying the
endangerment/contribution findings or
LDVR, and thereby delaying the
triggering of PSD and title V
requirements for GHG sources, would
lead to the loss of a practicable
opportunity to implement the PSD and
title V requirements in important part,
and thereby lead to the loss of important
benefits. As discussed elsewhere,
promulgating the LDVR and applying
the PSD and title V requirements to the
largest GHG sources, as we do in this
Tailoring Rule, is practicable because
the sources that would be affected by
the initial implementation steps we
promulgate in this rule are able to bear
the costs and the permitting authorities
are able to bear the associated
administrative burdens. Promulgating
the LDVR now provides important
advantages because the sources that
would be affected by the initial steps are
responsible for most of the GHG
emissions from stationary sources.
It should also be noted that as
discussed elsewhere in this rulemaking,
our ability to develop appropriate
streamlining techniques for PSD and
title V requirements is best done within
the context of actual implementation of
the permitting programs, and not in
isolation of them. That is, because the
great majority of GHG sources have not
been subject to PSD and title V
requirements, we will need to rely on
the early experience in implementing
the permitting requirements for the very
large sources that initially will be
subject to those requirements in order to
develop streamlining techniques for
smaller sources. It is the real world
experience gained from this initial
phase that will allow EPA to develop
any further modifications that might be
necessary. This would not and could
not occur if the LDVR were delayed
indefinitely or permanently, so that PSD
and title V requirements were not
triggered. It is unrealistic to expect that
delaying action until a future tailoring
rule could resolve all of the problems
identified in this rulemaking, absent any
real world implementation experience.
At its core, commenters’ argument is
that EPA should delay (if not forego
altogether) doing anything to address
GHG emissions and the problems they
cause until it can do so in a way that
does not cause any implementation
challenges, even if that delay results in
continued endangerment to public
health and welfare. EPA does not take
such a myopic view of its duties and
responsibilities under the CAA.
Congress wrote the CAA to, among other
things, promote the public health and
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welfare and the productive capacity of
the population. CAA § 101(b)(1). EPA’s
path forward does just this. Thus,
proceeding with the endangerment/
cause or contribute findings, the LDVR,
and with PSD and title V through the
phase-in approach of the Tailoring Rule
maximizes the ability of EPA to achieve
the Congressional goals underlying
sections 202(a) and the PSD and title V
provisions, and the overarching CAA
goal of protecting public health and
welfare. Congress called for EPA (1) To
determine whether emissions from new
motor vehicles contribute to air
pollution that endangers, (2) if that the
determination is affirmative, to issue
emissions standards for new motor
vehicles to address the endangerment,
and (3) to implement the PSD and Title
V program to address similar emissions
in their permitting program as another
tool to address the air pollutant at issue.
Delaying both the LDVR and PSD/title V
implementation, as commenters have
called for, would run directly counter to
these Congressional expectations.
Commenters’ calls for deferral or
foregoing of the findings or LDVR are
generally phrased in a conclusory
fashion, and do not demonstrate how
EPA could take the required CAA
actions concerning GHGs while
remaining within the requirements of
each of the various CAA provisions, and
achieving the overall goals of the CAA.
As such the comments do not provide
a valid basis for the deferral of agency
action they suggest.
9. ‘‘Administrative Necessity’’ Basis for
PSD and Title V Requirements in
Tailoring Rule
EPA believes that the ‘‘administrative
necessity’’ doctrine, within the Chevron
framework, also justifies this
rulemaking. Applying the applicability
requirements of the PSD and title V
programs according to a literal reading
of their terms (as EPA has narrowed
them in the past through interpretation)
to GHG sources beginning on the
January 2, 2011 date that regulation of
GHGs takes effect would sweep so many
sources into those programs as to render
the programs impossible for the
permitting authorities to administer.
Although streamlining the PSD and title
V programs offers some promise to
improve the administrability of the
programs, given the time needed to
implement such streamlining, the stepby-step expansion of PSD and title V
requirements to GHG sources that we
are promulgating is the most that the
permitting authorities can reasonably be
expected to administer.
This section discusses the application
of the ‘‘administrative necessity’’
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doctrine. Our views concerning this
doctrine remain similar to what we said
at proposal, except that in this
rulemaking we place the doctrine more
clearly in the Chevron analytical
framework, we revise our assessment of
the administrative burdens due to new
analysis we have conducted and
information we have received since
proposal, and we make certain revisions
to the tailoring approach.50 This
analysis and information, as well as the
revisions to the tailoring approach, have
already been presented previously, in
the discussion of the ‘‘absurd results’’
basis. In addition, it is not necessary to
reiterate the lengthy discussion of the
‘‘administrative necessity’’ doctrine that
we included in the proposal or the
factual data presented previously; as a
result, this section briefly highlights the
conclusions we have reached about the
application of this doctrine.
As noted previously, under the PSD
and title V applicability provision—read
literally, as we have long interpreted
them—EPA’s recent promulgation of the
LDVR will trigger the applicability of
PSD and title V for GHG sources at the
100/250 tpy and 100 tpy threshold
levels, respectively, as of January 2,
2011. This is because PSD applicability
hinges on the definition of ‘‘major
emitting facility’’ and title V
applicability hinges on the definition of
‘‘major sources,’’ and those terms, read
literally, and under EPA’s long-standing
narrowing interpretation, apply PSD
and title V, respectively, to sources of
any air pollutant that is subject to
regulation under another provision of
the CAA. EPA’s promulgation of the
LDVR means that GHGs will become
subject to regulation on the date that the
rule takes effect, which will be January
2, 2011.
Absent tailoring, the January 2, 2011
trigger date for GHG PSD applicability
will give rise to an extraordinarily large
number of PSD permitting actions—we
estimate more than 81,000 per year—
representing an increase of almost 300fold over the current 280 PSD
permitting actions each year. In
addition, over 6 million sources will
become subject to title V, an increase of
50 In addition, we base our reliance on the
‘‘administrative necessity’’ doctrine on the
administrative burdens to the permitting authorities
of permitting smaller GHG sources, but not on the
relatively small amount of GHG emissions
associated with the smaller sources. See Alabama
Power v. Costle, 636 F.2d 323, 357 (DC Cir. 1980)
(establishing the ‘‘administrative necessity’’ doctrine
as ‘‘inherent in the administrative process’’ and
presumptively available under the statutory
scheme, absent clear congressional intent to the
contrary; but adding that in contrast, ‘‘there exists
no general administrative power to create
exemptions to statutory requirements based upon
the agency’s perceptions of costs and benefits’’).
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more than 400-fold over the 14,700
sources that currently are subject to title
V. The permitting authorities will find
it impossible to administer programs of
these sizes as of that date.
All this results from a literal
application of the PSD and title V
applicability provisions to GHG sources.
However, under Chevron, we must
interpret and apply statutory
requirements on the basis of
congressional intent. Although the
literal meaning of the statutory
provisions is the first and generally the
best indicator of congressional intent,
there are cases in which that is not so.
As discussed previously, we believe that
as a general matter, statutory directives
should be considered to incorporate
Congress’s intent that they be
administrable, and we believe that this
proposition is implicit in the
‘‘administrative necessity’’ doctrine that
the DC Circuit has established and that
we believe applies here. See Alabama
Power v. Costle, 636 F.2d 323, 356–57
(DC Cir. 1980). This doctrine authorizes
EPA to undertake a process for
rendering the PSD and title V
requirements administrable. Indeed, the
Court in Alabama Power established
this doctrine specifically in the context
of the PSD provisions, including, in
particular, the modification provision.
As noted elsewhere, the Court held that
EPA may ‘‘consider the administrative
burden’’ associated with applying PSD
for emissions increases, and establish
significance levels designed to avoid
‘‘severe administrative burdens on EPA,
as well as severe economic burdens’’ on
sources. Id. at 405.
As we said in the proposal, we read
the case law to establish a three-step
approach for implementing the
‘‘administrative necessity’’ doctrine: An
agency is not required to adhere to
literal statutory requirements if the
agency, as the first step, makes every
effort to adjust the requirements within
the statutory constraints, but concludes
with justification—at the second step—
that it would be impossible to comply
with the literal reading of the statute.
Under those circumstances, the agency
may—at the third step—develop what is
in effect a compliance schedule with the
statutory requirements, under which the
agency will implement the statute as
much as administratively possible and
as quickly as administratively possible.
See 74 FR 55315—55316.
a. First Step of the ‘‘Administrative
Necessity’’ Analysis: Streamlining
In the proposed rulemaking, EPA
discussed at length the prospect of
streamlining both PSD and title V. EPA
described ‘‘several potentially useful
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tools available in the streamlining
toolbox for the PSD permitting
threshold level, the PSD significance
level, and the title V permitting
threshold,’’ specifically:
For the PSD permitting threshold level and
significance level, there are at least three
such tools: The first is interpreting the
definition of ‘‘potential to emit’’ so that the
amount of a source’s emissions that counts in
determining whether it qualifies as a major
source and therefore is above the permitting
threshold requirements is closer to the
amount of its emissions when it is in actual
operation, rather than the amount of
emissions that the source would emit if it
were operating continuously. Narrowing the
definition of PTE is a potentially extremely
important tool in this context because
identifying the amount of a source’s
emissions as closer to its actual emissions in
this manner would mean that very large
numbers of residential and commercial
sources would have significantly lower
emissions and would fall below the statutory
threshold requirements for triggering PSD.
Second, EPA believes it may be able to
develop programs involving general permits,
under which large numbers of similarly
situated sources would each be covered by
essentially the same permit established
through a regulatory action by the permitting
authority. This approach could achieve
economies of scale and thereby reduce
administrative burden. Third, EPA believes it
may be able to streamline the single most
time-consuming element of the PSD permit
program, which is the determination of
BACT as required under CAA § 165(a)(4), by
establishing presumptive BACT levels for
certain source categories that comprise large
numbers of sources. As for title V, as
discussed below in detail, EPA believes that
defining ‘‘potential to emit’’ to reflect more
closely a source’s actual operation and
developing a program of general permits
could streamline the administration of title V
permits.
74 FR 55315 col. 2–3.
At proposal we stated that we would,
and we still commit to, vigorously
pursue development of these
streamlining measures, and, as
indicated in our discussion of
streamlining methods in section V.E.1
and in response to comments, we have
already begun developing those
measures. For example, as described
elsewhere, we have done much work—
both with stakeholders and in-house—to
begin to develop recommendations for
what controls would qualify as BACT
for various industries. This work is
important as a foundation for
developing presumptive BACT, which
is a potentially efficient streamlining
measure.
However, it is not possible for us or
the state and local permitting authorities
to develop and implement streamlining
techniques by the time that PSD and
title V are triggered for sources emitting
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GHGs—January 2, 2011—or shortly
thereafter. Developing streamlining
methods would entail acquiring more
information about the affected industry,
may entail rulemaking, and would
likely entail some type of public review
of proposals for streamlining even if not
done through rulemaking. As discussed
in section V.E, we do not expect that we
could complete all those steps for
meaningful streamlining measures
within 2 years.
b. Second Step of the ‘‘Administrative
Necessity’’ Analysis: Demonstration of
Administrative Impossibility
With no streamlining measures
available at the time that PSD and title
V would apply to sources of GHGs or
shortly thereafter, under the second step
of the ‘‘administrative necessity’’
analysis, we must determine whether
implementation of the statutory
requirements at that time would be
administratively impossible for the
permitting authorities. We are mindful
that the DC Circuit has cautioned that
this showing is a high hurdle. See 74 FR
55317.
Even so, we believe there is no
question that a literal application of the
PSD and title V programs to GHG
sources as of January 2, 2011 would be
flatly impossible for the state and local
permitting authorities to administer for
at least an initial period of time.51 The
key facts have been recounted
previously, and no more than a brief
recitation is necessary here. On the PSD
side, annual permit applications would
increase by over 300-fold, from 280 to
almost 82,000; costs to the permitting
authorities would increase more than
100-fold, from $12 million to $1.5
billion; and the permitting authorities
would need to hire, train, and manage
9,772 FTEs. For title V, total permit
applications would increase by over
400-fold, from 14,700 to 6.1 million;
costs to the permitting authorities
would increase from $62 million to $21
billion; and the permitting authorities
would need to hire, train, and manage
229,118 FTEs.
We have elaborated upon these
burdens elsewhere in this notice. They
bespeak an impossible administrative
task. It is not hyperbole to say that if
these administrative responsibilities are
not considered impossible within the
51 We recognize that in a few states, we are the
permitting authority. We do not think that this
changes the calculation of administrative burdens.
We do not believe that we could reasonably be
expected to adjust our budget to accommodate the
large new permitting burdens, and even if we could,
the administrative burdens would remain in most
of the rest of the nation where it is the state or local
agencies that bear permitting responsibility.
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meaning of the ‘‘administrative
necessity’’ doctrine, then it is difficult to
imagine what would be considered
impossible.
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c. Third Step of the ‘‘Administrative
Necessity’’ Analysis: Tailoring
Under the third step of the
‘‘administrative necessity’’ analysis, we
must demonstrate that the steps we
intend to take towards implementation
of the statutory requirements are the
most that can be done during the
indicated time frames, in light of
administrative resources. In this
manner, we adhere most closely to the
statutory requirements. See 74 FR
55318. This amounts to establishing a
schedule for phasing in PSD and title V
applicability to GHG sources. Because
this step is based on the administrative
resources of the permitting authorities,
our analysis is similar, and leads to the
same conclusions, as we described
previously concerning the ‘‘absurd
results’’ basis. That is, we believe that
our tailoring approach—including Step
1, to be implemented as of January 2,
2011; Step 2, to be implemented as of
July 1, 2011; the additional rulemaking
that we commit to finalize by July 1,
2012, and that will address further
threshold reductions as a Step 3; the
study and subsequent rulemaking to
address smaller sources by April 30,
2016; and the determination not to
lower the threshold below 50,000/
50,000 tpy CO2e before April 30, 2016
at the earliest—is the most that we can
do to expand the PSD and title V
programs, based on administrative
resources and the information we
currently have about the prospects for
streamlining and increasing permitting
resources.
As noted previously, at some point in
the process of additional rulemaking,
we may conclude under the ‘‘absurd
results’’ doctrine that we will not apply
PSD or title V to GHG sources below a
certain size level. The same conclusion
may be supportable under the
‘‘administrative necessity’’ doctrine if we
decide, based on the information
available to us, that even with all of the
streamlining that we are able to
accomplish and even with a significant
expansion of permitting resources, it
may not be administratively feasible to
implement PSD or title V to sources
below that level. See Alabama Power v.
Costle, 636 F.2d at 358 (acknowledging,
in discussing the ‘‘administrative
necessity’’ doctrine, that ‘‘[c]ategorical
exemptions from the clear commands of
a regulatory statute [are] sometimes
permitted,’’ although emphasizing that
such exemptions ‘‘are not favored’’).
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In addition, as noted above, in a
subsequent rulemaking, we may
conclude that title V should not apply
to GHG sources with ‘‘empty permits,’’
under the ‘‘absurd results’’ doctrine. The
basis for this conclusion could be a
determination that (1) although the
applicability provisions apply by their
terms to sources on the basis of their
emissions, and without regard to
whether the sources would hold ‘‘empty
permits,’’ those provisions cannot be
read literally under the ‘‘absurd results’’
doctrine; and (2) it is not clear whether
Congress intended that title V apply to
such sources, and EPA has reasonably
determined, under Chevron Step 2, that
title V does not. If we come to that
conclusion, then, at that point in time,
the ‘‘administrative necessity’’ doctrine
would remain relevant for title V
purposes only if it is necessary, for
administrative reasons, to phase in the
application of title V to GHG sources
that have applicable requirements, and
that therefore do not have ‘‘empty
permits.’’ This is because the
‘‘administrative necessity’’ doctrine is
relevant only when a statutory directive,
read literally, imposes impossible
administrative obligations, and Congress
may be presumed to have intended that
the directive be administrable. The
‘‘administrative necessity’’ doctrine
would not come into play if it is
concluded either that under the ‘‘absurd
results’’ doctrine Congress did not
intend the statutory directive or that,
under that doctrine, Congress’s intent
was not clear and EPA reasonably
decided that the directive does not
apply.
FCC, 740 F.2d 1190, 1210 (DC Cir. 1984)
(‘‘National Association of
Broadcasters’’), incremental agency
action is most readily justifiable ‘‘against
a shifting background in which facts,
predictions, and policies are in flux and
in which an agency would be paralyzed
if all the necessary answers had to be in
before any action at all could be taken.’’
Those circumstances are present here,
and so is that fact that the task at hand
is extraordinarily demanding. As
discussed previously, EPA and the
permitting authorities’ progress in
implementing the PSD and title V
programs for GHG sources will depend
in large measure on the development of
streamlining measures and increases in
permitting authorities’ resources, and
those things carry some uncertainty and
in any event, under the best of
circumstances, cannot have much
impact for at least several years. It will
take EPA that long to develop
streamlining measures, and it will take
permitting authorities that long to begin
to raise money and hire and train FTEs.
Second, as the Court stated in
National Association of Broadcasters,
‘‘the agency [should] ma[k]e some
estimation, based upon evolving
economic and technological conditions,
as to the nature and magnitude of the
problem it will have to confront when
it comes to [undertake the remaining
steps]’’ and that estimation must be
‘‘plausible and flow from the factual
record compiled.’’ Id. at 1210. Here, EPA
has done this by estimating the number
of PSD and title V permits and the costs
of issuing them, and has provided as
much information as possible about the
development of streamlining methods
10. ‘‘One-Step-at-a-Time’’ Basis for
and permitting authority resources.
Tailoring Rule
Third, again as the Court stated in
In addition to the ‘‘absurd results’’ and National Association of Broadcasters, it
‘‘administrative necessity’’ doctrines, the must be ‘‘reasonable, in the context of
‘‘one-step-at-a-time’’ judicial doctrine,
the decisions made in the proceeding
within the Chevron framework, supports under review, for the agency to have
EPA’s Tailoring Rule. The case law
deferred the issue to the future. With
under this doctrine, described
respect to that question, postponement
previously, indicates that the doctrine
will be most easily justified when an
justifies an agency’s step-by-step
agency acts against a background of
approach under the following
rapid technical and social change and
circumstances or conditions: (1) The
when the agency’s initial decision as a
agency’s ability to comply with a
practical matter is reversible should the
statutory directive depends on facts,
future proceedings yield drastically
policies, or future events that are
unexpected results.’’ Id. at 1211. Here,
our tailoring approach is reasonable in
uncertain; (2) the agency has estimated
light of changes in permitting authority
the extent of its remaining obligation;
capacity that may occur with the
(3) the agency’s incremental actions are
development of streamlining methods
structured in a manner that is
and increased resources. In addition, the
reasonable in light of the uncertainties;
first two steps that EPA promulgates
and (4) the agency is on track to full
today are reasonable initial steps that
compliance with the statutory
we expect to build on by lowering
requirements. EPA’s Tailoring Rule
thresholds, as appropriate, in the future.
fulfills each of those four.
We have no reason to suspect that we
First, as the DC Circuit stated in
may need to reverse either of the first
National Association of Broadcaster v.
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two steps. Having received and
analyzed extensive comment on the
number of permitting actions to expect
and on permitting authority resources,
we consider it unlikely that we would
need to establish a higher threshold
level than what we have established in
Steps 1 and 2. In addition, if we were
to adopt an ‘‘empty permits’’ approach
for title V, we would not need to reverse
either of Steps 1 and 2, as explained
above.
Finally, as the DC Circuit stated in
Grand Canyon Air Tour Coalition v.
F.A.A., 154 F.3d 455, 477–78 (DC Cir.
1998), the Courts will accept an initial
step towards full compliance with a
statutory mandate, as long as the agency
is headed towards full compliance, and
we believe that the doctrine is
applicable here. EPA intends to require
full compliance with the CAA
applicability provisions of the PSD and
title V programs, but we believe that in
the case of GHG-emitting sources, by
application of the ‘‘absurd results’’
doctrine or the ‘‘administrative
necessity’’ doctrine, full compliance
with the applicability provisions does
not necessarily mean full compliance
with the literal terms of those
provisions.52 Rather, as we have
explained elsewhere, in the case of GHG
sources, full compliance may mean
compliance with higher levels that are
consistent with congressional intent,
under the ‘‘absurd results’’ doctrine, or
that are within the reach of permitting
authorities in light of their
administrative constraints, under the
‘‘administrative necessity’’ doctrine.
This rulemaking constitutes a package
of initial steps towards that full
compliance, and, seen in that light, is
supported by the ‘‘one-step-at-a-time’’
doctrine.
Even if the doctrine were found to
apply only when an agency is
committed to fully implementing
statutory requirements according to
their literal terms, we believe that the
steps we promulgate in this notice
would be considered valid under the
one-step-at-a-time doctrine. This is
because even if we are incorrect about
the applicability of the ‘‘absurd results’’
and ‘‘administrative necessity’’
doctrines, so that GHG sources are
required to comply with the literal
terms of the PSD and title V
applicability provisions, the ‘‘one-stepat-a-time’’ doctrine would allow PSD
52 For reasons explained elsewhere, our reference
to the literal terms of the applicability provisions
means the literal terms of the definition of ‘‘major
emitting facility’’ for PSD and ‘‘major source’’ for
title V, as EPA has narrowed those definitions to
refer to ‘‘any pollutant’’ that is subject to regulation
under the CAA.
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and title V applicability to be phased in,
and the first two steps we promulgate in
this notice would be upheld as
reasonable initial steps toward full
compliance with the literal terms of the
CAA. As we have described elsewhere,
there is little question but that sources
and permitting authorities cannot
reasonably be expected to comply with
or implement PSD and title V
applicability requirements in the near
term—by January 2, 2011 and July 1,
2011—except to the limited extent
described under Steps 1 and 2. Nor is
applicability of the PSD and title V
requirements at levels below 50,000 tpy
CO2e reasonable before 6 years from
promulgation of this rule, as discussed
elsewhere. If further steps resulting in
full compliance with the literal terms of
the applicability provisions of PSD and
title V were required, it would be
reasonable for those steps to occur in
the future, as part of the rulemaking to
be completed by the sixth year after
promulgation, to which EPA commits
itself as part of this action, or as part of
subsequent actions. See Grand Canyon
Air Tour, 891 F.2d at 476–77 (upholding
agency action as a step towards full
compliance with statutory mandate
when the agency expected full
compliance to occur some 20 years after
the deadline in the statute).
EPA-approved part 70 title V programs
by limiting our prior approval of those
programs to the revised applicability
thresholds for GHGs.53 These changes
would have the effect of putting the
higher thresholds adopted under the
Tailoring Rule in place in states PSD
and title V programs as a matter of
federal law. However, state commenters
expressed concern that they would not
be able to adopt the Tailoring Rule
under state laws on an expeditious
basis. To address this, our final action
differs from our proposed rule in the
way we incorporate the limitations
promulgated in this Tailoring Rule into
the ‘‘major stationary source,’’ ‘‘major
modification’’ and ‘‘major source’’
definitions. This approach relies on
further defining the term ‘‘subject to
regulation’’ and although this approach
is not substantively different in effect
from the proposed rule, it will facilitate
more rapid adoption and
implementation of the Tailoring Rule by
states through interpretation of language
in existing state regulations. We believe
these differences are a logical outgrowth
of our proposed rule. We are also
delaying action on our proposed limited
approval of EPA-approved PSD
programs and part 70 title programs to
determine how each state will
implement the final rules.
C. Mechanisms for Implementing and
Adopting the Tailoring Approach
In this section, we discuss three
issues related to adoption of the
tailoring approach within our
regulations and by permitting agencies.
The first is the regulatory mechanism
for implementing the tailoring
approach—that is, the specific way we
are revising the PSD and title V
applicability provisions to incorporate
the tailoring approach—and our
rationale. The second is the process by
which state or local permitting
authorities may incorporate the tailoring
approach into their PSD SIP and title V
permit programs. Finally, we discuss
our reasons for delaying action on our
proposal to limit approval of both SIPapproved PSD programs and title V
programs, and we request certain
information from states on both of their
programs and their actions in response
to this rule.
In brief, we proposed to exempt
sources emitting GHGs below certain
threshold levels from the definition of
the regulatory terms ‘‘major stationary
source’’ and ‘‘major modification’’ in
PSD programs and the definition of the
regulatory term ‘‘major source’’ in title V
programs. We further proposed to
effectuate this change in SIP-approved
PSD programs (as included in SIPs) and
1. PSD Approach: Background and
Proposal
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Under CAA section 165(a), no ‘‘major
emitting facility’’ may construct or
modify unless it receives a
preconstruction permit that meets the
requirements of the PSD program. CAA
section 169(1) defines a major emitting
facility as ‘‘any * * * source[]’’ in one of
28 specified source categories that
‘‘emit[s], or ha[s] the potential to emit,
one hundred tons per year or more of
any air pollutant;’’ or ‘‘any other source
with the potential to emit two hundred
and fifty tons per year or more of any
air pollutant.’’ EPA’s regulations replace
the term ‘‘major emitting facility’’ with
the term ‘‘major stationary source’’ and
define the term as ‘‘[a]ny of * * * [28
types of] stationary sources of air
pollutants which emits, or has the
potential to emit, 100 tons per year or
more of any regulated NSR pollutant’’ or
‘‘any stationary source which emits, or
has the potential to emit 250 tons per
year or more of a regulated NSR
pollutant.’’ 40 CFR 51.166(b)(1)(i)(a)–(b).
The term ‘‘regulated NSR pollutant’’ is
defined to include, among other things,
53 In the alternative, we also proposed to use our
section 110(k)(6) error correction authority to revise
SIP-approved PSD program. We are also delaying
action on this proposal.
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‘‘any * * * air pollutant that otherwise
is subject to regulation under the Clean
Air Act.’’ 40 CFR 51.166(b)(50). Note
that the regulatory definition in effect
interprets the statutory definition more
narrowly to read ‘‘one hundred [or two
hundred and fifty] tons per year or more
of any air pollutant subject to regulation
under the Clean Air Act’’ (emphasis
added).
Similarly, under the statute, a
modification occurs if there is a
physical change or change in the
method of operation ‘‘which increases
the amount of any air pollutant emitted
* * * .’’ CAA section 165(a), 169(2)(c),
and 111(a)(4). As with the major
stationary source definition, we have
limited coverage of the modification
provision to physical changes or
changes in the method of operation that
result a significant net emissions
increase in emissions of a ‘‘regulated
NSR pollutant.’’ 40 CFR 51.166(b)(2)(i).
Our proposed rule revised the
definition of ‘‘major stationary source to
(1) exempt GHG from the regulated NSR
pollutants that, if emitted by a source in
the 100 or 250 tpy quantities, would
cause the source to qualify as a ‘‘major
stationary source,’’ and (2) add a specific
threshold at which a source that emits
a specified quantity of GHGs (at
proposal, that quantity was 25,000 tpy
CO2e) would qualify as a ‘‘major
stationary source.’’ 74 FR 55351,
proposed 40 CFR 51.166(b)(1)(i)(a), (b),
and (d). We also proposed a significance
threshold, which is the amount of an
increase needed to trigger PSD for a
modification or to require BACT for a
new source, at a level between 10,000
and 25,000 tpy CO2e. 74 FR 55351; 40
CFR 51.166(b)(23)(i).
Additionally, we recognized that it
may take some time before states could
change their SIP-approved PSD
programs and that as a result, absent
additional action on our part, GHGemitting sources would remain subject
to the 100 or 250 tpy thresholds, and
subject to a zero significance threshold
for major modifications as a matter of
federal law. To address this issue, we
proposed to narrow our previous
approval of those SIPs. The effect of our
proposal would be that EPA would have
approved the SIP PSD programs only to
the extent they apply PSD and
requirements to GHG sources at or
above the thresholds established in the
Tailoring Rule (which, generally, were
25,000 tpy CO2e), and EPA would have
taken no action on the SIP PSD
programs to the extent they apply PSD
requirements to GHG sources below that
threshold. We relied on the authority of
the APA and the general authority of
CAA section 301 and, in the alternative,
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on the error correction mechanism
under CAA section 110(k)(6). Our
limited approval would revise existing
EPA-approved SIP PSD programs to
authorize permitting under the CAA
only for GHG sources at the appropriate
levels.
In response to our proposed approach,
we received numerous comments from
state and local permitting agencies
expressing significant concern. They
observed that our proposed approach
could meet its objectives to avoid
applying PSD requirements to small
sources under federal law, but would
not succeed in avoiding the application
of PSD requirements to those small
sources under state law. The
commenters explained that, although
EPA was changing federal PSD
applicability thresholds; for GHGemitting sources to incorporate the
tailoring approach, and limiting the
scope EPA approval of SIPs consistent
with these thresholds, the state rules
containing the originally-approved SIP
thresholds would continue to apply as
a matter of state law. As commenters
explained, for the most part, the laws
and regulations states adopt to
implement federal PSD programs mirror
EPA’s regulations, so that the state laws,
apply PSD to sources that emit air
pollutants subject to regulation at the
100/250 tpy threshold. Commenters
reasoned that, until the states can
change their state laws, the 100/250 tpy
thresholds will continue to apply as a
matter of state law, even though the
higher thresholds apply as a matter of
federal law.
Importantly, these commenters
emphasized, their state process requires
that they promulgate a rulemaking, or in
some cases, a legislative change, to
incorporate the higher thresholds for
GHG sources in their SIPs. These
processes would require many months
and in some cases as long as 2 years. As
a result, sources that emit GHGs below
the federally established levels in the
final rule, but at above the 100/250 tpy
levels in state laws and rules, would
still be required to obtain PSD permits
under state law. As a result, states, in
attempting to implement state
permitting requirements, would be
faced with the same administrative
difficulties that EPA recognized in the
proposed rule as impossible.
Commenters emphasized that this
situation was untenable.
In addition to the state comments just
described, we received comments that
took issue with our view that we were
in effect revising the numerical
thresholds for PSD applicability as the
legal mechanism for the tailoring
approach. They asserted that in fact, our
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mechanism consisted of interpreting the
term ‘‘any source’’ to exclude small
GHG-emitting sources. Other
commenters objected to our proposed
mechanism of narrowing our previous
SIP approval, arguing that this
mechanism was without legal basis.
2. Rationale for Our Final Approach To
Implementing PSD
In response to these concerns, we are
adding another mechanism to
implement the tailoring approach for
PSD, and that is to adopt a definition,
within our PSD regulations, the phrase
‘‘subject to regulation,’’ as found within
the phrase ‘‘any regulated NSR
pollutant,’’ which, in turn, is part of the
definitions of ‘‘major stationary source’’
and ‘‘major modification.’’ To implement
this mechanism, we are defining the
phrase ‘‘subject to regulation’’ so that the
GHGs emitted by sources that fall below
the thresholds or scope established in
Steps 1 and 2 are not treated as ‘‘subject
to regulation,’’ and therefore do not
trigger PSD for the sources that emit
them. As discussed in section V.B.3.,
the term ‘‘subject to regulation’’ is one of
four terms that should be considered not
to apply literally in the case of GHG
sources.
To understand this approach, it is
useful to return to the definition of
‘‘major stationary source,’’ which, again,
is central to PSD applicability. The
definition, quoted previously, employs
the term ‘‘regulated NSR pollutant,’’
which is a defined term. The definition
incorporates many other elements as
well (e.g., the 100/250 threshold
requirements), but for convenience, we
quote it as follows: A ‘‘major stationary
source’’ is ‘‘[a]ny * * * source[–] of air
pollutants, which emits, or has the
potential to emit, [depending on the
source category, either] 100 [or 250] tons
per year or more of any air pollutant
that is subject to regulation under the
Clean Air Act.’’ 40 CFR
51.166(b)(1)(i)(a)–(b). Applying our
definition of ‘‘subject to regulation’’ to
exclude GHG sources that emit below
specified thresholds, the definition may
now be paraphrased as follows: A
‘‘major stationary source’’ is any source
of air pollutants, which emits, or has the
potential to emit, depending on the
source category, either 100 or 250 tpy or
more of any air pollutant subject to
regulation under the CAA, except that
the source’s GHGs are considered to be
subject to regulation under the CAA
only the extent indicated under Steps 1
and 2 of the Tailoring Rule, e.g., for Step
2, only if the source’s GHG emissions
exceed the threshold established in Step
2. We adopt the same approach for the
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definition of the regulatory term ‘‘major
modification.’’
Although EPA is revising its
regulations to apply the phrase subject
to regulation in this manner, we have
been advised that states may be able to
adopt our approach without having to
undertake a rulemaking action to revise
their state regulations or without
requiring an act of the state legislature.
Instead, it is our understanding that
states may adopt our approach by
interpreting the term ‘‘subject to
regulation’’ reflected in their regulations
to have the same meaning that we are
assigning to that term in our regulations
in this rulemaking. This is
particularly—although not
exclusively—the case in a state that has
taken the position, or determines now,
that the state’s definition of ‘‘subject to
regulation,’’ or, more broadly, ‘‘regulated
NSR pollutant’’ or ‘‘major stationary
source’’ or ‘‘major modification,’’ is
intended to be interpreted in a way that
tracks the meanings that EPA has
assigned to these phrases. Such states
can adopt the meaning of ‘‘subject to
regulation’’ that we establish in this rule
by January 2, 2011, and thereby avoid
the situation in which, as a matter of
state law, GHG-emitting sources above
the 100 or 250 tpy thresholds become
subject to PSD by that date. The
following explains our basis for
concluding that states may apply EPA’s
approach under existing regulations that
use the term ‘‘subject to regulation.’’ On
December 18, 2008, EPA issued the
Interpretive Memo, establishing EPA’s
interpretation of the definition
‘‘regulated NSR pollutant’’ found at 40
CFR 52.21(b)(50). EPA intended this
memorandum to resolve ambiguity in
subparagraph (iv) of this definition,
which includes ‘‘any pollutant that
otherwise is subject to regulation under
the Act.’’ Specifically, the memorandum
stated that EPA will interpret the
definition of ‘‘regulated NSR pollutant’’
to exclude pollutants for which EPA
regulations only require monitoring or
reporting but to include pollutants
subject to either a provision in the CAA
or regulation adopted by EPA under the
CAA that requires actual control of
emissions of that pollutant.
After reconsidering this interpretation
through a formal notice-and-comment
process, EPA refined its interpretation
to establish that the PSD permitting
requirements will not apply to a newly
regulated pollutant until a regulatory
requirement to control emissions of that
pollutant ‘‘takes effect.’’ 75 FR 17704.
Importantly, as stated previously,
because the term ‘‘regulated NSR
pollutant’’ is embedded within the
definition of ‘‘major stationary source,’’
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this interpretation effectively defines
which major stationary sources are
subject to PSD permitting. As a result,
for example, EPA explained that PSD
and title V permitting requirements for
GHGs will not apply to GHGs until at
least January 2, 2011, following the
anticipated promulgation of EPA
regulations requiring control of GHG
emissions under title II of the CAA. Id.
In the RTC document for EPA’s
reconsideration of the PSD
interpretative memorandum, we stated
that,
Absent a unique requirement of state law,
EPA believes that state laws that use the
same language that is contained in EPA’s
PSD program regulations at 52.21(b)(50) and
51.166(b)(50) are sufficiently open-ended to
incorporate greenhouse gases as a regulated
NSR pollutant at the appropriate time
consistent with EPA’s interpretation of these
regulations (emphasis added). (Docket ID No.
EPA–HQ–OAR–2009–0597–0128).
Because the state regulations that
include EPA’s definition of the term
‘‘subject to regulation’’ in the
reconsideration of the Interpretive
Memo are ‘‘sufficiently open-ended to
incorporate greenhouse gases as a
regulated pollutant,’’ those state
regulations are also sufficiently openended to incorporate the further
refinement to the meaning of the phrase
‘‘subject to regulation’’ that we make in
this rulemaking.
By the same token, EPA has
historically interpreted certain state SIPapproved programs as sufficiently openended such that the rules provide for
the ‘‘automatic assumption for the
responsibility for review’’ of new
pollutants before the general deadline
for states to revise their PSD programs.
See, e.g., 52 FR 24682. Conversely, we
have also read federal rules and state
rules approved in SIPs to provide for the
automatic removal of a pollutant when
such pollutant is no longer ‘‘subject to
regulation.’’ For example, the 1990 CAA
Amendments exempted HAPs listed in
section 112(b)(1) from the PSD
requirements. See CAA section
112(b)(6). Following passage of the
amendments, EPA issued ‘‘New Source
Review (NSR) Program Transitional
Guidance,’’ a memorandum from John S.
Seitz, Director, Office of Air Quality
Planning and Standards to Regional Air
Division Directors on March 11, 1991. In
that guidance, EPA interpreted its PSD
regulations to automatically cease to
apply to listed HAPs (with some noted
exceptions), and implicitly stated that a
state with an open-ended SIP-approved
PSD rule could also take the position
that its SIP-approved rule automatically
ceased to regulate HAPs.
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After reviewing these past practices in
the PSD permitting program, and EPA’s
prior statements regarding pollutants
subject to the PSD program, we
conclude that states with SIP-approved
rules that contain the same language as
used in 40 CFR 52.21(b)(50) or 40 CFR
51.166(b)(49), or that otherwise have
sufficiently open-ended PSD
regulations, would be able to implement
our Tailoring Rule approach to
permitting by interpreting their
regulations, and without needing to
promulgate a regulation or seek state
legislative action. This is particularly—
although not exclusively—the case for
states that take the position that they
intend their rules to apply in the same
manner as EPA’s counterpart rules. If
states adopt this reading of their
regulations, GHG sources falling below
the specified cutoffs would not be
emitting pollutants ‘‘subject to
regulation’’ within the definition of
‘‘regulated NSR pollutant’’ and therefore
would not be subject to PSD permitting
as a major stationary source or for
making a major modification.
During our consideration of this
action, we participated in
teleconferences with one local and six
state agency permitting authorities to
discuss this issue of whether they could
implement the proposed rule without
the need for state law or regulation
changes or a revision of the provisions
of state law that are a part of the SIP.
We specifically discussed whether
defining the phrase ‘‘subject to
regulation’’ would better facilitate state
incorporation of the limitations in this
final rule. The state and local agencies
participating in the calls generally
agreed that defining the phrase ‘‘subject
to regulation’’ would, compared to our
proposed approach, better facilitate state
incorporation of the limitations in the
final rule in states with regulations that
mirror the existing federal rules, or in
states whose rules are otherwise
sufficiently open-ended to incorporate
the limitations in the final rule by
interpretation. Participants from each
agency also indicated that their rules
contain the term ‘‘subject to regulation’’
and that term has not been previously
interpreted in ways that would preclude
application of the meaning assigned to
the term by EPA. We therefore
concluded it is likely the state rules are
sufficiently open-ended to apply EPA’s
approach by interpretation (although
some states indicated they may elect to
pursue rulemaking in addition to or
instead of interpretation). Accordingly,
we selected the ‘‘subject to regulation’’
regulatory approach as the mechanism
for implementing the final rule.
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3. Other Mechanisms
As just described, we selected the
‘‘subject to regulation’’ mechanism
because it most readily accommodated
the needs of states to expeditiously
revise—through interpretation or
otherwise—their state rules. Even so, it
is important to recognize that this
mechanism has the same substantive
effect as the mechanism we considered
in the proposed rule, which was
revising numerical thresholds in the
definitions of major stationary source
and major modification. Most
importantly, although we are codifying
the ‘‘subject to regulation’’ mechanism,
that approach is driven by the needs of
the states, and our action in this
rulemaking should be interpreted to rely
on any of several legal mechanisms to
accomplish this result. Thus, our action
in this rule should be understood as
revising the meaning of several terms in
these definitions, including: (1) The
numerical thresholds, as we proposed;
(2) the term, ‘‘any source,’’ which some
commenters identified as the most
relevant term for purposes of our
proposal; (3) the term, ‘‘any air
pollutant; or (4) the term, ‘‘subject to
regulation.’’ The specific choice of
which of these constitutes the nominal
mechanism does not have a substantive
legal effect because each mechanism
involves one or another of the
components of the terms ‘‘major
stationary source’’—which embodies the
statutory term, ‘‘major emitting
facility’’—and ‘‘major modification,’’
which embodies the statutory term,
‘‘modification,’’ and it is those statutory
and regulatory terms that we are
defining to exclude the indicated GHGemitting sources.54
4. Codification of Interpretive Memo
As noted previously, we recently
affirmed and refined our interpretation
of the term ‘‘subject to regulation’’ as it
applies broadly to the PSD program
through a formal notice and comment
process. ‘‘Interpretation of Regulations
that Determine Pollutants Covered by
Clean Air Act Permitting Programs,’’ 75
FR 17004. In the proposal associated
with that action, we requested comment
on whether we should codify our
interpretation in the regulatory text. 74
FR 51535, 51547 (October 7, 2009). We
elected not to codify our interpretation
in the final action on reconsideration of
the Interpretive Memo because we
54 We also think that this approach better clarifies
our long standing practice of interpreting openended SIP regulations to automatically adjust for
changes in the regulatory status of an air pollutant,
because it appropriately assures that the Tailoring
Rule applies to both the definition of ‘‘major
stationary source’’ and ‘‘regulated NSR pollutant.’’
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concluded such an action was not
necessary and that it was important to
apply the refined interpretation
immediately. 75 FR 17015. However, in
the RTC document for that action, we
indicated that we had not ruled out the
option of codifying our interpretation at
a later time. Since we are otherwise
adopting a definition of ‘‘subject to
regulation’’ in this rule as the
mechanism for implementing the phasein, it makes sense in this final rule to
codify the interpretation reflected in the
Interpretive Memo and the final action
on reconsideration at the same time to
bring clarity to our rules. Specifically,
the definitions of the term ‘‘subject to
regulation’’ contain a paragraph that
reflects our existing interpretation of
that term (i.e., prior to adopting the
provisions that implement the phasein). Codification of the Interpretive
Memo in this action makes sense to
ensure the regulations reflect a complete
picture of the meaning of ‘‘subject to
regulation’’ applied by EPA. We also are
moving existing exceptions (e.g., section
112 HAPs) to a new paragraph within
the definition of ‘‘subject to regulation.’’
This minor reorganization of these
regulations is not intended to effect any
change in how they are to be
implemented, but merely simplifies and
clarifies the regulations by clearly
delineating different terms and
concepts.
This codification of this interpretation
of ‘‘subject to regulation’’ from the
reconsideration for the Interpretive
Memo is not necessary to assure the
effectiveness of the interpretation, and it
does not disturb states’ existing
authority to adopt the definition
through interpretation of their existing
rules. Codifying our existing
interpretation in this action will ensure
that parties reading the regulations have
a full understanding of how EPA applies
the PSD program requirements. Since
the interpretation described in the
Interpretive Memo and the April 2, 2010
final action are otherwise applicable at
this time, the particular time sensitivity
discussed in the latter action is not the
same for this final action tailoring the
PSD requirements.
5. Delaying Limited Approvals and
Request for Submission of Information
From States Implementing a SIPApproved PSD Program
Because we now anticipate that many
states will be able to implement our
tailoring approach through
interpretation of the term ‘‘subject to
regulation,’’ and without the need to
revise their SIPs, we are delaying further
action on our proposal to limit our
approval of SIPs until we better
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understand how permitting authorities
will, in fact, implement our tailoring
approach. For this purpose, we ask each
state to submit a letter to the appropriate
EPA Regional Administrator no later
than August 2, 2010. In that letter, the
state should explain whether it will
apply EPA’s meaning of the term
‘‘subject to regulation’’ and if so,
whether the state intends to incorporate
that meaning of the term through
interpretation, and without undertaking
a regulatory or legislative process. If a
state must undertake a regulatory or
legislative process, then the letter
should provide an estimate of the time
needed to adopt the final rules. If a state
chooses not to adopt EPA’s meaning by
interpretation, the letter should address
whether the state has alternative
authority to implement either our
tailoring approach or some other
approach that is at least as stringent,
whether the state intends to use that
authority. If the state does not intend to
interpret or revise its SIP to adopt the
tailoring approach or such other
approach, then the letter should address
the expected shortfalls in personnel and
funding that will arise if the state
attempts to carry out PSD permitting for
GHG sources under the existing SIP and
interpretation.
For any state that is unable or
unwilling to adopt the tailoring
approach by January 2, 2011, and that
otherwise is unable to demonstrate
adequate personnel and funding, we
will move forward with finalizing our
proposal to limit our approval of the
existing SIP. Although we received
comments questioning our authority to
limit approval as proposed, using our
general rulemaking and CAA section
110(k)(6) authorities, we are not
responding to those comments at this
time. We will address these comments
in any final action we take to implement
a limited approval.
In our proposed rule, we also noted
that a handful of EPA-approved SIPs fail
to include provisions that would apply
PSD to GHG sources at the appropriate
time. This is generally because these
SIPs specifically list the pollutants
subject to the SIP PSD program
requirements, and do not include GHGs
in that list, rather than include a
definition of NSR regulated pollutant
that mirrors the federal rule, or because
the state otherwise interprets its
regulations to limit which pollutants the
state may regulate. At proposal, we
indicated that we intended to take
separate action to identify these SIPs,
and to take regulatory action to correct
this SIP deficiency.
We ask any state or local permitting
agency that does not believe its existing
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SIP provides authority to issue PSD
permits to GHG sources to notify the
EPA Regional Administrator by letter,
and to do so no later than August 2,
2010. This letter should indicate
whether the state intends to undertake
rulemaking to revise its rules to apply
PSD to the GHG sources that will be
covered under the applicability
thresholds in this rulemaking, or
alternatively, whether the state believes
it has adequate authority through other
means to issue federally-enforceable
PSD permits to GHG sources consistent
with this final rule. For any state that
lacks the ability to issue PSD permits for
GHG sources consistent with this final
rule, we intend to undertake a separate
action to issue a SIP call, under CAA
section 110(k)(5). As appropriate, we
may also impose a FIP through 40 CFR
52.21 to ensure that GHG sources will
be permitted consistent with this final
rule.
6. Title V Programs
Our final action also differs from the
proposal in the specific regulatory
mechanism by which we tailor the
definition of ‘‘major source’’ for title V
permit programs, but is a logical
outgrowth of our proposed rule. EPA
proposed to implement tailoring for
GHGs under title V by excluding
sources of GHGs from the general
definition of ‘‘major source’’ under 40
CFR 70.2 and 71.2, and adding a
separate definition of ‘‘major source’’
with tailored thresholds for sources of
GHGs. In response to comments,
particularly from states concerned with
implementation of the proposed
approach under state law, EPA is
adopting an approach in the final rule
that (1) amends the definition of ‘‘major
source’’ by codifying EPA’s longstanding
interpretation that applicability for a
‘‘major stationary source’’ under CAA
sections 501(2)(B) and 302(j) and 40
CFR 70.2 and 71.2 is triggered by
sources of pollutants ‘‘subject to
regulation,’’ and (2) adds a definition of
‘‘subject to regulation.’’ Further, we are
delaying our action to move forward
with limiting our previous approval of
existing state part 70 programs.
We are finalizing this alternative
approach to address concerns similar to
those we received with respect to state
implementation of SIP-approved PSD
programs. Specifically, we received
comments that the mechanism we
proposed would not address the
significant administrative and
programmatic considerations associated
with permitting GHGs under title V,
because the 100 tpy threshold would
continue to apply as a matter of state
law. Commenters stated that states
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would need to undertake a regulatory
and/or legislative process to change the
threshold in their state laws which they
could not complete before the laws
would otherwise require issuance of
operating permits to GHG sources.
After considering the commenters’
concerns, we are finalizing an approach
designed to address the state law
concerns for states. As a result, it is
unnecessary to move forward at this
time with our proposed approach to
limit approval of existing part 70
programs in many states.
EPA’s approach involves the
interrelationship of terms within the
part 70 definition of ‘‘major source’’ in
title V and EPA’s implementing
regulations, and EPA’s historical
practice of interpreting the term ‘‘any air
pollutant’’ in the ‘‘major stationary
source’’ component of that definition.
EPA believes the approach in the final
rule will allow many states to adopt the
final rule through interpretation of
existing state laws. Specifically,
paragraph (3) within the definition of
‘‘major source’’ found in 40 CFR 70.2
and 71.2 defines a major source as ‘‘a
major stationary source of air pollutants,
as defined in section 302 of the Act, that
directly emits or has the potential to
emit, 100 tpy or more of any air
pollutant * * *.’’ The EPA previously
articulated the Agency’s interpretation
that the regulatory and statutory
definitions of ‘‘major source’’ under title
V, including the term ‘‘any air
pollutant,’’ applies to pollutants ‘‘subject
to regulation.’’ Memorandum. EPA
recently re-affirmed this position in
EPA’s Reconsideration of Interpretation
of Regulations that Determine Pollutants
Covered by Clean Air Act Permitting
Programs. 75 FR 17704, 17022–23 (April
2, 2010) (Interpretive Memo
reconsideration final action).
Accordingly, under our longestablished policy, states historically
have interpreted the term ‘‘any air
pollutant’’ under the title V definition of
‘‘major source’’ to mean any pollutant
‘‘subject to regulation’’ under the Act.
Thus, as a matter of established
interpretation, EPA and states
effectively read the definition of ‘‘major
source’’ under title V to include a source
‘‘* * * that directly emits or has the
potential to emit, 100 tpy or more of any
air pollutant subject to regulation under
the Act’’ (emphasis added). By
amending our regulations to expressly
include and define ‘‘subject to
regulation’’ to implement our tailoring
for GHGs under title V, we are seeking
to enable states to adopt and implement
this approach through a continued
interpretation of the phrase ‘‘any air
pollutant’’ within the ‘‘major source’’
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31583
definition, without the need for changes
to state regulations or statutes. States
may be able to track EPA’s approach to
tailoring for GHG permitting without
regulatory or statutory changes, for
example, where a state has taken the
position, or determines now, that the
state’s interpretation of ‘‘major source,’’
‘‘subject to regulation’’ and/or ‘‘any air
pollutant’’ is intended to track EPA’s
interpretation.
Thus, EPA is adding the phrase
‘‘subject to regulation’’ to the definition
of ‘‘major source’’ under 40 CFR 70.2
and 71.2. EPA is also adding to these
regulations a definition of ‘‘subject to
regulation.’’ Under the part 70 and part
71 regulatory changes adopted, the term
‘‘subject to regulation,’’ for purposes of
the definition of ‘‘major source,’’ has two
components. The first component
codifies the general approach EPA
recently articulated in the
‘‘Reconsideration of Interpretation of
Regulations That Determine Pollutants
Covered by Clean Air Act Permitting.’’
75 FR 17704. Under this first
component, a pollutant ‘‘subject to
regulation’’ is defined to mean a
pollutant subject to either a provision in
the CAA or regulation adopted by EPA
under the CAA that requires actual
control of emissions of that pollutant
and that has taken effect under the CAA.
See id. at 17022–23; Wegman
Memorandum at 4–5. To address
tailoring for GHGs, EPA includes a
second component of the definition of
‘‘subject to regulation,’’ specifying that
GHGs are not subject to regulation for
purposes of defining a major source,
unless as of July 1, 2011, the emissions
of GHGs are from a source emitting or
having the potential to emit 100,000 tpy
of GHGs on a CO2e basis.
As explained previously, we find no
substantive difference between the
alternative mechanisms for
implementing GHG tailoring in the final
rule. Whether we add GHG thresholds
directly to the definition of ‘‘major
source’’ (as we proposed), or
alternatively, expressly add and define
the term ‘‘subject to regulation,’’ both
approaches revise the definition of
‘‘major source’’ to implement the
Tailoring Rule. Accordingly, we adopt
the later approach to facilitate state
implementation of the final rule through
an interpretation of existing state part 70
programs. Similar to our explanation
previously for PSD, while we adopt the
‘‘subject to regulation’’ mechanism for
implementing GHG tailoring in the final
rule, the thrust of our rulemaking is to
apply the title V definition of ‘‘major
source’’—which includes the statutory
term, ‘‘major stationary source’’—to GHG
sources by treating only GHG sources
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that emit at levels above the Steps 1 and
2 thresholds as meeting that definition.
Further, we believe that our action may
reasonably be construed to revise any of
several terms in that definition,
including (1) The numerical thresholds,
as we proposed; (2) the term ‘‘any air
pollutant,’’ (3) the term ‘‘a major
stationary source,’’ (4) the term ‘‘subject
to regulation,’’ which, as discussed
previously, our regulations graft into the
definition of ‘‘major source.’’ We believe
that the specific choice of which term
constitutes the legal mechanism does
not have a substantive legal effect
because each mechanism involves one
of the components of the regulatory
term ‘‘major source’’—which embodies
the meaning of the statutory term,
‘‘major source’’—and it is that term that
we are interpreting to tailor title V
applicability for GHG-emitting sources.
Thus, while the ‘‘subject to regulation’’
mechanism facilitates expeditious
implementation by states, and we are
therefore revising our regulations to
adopt this approach, we otherwise find
no substantive difference between the
alternative mechanisms we may use to
finalize the proposed rule.
Further, similar to our revised
approach for addressing state SIPapproved PSD programs, we are
delaying our action to limit our previous
approvals for state part 70 operating
permit programs. In our proposed rule,
we explained our concern that states
lack adequate personnel and resources
to carry out part 70 operating permit
programs for GHG sources that emit or
have the potential to emit 100 tpy of
GHGs. Accordingly, we proposed to use
our general rulemaking authority under
section 301(a) of the CAA and APA
section 553 to limit our prior approval
of state operating permit programs. This
limited approval action would have had
the effect of applying CAA permitting
requirements only to sources that
exceed the permitting thresholds
established in this rule for the phase-in,
because only those sources would be
covered by the federally approved part
70 programs. 74 FR 55345. As discussed
previously, we are proceeding with a
slightly revised approach to address
concerns similar to those raised with
our proposed approach for addressing
SIP-approved PSD permit programs.
Because we now recognize that, like the
PSD program, many states will be able
to implement the final rules without the
need to revise their existing part 70
operating permit programs, we are
delaying further action on our proposal
to limit approval of existing part 70
programs until we better understand
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how permitting authorities will
implement our final rule.
In addition to the information
requested previously on SIP-approved
PSD permit programs, we ask each state
to submit a letter to the appropriate EPA
Regional Administrator no later than
August 2, 2010 detailing the state’s plan
for permitting of GHG sources under the
state’s part 70 program. In that letter,
states should explain whether they will
adopt an interpretation of the terms
‘‘major source’’ or any of its component
terms—‘‘a major stationary source,’’ ‘‘any
air pollutant,’’ or ‘‘subject to regulation,’’
or the numerical thresholds—that is
consistent with EPA’s regulatory
interpretation of these terms as codified
at 40 CFR 70.2, and whether the state
intends to adopt the interpretation
without undertaking a regulatory or
legislative process. This approach may
be available, for example, where a state
has taken the position, or determines
now, that the state’s interpretation of
these terms is intended to track EPA’s
interpretation, resulting in title V
permitting for sources of GHGs as
described in EPA’s regulations adopted
in this rule. If a state must revise its title
V regulations or statutes to implement
the interpretation, we ask that it
provides an estimate of the time to
adopt final rules or statutes in its letter
to the Regional Administrator. If a state
chooses not to (or cannot) adopt our
interpretation, the letter should address
whether the state has alternative
authority to implement the GHG
tailoring approach or some other
approach that is at least as stringent, but
which also addresses the expected
shortfalls in personnel and funding and
delays in permitting that would exist if
the state carried out permitting under
part 70 program thresholds lower than
those adopted by EPA in this final rule.
For any state that is unable or unwilling
to adopt the permitting thresholds in the
final rules, and otherwise is unable to
demonstrate adequate personnel and
funding, EPA will move forward with
finalizing a narrowed limited approval
of the state’s existing part 70 program.
If we do so, then we will respond in that
action to comments on our proposal.
In our proposed rule, we also noted
that a handful of part 70 operating
permit programs may include
provisions that would not require
operating permits for any source of GHG
emissions because, for example, the
programs may apply only to pollutants
specifically identified in the program
provisions, and the provisions do not
specifically identify GHGs. In these
cases, states may be unable to interpret
their regulatory provisions to interpret
the term ‘‘any pollutant’’ to include
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pollutants ‘‘subject to regulation.’’ We
indicated that we intended to take
separate action to identify these
programs, and to take regulatory action
to correct this deficiency. Accordingly,
we ask any state or local permitting
agency that does not believe its existing
part 70 regulations convey authority to
issue title V permits to GHG sources
consistent with the final rule to notify
the EPA Regional Administrator by
letter as to whether the state intends to
undertake rulemaking to revise its rules
consistent with these applicability
thresholds. This notification should be
done no later than the previously
described letter regarding adoption of
the Tailoring Rule, and could be
combined with similar notifications we
request regarding the PSD program. We
intend to undertake a separate
regulatory action to address part 70
programs that lack the ability to issue
operating permits for GHG sources
consistent with the final rule. We also
intend to use our federal title V
authority to ensure that GHG sources
will be permitted consistent with the
final rule.
D. Rationale for Treatment of GHGs for
Title V Permit Fees
The title V program requires
permitting authorities to collect fees
‘‘sufficient to cover all reasonable (direct
and indirect) costs required to develop
and administer [title V] programs.’’ 55 To
meet this requirement, permitting
authorities either collect an amount not
less than a minimum amount specified
in our rules (known as the ‘‘presumptive
minimum’’), or may collect a different
amount (usually less than the
presumptive minimum). We did not
propose to change the title V fee
regulations in our notice of proposed
rulemaking for this action, nor did we
propose to require new fee
demonstrations when title V programs
begin to address GHGs. However, we
did recommend that each state, local or
tribal program review its resource needs
for GHGs and determine if the existing
fee approaches will be adequate. If those
approaches will not be adequate, we
suggested that states should be proactive
in raising fees to cover the direct and
indirect costs of the program or develop
other alternative approaches to meet the
shortfall. We are retaining this proposed
approach, and are not changing our fee
regulations as part of this final action
establishing Steps 1 and 2 of the phasein. However, we are offering some
additional clarification of our fee
55 The fee provisions are set forth in CAA section
502(b)(3) and in our regulations at 40 CFR 70.9 and
71.9.
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approach during these steps in response
to comments we received on this issue.
Additional discussion of fees will be
included as part of subsequent actions
establishing Step 3 and beyond.
A few state commenters suggested
that EPA should modify part 70 to adopt
a presumptive minimum fee (or range
for such fee) for GHGs, some of whom
suggested that current fees may be
insufficient to cover the costs of their
program. It is important to clarify that
altering the presumptive minimum
would only affect those states that chose
to charge the presumptive minimum fee
to sources. Most states—including some
of the commenters asking EPA to raise
the presumptive minimum—collect a
lower amount that is not based on the
presumptive minimum, but rather,
relies on another fee schedule that it
developed and EPA approved as
adequate to cover costs. Therefore, it is
useful to first discuss our approach to
programs that have fee schedules
resulting in a different amount before
discussing our approach to the
presumptive minimum.
Because of the added GHG title V
permitting workload described
elsewhere in this notice, any state that
will not, under its current fee structure,
collect fees adequate to fund the
permitting of GHG sources must alter its
fee structure in order to meet the
requirement that fees be adequate to
cover costs. Changes may not be
required in every instance;
circumstances will vary from state to
state. For example, a state may see
increases in revenue from newlycovered sources (based on emissions of
pollutants already subject to fees) that
fully cover the state’s increased costs, or
a state may be over-collecting fees now
and could use the surplus to offset the
increased costs. Nonetheless, in many
cases, we think states will need to adjust
their fee structures to cover the costs of
GHG permitting in order to meet the
requirements of the Act and our
regulations.
For this reason, although we are not
calling for new fee demonstrations at
this time, we plan to closely monitor
state title V programs during the first
two steps of the Tailoring Rule to ensure
that the added workload from
incorporating GHGs into the permit
program does not result in fee shortfalls
that imperil operating permit program
implementation and enforcement,
whatever the basis of the states’ fee
schedule. As described in the proposal,
such fee oversight by EPA may involve
fee audits under the authority of 40 CFR
70.9(b)(5) to ensure that adequate fees
are collected in the aggregate to cover
program costs, with emphasis on
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whether the additional GHG workload is
being appropriately funded. Also, EPA
retains the ability to initiate a program
revision under 40 CFR 70.4(i)(3) or issue
a notice of deficiency under the process
described in 40 CFR 70.10(b) to address
fee adequacy issues, which may be
uncovered during a fee audit. By relying
on existing oversight measures, we are
ensuring that the fee requirements are
met with a minimum of disruption to
existing programs at a time when they
will already be facing significant
challenges related to GHG permitting.
Turning to the minority of states that
do use the presumptive minimum, we
did not propose to change the
presumptive minimum calculation
method to account for GHGs. Currently
under the statute and our rules, the
presumptive minimum is based on a
subset of air pollutants (i.e., VOCs,
NAAQS pollutants except for CO, and
pollutants regulated under the NSPS
and MACT standards promulgated
under sections 111 and 112 of the Act,
respectively) that does not include
GHGs. The amount is specified on a perton basis and changes with inflation (it
is currently set at $43.75/ton), but does
not apply to emissions over 4,000 tpy of
a given pollutant from a given source.
We noted several difficulties in
applying the presumptive minimum to
GHG, including the large amounts of
GHG emissions relative to other
pollutants and the need for better data
to establish a GHG-specific amount.
Noting that GHGs are not currently
included in the Act’s list of pollutants
to which the presumptive fee applies,
we also invited comment on whether we
should raise the fee for listed pollutants
to cover the added cost of GHG
permitting.
A few state commenters asked us to
set a presumptive fee for GHGs, which
we take to mean we should add GHGs
to the list of pollutants to which a
presumptive fee would apply. However,
many commenters noted that the
current presumptive minimum fee is
unreasonable for GHGs because GHGs
are emitted in greater quantities than the
pollutants currently subject to
presumptive fees, which would result in
excessive fees. These commenters
believe that EPA needs to limit the fees
that states can charge for GHGs.
Moreover, one commenter read the
statute to prohibit us from listing GHGs
in the presumptive fee calculation in the
first place. Several commenters
disagreed with the idea of increasing the
presumptive fee for other pollutants to
cover the cost of regulating GHGs, some
of whom believed that this would
unfairly punish existing sources or
would bring in no new revenue from
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31585
sources triggering title V for the first
time.
After considering these comments, we
remain disinclined, as we were at
proposal, to change the presumptive fee
calculation regulations. While there is
some support for changing the
regulations, the comments confirm the
challenges in doing so. While we
expressly rejected charging the full
presumptive cost per ton amount for
GHG, we also did not propose language
to establish a different amount just for
GHG, to establish whether a different
tpy cap would apply, or to assess
whether GHGs could even be added to
the list. Thus, many commenters were
very concerned about whether the full
$43.75 or the 4000 tpy cap would apply
to GHG if we listed it as a regulated
pollutant for fee purposes. Furthermore,
we noted at proposal, and commenters
did not disagree, that more data would
be needed to establish the appropriate
basis for the GHG presumptive
minimum. We are not taking a final
position in this notice on whether the
statute is amenable to including GHG in
the presumptive fee calculation
currently, but these comments illustrate
some of the difficulties of such an
approach.
At the same time, we are not
increasing the presumptive minimum
for other pollutants already included in
the fee calculation. We disagree with the
commenter who said such an approach
would bring in no new revenue from
newly-subject sources. Many of the
newly-subject sources would emit
already-included pollutants. If new
revenue from these pollutants were
insufficient, and because the Act does
not specify how the shortfall must be
addressed, the amount of any projected
shortfall could be made up by
increasing fees on these pollutants. In
fact, the projected shortfall could be
addressed without having to inventory
GHG emissions from title V sources,
since the emissions of already-included
pollutants are well-known. We also note
that, although some commenters are
concerned that failing to assess fees for
GHGs directly would be unfair, the
statute does not provide that the
presumptive fee be proportional to each
type of pollutant or be proportionally
allocated to all sources. Rather, the
presumptive fee approach provides a
backstop for states that do not wish to
adopt a more tailored approach.
Nonetheless, we have decided not to
increase the presumptive fee amounts
for other pollutants because we lack
information about the extent to which
shortfalls exist due to GHG permitting,
and which mix of sources and fees is
appropriate for addressing any such
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shortfall in a state. This decision also
provides greater flexibility to states and
minimizes disruption to existing
programs.
We note that, contrary to the
statements of some commenters, the
CAA provisions allowing for a
presumptive fee calculation do not
override the basic requirement that fees
be adequate to cover costs. As noted
previously, we expect states to see a
revenue increase from emissions of
listed pollutants at newly-major sources
for GHGs, and it is also possible that the
presumptive minimum may currently be
resulting in over-collection of fees in a
state. Thus, a state continuing to use the
presumptive minimum may not have a
shortfall. However, if states using the
presumptive minimum approach do
have a revenue shortfall due to GHG
permitting, the statute requires the
shortfall to be addressed. The EPA has
had, and will continue to have, the
ability to require states that use the
presumptive minimum to increase their
fees if the presumptive minimum results
in a revenue shortfall that imperils
operating permit program
implementation and enforcement. Thus,
although we are not changing the
presumptive minimum in our
regulations, we plan to follow the same
oversight approach for states using the
presumptive minimum as for those
collecting less based on a resource
demonstration. As described previously,
this approach may involve fee audits
with emphasis on whether the
additional GHG workload is being
appropriately funded, and other
appropriate follow-up.
Consistent with our proposal, EPA is
not modifying its own part 71 fee
structure (which closely mirrors the
presumptive minimum) in order to
charge an additional fee for GHGs. EPA
must revise its fee schedule if the
schedule does not reflect the costs of
program administration. We have not
determined that the existing fee
structure will be inadequate to fund the
part 71 programs costs during the first
two phases of permitting GHGs as set
forth in this action. However, we are
required to review the fee schedule
every 2 years, and make changes to the
fee schedule as necessary to reflect
permit program costs. 40 CFR 71.9(n)(2).
Thus we will continue to examine the
increases in part 71 burden due to GHG
permitting, the current revenue
collection, and the increases in revenue
from newly-subject part 71 sources, and
will adjust the part 71 fee approach
accordingly.
Finally, several state and industry
commenters asked EPA to provide
guidance and recommendations for an
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appropriate GHG fee structure. We note
that title V grants permitting authorities
considerable discretion in charging fees
to sources for title V purposes and does
not require or prohibit fees specifically
for GHGs, provided the states collect
fees in the aggregate that are sufficient
to cover all the direct and indirect
program costs. In responding to requests
for guidance, we do not wish to limit
state discretion. For example, some
commenters suggest that EPA prohibit
emissions-based fees for GHGs or cap
the amount that can be collected, while
others suggest we provide a range of
acceptable fees. We are concerned that,
given the wide variety of fee approaches
that states now take, providing specific
guidance may be disruptive, rather than
helpful, to states.
On the other hand, we recognize that
it will initially be difficult for states to
establish an appropriate emissions fee
for GHGs. As noted previously, there are
currently limited data available for
establishing such a fee, and, due to the
large quantities of GHG emissions, such
a fee may only amount to a few cents
per ton. At the same time, as noted in
the proposal, a number similar to that
used for other pollutants (e.g., the
presumptive minimum of
approximately $45/ton of GHG) would
be inappropriate because it would likely
result in huge over-collection. Because
of this challenge, we note that 40 CFR
70.9(b)(3) allows the state to charge fees
to individual sources on any basis (e.g.,
emission fee, application fee, servicebased fees, or others, in any
combination). While most states use
emissions-based fees, there is merit to
considering all the available fee bases to
address increased GHG workload,
including approaches that do not
require a GHG emissions inventory for
fee purposes. For example, where it is
possible to estimate a revenue shortfall
as a percentage of fee revenue, it may be
appropriate to simply attach a
percentage-based surcharge to each
source’s fee to match that shortfall.
Similarly, where the shortfall could be
estimated as a total dollar amount, a flat
surcharge could be added to each
source’s fee to address the shortfall.
These suggestions should not be read
to indicate that EPA prefers any
particular approach, or that EPA rejects
a cost per ton approach. Rather, they
illustrate that it is possible to address a
revenue shortfall without establishing a
GHG per-ton fee. While the EPA is
declining to recommend specific
approaches in this preamble, we are
committed to assisting states in
implementing the fee requirements for
GHG. Therefore, we will work with any
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state that requests assistance from EPA
in developing a workable fee approach.
E. Other Actions and Issues
1. Permit Streamlining Techniques
In our proposal, we stated that while
we were phasing-in permitting
requirements, we would make a
concerted effort to assess and
implement streamlining options, tools,
and guidance to reduce the costs to
sources and permitting authorities of
GHG permitting. We recognized that the
development and implementation of
these techniques should be an integral
part of our strategy during the phase-in
period, and we stated that we would
undertake as many streamlining actions
as possible, as quickly as possible. We
discussed several streamlining
techniques in particular, including: (1)
Defining PTE for various source
categories, (2) establishing emission
limits for various source categories that
constitute presumptive BACT, (3)
establishing procedures for use of
general permits and permits-by-rule, (4)
establishing procedures for electronic
permitting, and (5) establishing ‘‘lean’’
techniques for permit process
improvements. The first three of these
approaches have the potential to have
the greatest impact in reducing the
numbers of sources subject to PSD or
title V (the definition of PTE) or of
reducing permitting costs (presumptive
BACT and general permits or permitsby-rule).
In our proposal, we also described the
timing for development and
implementation of these streamlining
techniques. We explained that each of
the first three techniques would
generally take 3–4 years to develop and
implement, and therefore would be of
limited use in the near-term. This time
frame is necessary because EPA will
first need to collect and analyze small
source data that we do not currently
have—because these are sources that
EPA has not traditionally regulated—in
order to assess which of these
techniques are viable or effective for
such sources. In general, EPA will then
need to conduct notice-and-comment
rulemaking to establish the approaches,
and that rulemaking will need to
address various legal and policy aspects
of these approaches. After that, the
permitting authorities will need some
time to adopt the streamlining
techniques as part of their permitting
programs.
We received several comments on
streamlining techniques. In general, the
comments indicate widespread support
for our pursuit of streamlining
approaches, but some commenters were
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concerned that one or more of EPA’s
identified streamlining options were
complex, vague, ineffective, and
questionable legally. Noting our
proposal to phase in permitting, in part
to allow more time to develop
streamlining options for smaller
sources, some commenters suggested
that we should delay permitting for
larger sources for the same reasons. We
disagree. Such a delay is not justified
under our legal basis for this rule. While
implementation of Steps 1 and 2—
which will cover larger sources—will
pose implementation challenges, and
some of the streamlining tools could
assist with meeting these challenges, we
have assessed the burdens associated
with GHG permitting and have
established a phase-in schedule that
represents a manageable workload, even
in the absence of streamlining
techniques. On the other hand, we do
agree with these commenters that,
absent streamlining, applying PSD and
title V requirements to the much larger
number of small sources would lead to
absurd results and administrative
impossibility. The sources for whom the
phase-in delays applicability are
precisely the sources that have the
greatest need for streamlining measures,
and thus the greatest need for a deferral
while we develop and implement
streamlining options.
In addition, commenters generally
echoed many of our concerns about why
it will take time to put these measures
in place, and no commenter presented
any information to suggest that our 3–
4 year estimate for the PTE, presumptive
BACT, and general permit measures was
invalid.
For these three techniques, we
continue to believe that as we noted at
proposal, we will require collection of
significant category-specific data for
source and emission unit types that
have heretofore generally not been
regulated by the CAA (e.g., furnaces,
water heaters, etc.), which could take up
to 1 year. Moreover, commenters had
differences of opinion as to whether and
how we should move forward on these
approaches, and some raised policy and
legal issues that we would likely want
to explore through a notice and
comment process in order to assess
which of these measures are viable to
pursue further.56 Even if a rulemaking
56 We do not attempt to address or resolve the
various opinions about what legal or policy
direction we must take regarding any of these
streamlining options. The proper forum for doing
that will be in the action(s) where we apply a given
option. Nonetheless, our RTC document provides
additional detail about the options we described
and what commenters said about our proposed
options. In addition, the comments themselves can
be accessed in the docket for this action.
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were done expeditiously, it would likely
require 1 year. Finally, unlike lean and
electronic permitting, these approaches,
once finalized by EPA, will likely
require additional time of up to 2 years
for states to adopt. Thus, it is clear that
these approaches will not be in place in
time to ease any burden prior to the
planned rulemaking for Step 3.
Some commenters did observe that
the fourth and fifth techniques, lean and
electronic permitting, could, at least
theoretically, become available sooner.
However, these commenters also noted
that successful design and
implementation of these approaches
will require implementation experience
with GHG permitting that is not now
available. We expect that for the lean
and electronic permitting techniques, at
least 1 year of implementation
experience (of the type that we will gain
starting in 2011) would be required,
plus at least an additional year to
extrapolate that experience to small
sources and put these approaches into
effect for small source permitting. Thus,
we do not think the lean and electronic
permitting would be in place before the
beginning of 2013. Moreover, a handful
of commenters questioned whether lean
and/or electronic permitting would
alleviate significant burden. Thus we
are not able, at this time, to presume
that these approaches will ease any
burden prior to the planned rulemaking
for Step 3.
It is also important to note that, as a
practical matter, while these efforts to
streamline the program for small
sources are underway, EPA and states
will also be devoting a significant
amount of their permitting resources
and expertise to implementing the PSD
and title V programs for the GHGemitting sources covered under Steps 1
and 2. We have established these steps
in a manner that they will be feasible for
EPA and state/local/tribal authorities,
but even so, they will not only consume
current permitting authority resources,
but they will also require substantial
additional resources. As a result, the
efforts to develop and implement
streamlining techniques will have to
compete with the work necessary to
administer existing programs. For
example, during the remainder of 2010,
as described elsewhere in this notice,
EPA permitting program resources will,
in addition to continuing to administer
programs for non-GHG pollutants, be
used to conduct at least the following
GHG-related activities in addition to
streamlining: (1) Develop BACT and
other information and guidance for
implementing programs for sources
covered by Step 1, followed by
additional guidance and information for
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sources covered by Step 2; (2) review
and act on information we receive
regarding state adoption of GHG
permitting requirements, which may
entail narrowing of previous SIP
approvals or processing of other
programmatic revisions; and (3) propose
and finalize measures to address
programs with deficiencies in GHG
coverage. As the beginning of Step 2
nears, we will also begin to receive and
process the first applications for permits
that will incorporate GHG requirements
(i.e., those that will be issued after
January 2, 2011). States seeking to
implement streamlining approaches will
face similar competition for permitting
resources.
These time frames and resource
considerations for streamlining confirm
the approach to phase-in that we are
taking in this rule. First and foremost,
they make clear that it will not be
possible to have streamlining measures
in place in time for either Step 1 or Step
2. Therefore our selection of threshold
for those steps is not built on
assumptions that streamlining will
remove some or all of the burden during
those steps.
Second, they make clear that, while
no significant streamlining can be in
place by the time we must begin to
develop the Step 3 rule (i.e., latter half
of 2011, to promulgate by July 2012,
effective July 2013), it is likely that by
that time EPA and states will have had
an opportunity to gain implementation
experience that could serve as the basis
for beginning to implement streamlining
techniques that do not require
rulemaking or state adoption (e.g., lean
and electronic permitting). It is also
likely that we will have had an
opportunity to gather technical
information—which we have already
begun to gather—for certain source and
emissions unit categories that would be
necessary to support proposal of PTE or
presumptive BACT approaches for those
categories. We expect that the Step 3
rulemaking will provide an opportunity
for us to use that experience and data to
begin to propose streamlining
approaches that need notice and
comment rulemaking. We can also begin
to take into account any burden
reductions from possible early
streamlining efforts—that is, through
lean and electronic permitting—in the
establishment of Step 3.
Third, it is clear that the potential
availability of streamlining measures
does not call into question our decision
that in no event will we broaden PSD
and title V applicability to cover GHGemitting sources below the 50,000 tpy
CO2e level prior to July 2016, as
discussed elsewhere. EPA cannot now
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predict the resources that will be
required to implement PSD and title V
programs for GHG-emitting sources once
various streamlining techniques are
ultimately completed. This is uncertain
not only because we need data and
implementation experience with GHG
permitting during Steps 1, 2, and 3 that
we can apply to estimates for small
sources, but also because, as comments
indicate, there is a broad range of legal
and policy issues to consider in crafting
the streamlining approaches we
ultimately adopt. We have presented an
initial assessment of options and
obtained views of commenters both
supporting and opposing them, and it is
the result of these future actions, whose
outcomes are uncertain at this time, that
will ultimately determine the extent to
which streamlining approaches will
allow for the administration of PSD and
title V programs for numerous small
sources. Thus, while we are optimistic
that we can craft workable, commonsense solutions, we nonetheless, believe
it is important to preserve our small
source exclusion until we have not only
had time to put the streamlining
approaches in place, but also have had
time to assess the burdens that remain,
before we bring in additional sources
below the 50,000 tpy CO2e levels. We
believe that the 6-year timeframe will
require a sustained intensive effort by
EPA and states to develop, adopt, and
implement streamlining techniques, and
will require EPA to then evaluate those
techniques and complete a rulemaking
concerning PSD and title V applicability
to small-sources based on that
evaluation. In this manner, the 6-year
period will give us the necessary time
to make the best decisions about the
actions we should take beyond Step 3.
While comments make clear that there
are issues to be addressed, nothing in
the comments has persuaded us that we
should abandon our streamlining
efforts. To the contrary, the strong
support for these efforts shown by many
commenters reinforces our intention, as
stated at proposal, to move forward with
these approaches as an integral part of
our phase-in approach. Moreover,
notwithstanding the competition for
GHG permitting resources and expertise,
we believe it is critical that we move
forward expeditiously. As noted
previously, we are already taking a first
step by initiating permitting for larger
sources, beginning January 2011, that
will begin to provide valuable
implementation experience. This
experience can be useful in allowing
states to begin implementing early
streamlining measures, like lean and
electronic permitting, which do not
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require EPA action. We have also
already begun, and will continue,
developing data necessary to support
possible rulemakings addressing
approaches such as PTE, presumptive
BACT, and/or general permits. We
expect to be able to use these data to
support possible rulemakings on these
topics, as appropriate, at about the same
time as our Step 3 rulemaking. There
may also be available streamlining
options that were not described in our
proposal that warrant further
consideration. Because of the
uncertainty surrounding such
approaches, we are not committing to
finalize rules on any particular
approach, but we do plan to explore all
streamlining options as expeditiously as
possible, beginning immediately and
proceeding throughout the phase-in
period, and we encourage permitting
authorities to do the same. We commit
to consider a wide array of possible
streamlining measures, and we commit
to propose and take comment on, in the
Step 3 rulemaking, a set of those
measures that we determine are viable
to pursue further.
2. Guidance for BACT Determinations
The CAA requires that a PSD permit
contain, among other things, emissions
limits based on the BACT for each
pollutant subject to regulation under the
Act emitted from the source that triggers
PSD. 42 U.S.C. 7475(a)(4); 42 U.S.C.
7479(3). BACT is defined as follows:
(3) The term ‘‘best available control
technology’’ means an emission limitation
based on the maximum degree of reduction
of each pollutant subject to regulation under
this Act emitted from or which results from
any major emitting facility, which the
permitting authority, on a case-by-case basis,
taking into account energy, environmental,
and economic impacts and other costs,
determines is achievable for such facility
through application of production processes
and available methods, systems, and
techniques, including fuel cleaning, clean
fuels, or treatment or innovative fuel
combustion techniques for control of each
such pollutant. In no event shall application
of ‘‘best available control technology’’ result
in emissions of any pollutants which will
exceed the emissions allowed by any
applicable standard established pursuant to
section 111 or 112 of this Act. Emissions
from any source utilizing clean fuels, or any
other means, to comply with this paragraph
shall not be allowed to increase above levels
that would have been required under this
paragraph as it existed prior to enactment of
the Clean Air Act Amendments of 1990.
42 U.S.C. 7479(3).
Thus, the BACT process is designed
to determine the most effective control
strategies achievable in each instance,
considering energy, environmental, and
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economic impacts. However, the caseby-case nature of BACT, together with
the range of factors and technologies
that must be considered, presents a
challenge in determining BACT for
newly regulated pollutants. When a new
pollutant is regulated, the first permit
applicants and permitting authorities
that are faced with determining BACT
for a new pollutant will likely need to
invest more time and resources in
gathering and analyzing information
necessary to make an assessment of
BACT under the statutory criteria. Once
the PSD permitting program matures
with respect to the new pollutant,
successive BACT analyses will establish
precedents that can inform subsequent
BACT determinations. While the BACT
provisions clearly contemplate that the
permitting authority evaluate control
strategies on a case-by-case basis, EPA
recognizes the need to develop and
share policy guidance and technical
information for sources and permitting
authorities as they begin to permit
sources of newly regulated pollutants,
such as GHGs. When applied in a
practical manner, this additional EPA
guidance and technical information
should reduce time and resource needs
when evaluating BACT for newly
regulated pollutants.
As described in the proposed
Tailoring Rule, EPA intends to compile
and make available technical and
background information on GHG
emission factors, control technologies
and measures, and measurement and
monitoring methodologies for key GHG
source categories. We expressed our
intent to work closely with stakeholders
in developing this supporting
information and to ensure this
information is available in sufficient
time to assist permitting agencies in
their BACT determinations. The
proposal took comment on what other
types of support or assistance EPA can
provide to initially help air pollution
control agencies with the permitting of
GHGs.
Commenters on the proposed
Tailoring Rule generally supported EPA
providing technical information and
policy guidance for sources of GHGs.
Several commenters specifically
requested guidance to clarify GHGrelated issues, such as how to compute
CO2e emissions, how to evaluate
emissions of CO2 from biomass fuel, and
whether an air quality analysis will be
required for GHGs. Additionally,
commenters requested that EPA issue
‘‘white papers’’ and other tools that
would provide information on a range of
control technologies and measures for
major stationary source categories, such
as power plants, cement kilns, glass
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furnaces, and other sources. Many of
these commenters further requested that
EPA provide an opportunity for
stakeholder input on the guidance, and
a few commenters insisted that
permitting for sources of GHGs should
not begin prior to issuing final guidance.
Consistent with our commitment at
proposal to involve all stakeholders in
our guidance development, EPA called
upon the CAAAC in September 2009, to
provide assistance and
recommendations for what types of
guidance and technical information
would be helpful.57 Specifically, our
charge to the CAAAC was ‘‘* * * to
discuss and identify the major issues
and potential barriers to implementing
the PSD Program under the CAA for
greenhouse gases * * * [and] focus
initially on the BACT requirement,
including information and guidance that
would be useful for EPA to provide
concerning the technical, economic, and
environmental performance
characteristics of potential BACT
options.’’ This charge also requested the
CAAAC to ‘‘identify and discuss
approaches to enable state and local
permitting authorities to apply the
BACT criteria in a consistent, practical
and efficient manner.’’
At its October 6, 2009 meeting, the
CAAAC established a Climate Change
Work Group, made up of 35
representatives from a variety of
industries, state and local governments,
and environmental and public health
non-profit organizations, organized
under CAAAC’s Permits, New Source
Review and Toxics Subcommittee. The
Work Group initially focused its
attention on the procedure for
evaluating BACT and decided that the
process and criteria for determining
BACT for criteria pollutants represented
a workable and acceptable framework
for GHGs. The Work Group also
recommended a second phase, in which
the Work Group would consider
member proposals regarding possible
alternative or supplementary
approaches to applying the PSD
program to GHG sources.
57 The CAAAC is a senior-level policy committee
established in 1990 to advise the U.S. EPA on issues
related to implementing the CAA Amendments of
1990. The committee is chartered under the Federal
Advisory Committee Act and has been renewed
every 2 years since its creation. The membership is
approximately 40 members and experts
representing state and local government,
environmental and public interest groups, academic
institutions, unions, trade associations, utilities,
industry, and other experts. The CAAAC meets
three times a year, normally in Washington, DC. It
provides advice and counsel to EPA on a variety of
important air quality policy issues. The committee
has formed several subcommittees to provide more
detailed discussion and advice on many technical
issues.
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In February 2010, the CAAAC
completed work on the first phase of its
effort and sent EPA a list of
recommendations that highlighted areas
of the BACT determination process that
are in need of technical and policy
guidance. For more information, see the
Interim Phase I Report on Issues related
to BACT for GHGs, February 3, 2010
that is located in the public docket for
this rulemaking and at https://
www.epa.gov/air/caaac/climate/
2010_02_InterimPhaseIReport.pdf. In
response, we are working on a number
of fronts to develop technical
information, guidance, and training to
assist states in permitting large
stationary sources of GHGs, including
identifying GHG control measures for
different industries. EPA is currently
working with states on technical
information and data needs related to
BACT determinations for GHGs. This
includes developing the EPA Office of
Research and Development GHG
Mitigation Strategies Database,
enhancing the RACT/BACT/LAER
Clearinghouse to include GHG-specific
fields, and preparing technical
information on sector-based GHG
control measures. Also, EPA is actively
developing BACT policy guidance for
GHGs that will undergo notice and
comment and will culminate in training
courses for state, local, and tribal
permitting authorities. The results of all
of these efforts will roll out over the
remainder of 2010. EPA currently awaits
the Work Group’s recommendations
from its second phase of deliberations,
which is underway as of the date of this
notice.
EPA does not agree with some
commenters’ suggestion that EPA
should delay permitting of any sources
until final BACT guidance is issued. As
discussed in the final action on
reconsideration of the Interpretive
Memo, delaying the application of
BACT to enable the development of
guidance or control strategies is not
consistent with the BACT requirements.
63 FR 17008. Furthermore, as just
described, EPA expects such a delay to
be unnecessary because EPA will soon
begin providing technical information to
inform BACT decisions, and will
continue to provide additional guidance
prior to the date that GHG permitting
begins. However, even in the absence of
such guidance, a delay would not be
justified under the legal doctrines of
‘‘absurd results’’ and ‘‘administrative
necessity.’’ While implementation of the
BACT requirement during Steps 1 and
2 will pose implementation challenges,
EPA has assessed the burden associated
with GHG permitting with consideration
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31589
given to these challenges, and has
established a phase-in schedule that
represents a manageable workload.
Thus, while BACT will remain a caseby-case assessment, as it always has
been under the PSD program, EPA is
confident that this guidance
development effort will help support a
smooth transition to permitting
emissions of GHGs. Furthermore, EPA
will continue to work to provide the
most updated information and support
tools to allow permitting authorities to
share and access the most updated
information on GHG BACT
determinations as they are made once
permitting of GHGs begins. EPA remains
committed to involving stakeholders in
the upcoming efforts to develop
guidance to help permitting authorities
in making BACT determinations for
sources of GHGs.
3. Requests for Higher Category-Specific
Thresholds or Exemptions From
Applicability
Although we did not propose any
categorical exemptions, many
commenters requested exemptions from
major source and major modification
applicability determinations under title
V and PSD for certain types of GHGemitting sources or certain types of GHG
emissions as follows:
Source Categories. Many commenters
requested various exemptions or
exclusions from source applicability for
GHGs under both PSD and title V
permitting, either during the phase-in
period or permanently, citing
anticipated burdens, societal costs, and
differences in emission characteristics.
Commenters representing nontraditional sources or source categories
(sources that have not historically been
required to get permits) requested
exemptions from permitting based on
GHG emissions, including agricultural
sources, residential sources, and small
businesses. In general, these
commenters sometimes, but not always,
cited ‘‘absurd results’’ and
‘‘administrative necessity’’ arguments in
their exemption requests.
Several commenters from sectors that
consume a great deal of energy in their
industrial processes and that are subject
to international competitiveness, such
as aluminum, steel, cement, glass, pulp
and paper, and other manufacturers,
requested that they be exempt from
permitting under this final rule. These
commenters state that we have not
carefully considered the environmental
and economic consequences of this
action because if we had, we would
have exempted them for several reasons,
including (1) other countries typically
exempt similar sources from GHG cap
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and trade programs because the
industries are making significant energy
efficiency improvements even in the
absence of GHG regulation, and (2)
permitting such sources may cause
many facilities to move to countries that
have less regulation or no regulation for
GHGs.
Other industry groups cited unique
characteristics of their emissions, or the
quantities in which they are emitted,
that they argued should justify
exclusion or unique thresholds.
Semiconductor production facilities
asked for exemptions, arguing that
combustion-related GHG emissions are
different from their GHG emissions,
which result from the use of high-GWP
industrial gases, such as PFCs, with
higher GWP values that are more likely
to trigger permitting requirements at
relatively low tpy values. One lime
production commenter stated that EPA
could encourage energy efficiency
projects at its plants by excluding
calcination and other process emissions,
arguing that these emissions are a
relatively small portion of the national
inventory that will have no material
effect on air quality and global warming.
Another commenter requested that EPA
exclude emissions from poultry
production (natural bird respiration)
from permitting consideration because
the IPCC excludes them from its GHG
emission estimates. Representatives of
the landfill industry pointed to the
relationship between current statutory
thresholds that apply to their regulated
emissions, primarily NMOC, and the
equivalent amount of GHG emissions
this corresponds to. They argued for a
source-category specific threshold that
is at least equivalent to their current
NMOC threshold, or roughly 750,000
tpy CO2e according to their estimate.
Although the proposal for the
Tailoring Rule generally addressed how
the statutory requirements for major
source applicability (100/250 tpy
thresholds) could be phased in in ways
that would offer relief to traditional and
non-traditional sources, such as
residences, farms, small business, and
semiconductor manufacturers, it did so
by establishing relatively high CO2e
thresholds during the early
implementation period and lowering the
thresholds over time as streamlining
mechanisms become available to reduce
administrative burdens. We did not
propose any permanent exemptions of
any kind or temporary exemptions
based on source category. Also, note
that the proposal discussed energy
efficiency, process efficiency
improvements, recovery and beneficial
use of process gases, and certain raw
material and product changes in the
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context of short-term, low-cost means of
achieving GHG emission reductions for
small-scale stationary sources, but not
in the context of exemptions.
As discussed previously, we are still
considering whether permanent
exemptions from the statute are justified
for GHG permitting based on the
‘‘absurd results’’ legal doctrine. We do
not have a sufficient basis to take final
action at this time to promulgate any of
the suggested exclusions on the
grounds, described previously,
suggested by the commenters. We note,
however, that nothing in this rule
forecloses the opportunities we may
have to explore such options in the
future. Therefore, we are taking no
action in this rule on these various
commenters’ requests for exclusions.
Some commenters also recommended
that we create exclusions for their
particular source categories for the
specific purpose of avoiding
overwhelming permitting burdens. We
did solicit comment on alternative
approaches to burden relief in the
proposal. Some commenters suggested
that the ‘‘administrative necessity’’ or
‘‘absurd results’’ rationale, each of which
would be based on extraordinary
administrative burdens, could be used
to create at least temporary exclusions
that would allow more sources to escape
permitting than what we proposed.
However, commenters have not, to date,
provided specific information about the
costs and administrative burdens
associated with permitting their source
categories.
Regarding the specific concerns about
the need for a small business exclusion,
we note that the Office of Advocacy of
the SBA made several recommendations
on the proposal to address concerns
about large numbers of small businesses
becoming subject to the permit
programs. For example they
recommended that EPA adopt major
source thresholds of 100,000 tpy and
major modification thresholds of 50,000
tpy CO2e. They also recommended that
we adopt an interpretation of the
effective date of the LDVR to provide
additional time to prepare. We took
action consistent with the latter
recommendation in the Interpretive
Memo, and we are taking action
consistent with the former
recommendation in this rule (although
the threshold for modifications we are
adopting is higher, for reasons
explained previously). We are finalizing
Steps 1 and 2 using the threshold-based
approach, which applies the various
legal doctrines, in the context of the
Chevron framework, in a way that
effectively exempts all small sources
during this part of the phase-in, while
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assuring the administrability of the
permitting programs for the sources that
remain subject to them. We anticipate
that virtually all small businesses not
already subject to PSD and title V would
be excluded under this approach.
Similarly, with respect to high GWP
gases as discussed previously, we are
maintaining the statutory mass-based
threshold, and this should address
commenters’ concerns regarding the
inclusion of those gases. Therefore, we
reiterate that we are not finalizing any
such exclusions in this rule and, as
noted above, we are not taking final
action in the commenters’ requests for
exclusions.
Concerning the comment that we did
not take appropriate economic and
environmental considerations into
account for this rulemaking action, we
disagree. The approach we finalize in
this notice for Steps 1 and 2 minimizes
economic burdens by limiting
permitting to the largest GHG emission
sources. We further note that the PSD
program as applied to the sources that
are covered in Steps 1 and 2 contains an
express requirement to take energy,
environmental, and economic
considerations into account when
making control technology (i.e., BACT)
decisions and accordingly many of the
concerns about control costs will be able
to be accounted for in that analysis.
Biomass Combustion/Biogenic
Emissions. Several commenters request
that EPA exempt emissions from
biogenic activities or biomass
combustion or oxidation activities,
including solid waste landfills, wasteto-energy projects, fermentation
processes, combustion of renewable
fuels, ethanol manufacturing, biodiesel
production, and other alternative energy
production that uses biomass feedstocks
(e.g., crops or trees). For example,
commenters urged that EPA exclude
emissions from biomass combustion in
determining the applicability of PSD to
GHGs based on the notion that such
combustion is ‘‘carbon neutral’’ (i.e., that
combustion or oxidation of such
materials would cause no net increase
in GHG emissions on a lifecycle basis).
Some commenters oppose the
exemption of biogenic/biomass
activities, claiming the lack of a valid
scientific basis for treating these GHG
emissions differently than other GHG
emissions and expressing concern that
we should not assume all biomass
combustion is carbon neutral.
The proposed Tailoring Rule did not
address this issue of exemptions for
biomass combustion or biogenic
emissions. We are mindful of the role
that biomass or biogenic fuels and
feedstocks could play in reducing
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anthropogenic GHG emissions, and we
do not dispute the commenters’
observations that many state, federal,
and international rules and policies
treat biogenic and fossil sources of CO2
emissions differently. We note that
EPA’s technical support document for
the endangerment finding final rule
(Docket ID No. EPA–HQ–OAR–2009–
0472–11292) states that ‘‘carbon dioxide
has a very different life cycle compared
to the other GHGs, which have welldefined lifetimes. Instead, unlike the
other gases, CO2 is not destroyed by
chemical, photolytic, or other reaction
mechanisms, but rather the carbon in
CO2 cycles between different reservoirs
in the atmosphere, ocean, land
vegetation, soils, and sediments. There
are large exchanges between these
reservoirs, which are approximately
balanced such that the net source or
sink is near zero.’’
Nevertheless, we have determined
that our application of the ‘‘absurd
results,’’ ‘‘administrative necessity,’’ and
one-step-at-a-time legal rationales that
support this rule, which are based on
the overwhelming permitting burdens
described previously, does not provide
sufficient basis to exclude emissions of
CO2 from biogenic sources in
determining permitting applicability
provisions at this time. This is because
such an exclusion alone, while reducing
burdens for some sources, would not
address the overwhelming permitting
burdens described above, and a
threshold-based approach would still be
needed. As noted above, we have not
examined burdens with respect to
specific categories and thus we have not
analyzed the administrative burden of
permitting projects that specifically
involve biogenic CO2 emissions taking
account of the threshold-based
approach, nor did the commenters
provide information to demonstrate that
an overwhelming permitting burden
would still exist, justifying a temporary
exclusion for biomass sources.
At the same time, the decision not to
provide this type of an exclusion at this
time does not foreclose EPA’s ability to
either (1) provide this type of an
exclusion at a later time when we have
additional information about
overwhelming permitting burdens due
to biomass sources, or (2) provide
another type of exclusion or other
treatment based on some other rationale.
Although we do not take a final position
here, we believe that some commenters’
observations about a different treatment
of biomass combustion warrant further
exploration as a possible rationale.
Therefore, although we did not propose
any sort of permanent exclusion from
PSD or title V applicability based on
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lifecycle considerations of biogenic CO2,
we plan to seek further comment on
how we might address emissions of
biogenic carbon dioxide under the PSD
and title V programs through a future
action, such as a separate Advance
Notice of Proposed Rulemaking (ANPR).
This action would seek comment on
how to address biogenic carbon under
PSD and title V, the legal and policy
issues raised by options regarding
implementation. We will provide an
opportunity for public comment before
adopting any final approach.
We further note that, while we are not
promulgating an applicability exclusion
for biogenic emissions and biomass
fuels or feedstocks, there is flexibility to
apply the existing regulations and
policies regarding BACT in ways that
take into account their lifecycle effects
on GHG concentrations. This topic has
already been explored by the CAAAC
workgroup on BACT issues related to
GHGs that recently provided
recommendations to EPA. These
recommendations are located in the
public docket for this rulemaking and at
https://www.epa.gov/air/caaac/climate/
2010_02_InterimPhaseIReport.pdf.
While that group was unable to come to
a consensus on how biomass-based
emissions should be treated, it provided
us with information that we will
consider as we issue guidance on BACT.
As previously discussed, we plan to
issue BACT guidance later this year, but
are not doing so as part of this
rulemaking. Without prejudging the
outcome of our process to seek comment
whether and how we might address
emissions of biogenic carbon under the
PSD and title V programs through a
future action, this issue warrants further
exploration in the BACT context as
well, and we plan to fully explore it and
take action if appropriate.
Fugitive Emissions. Numerous
commenters believe that fugitive GHG
emissions should be excluded from
major source determinations, citing
difficulties in measuring or estimating
such emissions. Others believe EPA did
not address fugitive emissions in the
proposal and they ask for clarification of
the treatment of fugitive GHGs in
applicability determinations under PSD
and title V. Some of these commenters
state that EPA has not undertaken a
rulemaking under CAA section 302(j)
for any source category of fugitive
GHGs, so they should not be included.
Several commenters representing the
solid waste disposal industry requested
exemptions for fugitive emissions for
landfills and waste-to-energy projects,
pointing out that current practice under
PSD is for fugitive emissions from
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31591
certain landfills to not be counted
toward major source determinations.
In the proposal, EPA did not offer any
specific guidance or discuss exemptions
for fugitive emissions of GHGs.
Commenters did not suggest that a
fugitive exemption would address the
overwhelming permitting burdens
described previously, or that it was
necessary to specifically tailor GHG
applicability through the use of a
fugitive emissions exclusion for
categories that would otherwise be
required to include them.
We do agree with commenters who
stated that we should clarify how to
count fugitives in determining
applicability under this rule. In
response, we note that we are not taking
final action with respect to commenters’
request, and we are not finalizing any
special rules for fugitive emissions
related to GHG. Thus, EPA’s rules
related to the treatment of fugitives
would apply. Regarding the comment
that a CAA section 302(j) rulemaking is
required before fugitive emissions may
be counted, we disagree. As we read
section 302(j), once EPA has established
by rule that fugitive emissions are to be
counted for a specific source category,
nothing in section 302(j) requires EPA to
conduct new rulemaking to allow for
the counting of additional pollutants
from that category. We read section
302(j) as imposing an obligation to
determine if fugitive emission generally
should be counted from a source or
source category and not requiring that
EPA list both source categories and
relevant pollutants. Indeed, our practice
in listing categories has not been to limit
the pollutants to which the listing
applies. Therefore, we are applying our
existing rules and policies for fugitive
emissions for GHG as we would any
other pollutant.
Pollution Control Projects. Other
commenters request exemptions for
pollution control projects from PSD
major modification requirements,
particularly projects that increase the
efficiency or thermal performance of a
unit or facility, resulting in emission
reductions on a pounds/megawatt-hour
or production basis. The current PSD
rules do not exclude pollution control
projects from being considered a
physical change or change in the
method of operation that would—if it
resulted in a significant net emissions
increase—constitute a major
modification, and the case law makes
clear that we could adopt a permanent
exclusion in the future.58 To the extent
58 On June 24, 2005, the United States Court of
Appeals for the District of Columbia Circuit vacated
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that the commenters seek an exclusion
for pollution control projects that relies
solely on ‘‘absurd results’’ or
‘‘administrative necessity’’ for reasons
similar to those described previously for
other requested exclusions, we take no
action on this request in this
rulemaking.
4. Transitional Issues Including
Requests for Grandfathering
In the Tailoring Rule proposal, we did
not discuss or specifically ask for
comment on any provisions to address
the transition from a permitting regime
that does not incorporate GHGs to one
that does, such as ‘‘grandfathering’’
provisions or similar approaches that
would exempt previously issued
permits or pending applications from
having to incorporate requirements for
GHGs. We nonetheless received several
public comments that addressed a
variety of transitional issues. One group
of comments addresses situations prior
to permit issuance where a PSD or title
V application is either administratively
complete or more generally being
processed prior to the trigger date for
GHG permitting (‘‘in process’’
applications). Another group of
comments addresses situations where a
PSD or title V permit is issued prior to
the GHG trigger date and the
commenters request that the application
and/or permit be exempt from any
requirements for updates related to
GHGs after permit issuance.
With respect to PSD, many
commenters requested that we adopt a
‘‘grandfathering’’ approach to
applicability to exempt projects that
have administratively complete PSD or
minor NSR permit applications pending
when the GHG permitting requirements
go into effect. Several commenters urged
us to promulgate transition provisions
(without specifically using the term
‘‘grandfathering’’), pointing out that we
have provided transition periods for
revising pending PSD permits, in the
past, when new PSD rules were issued
(e.g., in late 1970s and 1980). These
commenters assert that GHG
requirements will cause more
disruption than those previous rule
changes. Several commenters asked that
PSD applications be evaluated on the
basis of the PSD requirements effective
when the application is submitted and
if submitted prior to the trigger date,
the portions of the 2002 and 1992 NSR rules that
pertained to pollution control projects, among other
provisions. In response to this Court action, on June
5, 2007, EPA removed these provisions from the
NSR regulations. (See 72 FR 32526). These
provisions were added as part of EPA’s NSR
improvement rule that was issued on December 31,
2002.
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then the application and permit would
not need to address GHGs. Several
commenters also asked that PSD sources
with a valid permit that commences
construction within 18 months of the
trigger date not be required to seek a
revised PSD permit for GHGs. Similarly,
several commenters asked that PSD
permits issued prior to the GHG trigger
date not be required to be reopened only
for the purpose of addressing GHG
emissions. Additional commenters
asked that we clarify that sources or
projects not be required to obtain PSD
permits if they obtained a determination
that PSD did not apply (a ‘‘nonapplicability’’ determination) prior to
the GHG trigger date. Finally, many
commenters also requested
‘‘grandfathering’’ for title V so that
existing title V applications and permits
do not need to be amended, revised, or
resubmitted to address GHGs after they
become ‘‘subject to regulation.’’ Other
commenters asked that transition
provisions for title V be provided in the
final action that would be similar to
those requested for PSD.
We partially addressed transitional
issues for PSD permitting in our April
2, 2010 final action on reconsideration
of the Interpretive Memo. 75 FR 17021.
This action addressed the applicability
of PSD permitting requirements for
GHGs to pending PSD permit
applications that were (or will be)
submitted prior to January 2, 2011 based
on emissions of pollutants other than
GHGs. However, we have not yet
addressed the questions raised by public
comments concerning sources that
obtain PSD permits, minor NSR permits,
or determinations that no such permits
are needed prior to the Step 1 period set
forth in this rule. We have also not yet
addressed questions about the
applicability of PSD permitting
requirements for sources that are not
currently required to submit an
application for a PSD permit but that
could be required to do so in Step 2 of
the phase-in established in this action.
In addition, our April 2, 2010 action did
not address transitional issues
concerning the application of the title V
provisions to GHGs.
a. Transition for PSD Permit
Applications Pending When Step 1
Begins
In our action on April 2, 2010, EPA
explained that the Agency did not see
grounds to establish a transition
provision for pending PSD permit
applications because we had
determined that PSD permitting
requirements would not apply for GHGs
for another 9 months. We explained that
permit applications submitted prior to
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April 2, 2010 should in most cases be
issued prior to January 2, 2011 and,
thus, effectively have a transition period
of 9 months to complete processing
before PSD requirements become
applicable to GHGs. We also observed
that, in the case of any PSD permit
application review that cannot
otherwise be completed within the next
9 months based on the requirements for
pollutants other than GHGs, it should be
feasible for permitting authorities to
begin incorporating GHG considerations
into permit reviews in parallel with the
completion of work on other pollutants
without adding delay to permit
processing. Additional discussion of
EPA’s reasons for not developing
transition provisions for PSD permit
applications that are pending on January
2, 2011 are provided in the April 2,
2010 notice. 75 FR 17021–22.
For these same reasons, we continue
to feel that a transition period is not
warranted to incorporate GHG
requirements into any PSD permit
applications that are pending when Step
1 of the permitting phase-in begins for
those sources that would otherwise
need to obtain a PSD permit based on
emissions of pollutants other than
GHGs. Thus, this action makes no
change to the position we expressed on
this particular issue in the April 2, 2010
notice. In this final rule on tailoring the
PSD program to address GHGs, we have
determined that the additional burden
of incorporating GHG requirements into
PSD permits for the sources already
required to obtain such permits is
manageable in the Step 1 period. Thus,
this rule has added no additional
requirements or limitations that would
justify deferring the establishment of
pollution controls for this category of
GHG sources once PSD permitting
requirements are initially triggered for
GHGs.
While we do not provide for
grandfathering of PSD applications, we
do note that there are more than 7
months left before GHG BACT
requirements will be triggered at
anyway sources for projects that
increase GHG emissions by more than
75,000 tpy CO2e and more than a year
before the requirements would be
triggered at sources solely because of
emissions of GHGs (more than 100,000
tpy of CO2e). We intend to work
constructively and affirmatively with
permitting authorities to use this time to
ensure expeditious processing of
pending permits and to further assure
that the triggering of BACT
requirements at such sources will not
result in adverse impacts on pending
projects. We have separately described
our plans to expeditiously issue GHG
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BACT guidance, but we understand that
for pending projects that will be
permitted soon after January 2, 2011, an
opportunity for earlier engagement with
EPA on BACT issues would be
beneficial for permitting authorities to
issue these permits without delay.
Therefore, following the issuance of
this rule, we will contact permitting
authorities that have pending PSD
permit applications to identify those
applications with a reasonable
likelihood that final issuance will occur
after January 2, 2011, and therefore will
be required to contain GHG BACT
limits. We will then work closely with
those permit agencies to provide
technical, legal, or policy assistance to
help prepare BACT analysis and
provide additional support as necessary
to expedite permitting for those pending
applications. Similarly, when EPA is the
permitting authority, we will provide
assistance to applicants with pending
permits to ensure that GHG permitting
decisions are made promptly, and that
administrative processes move forward
expeditiously.
b. PSD Permits Issued Prior to Step 1
EPA has not historically required PSD
permits to be updated or reopened after
they are issued in the absence of an
action by the applicant to change the
physical or operational characteristics of
the source described in the permit
application. EPA’s PSD permitting
regulations contain no provisions that
address the modification or amendment
of a PSD permit or require a PSD permit
to be reopened or modified on the basis
of new PSD permitting requirements
that take effect after the final permit is
issued. Since PSD permits are
construction permits, EPA has not
required updates to PSD permits in the
same manner as is typically required for
operating permits that incorporate a
variety of applicable requirements (such
as title V permits and National Pollutant
Discharge Elimination System (NPDES)
permits under the Clean Water Act). In
addition, unlike operating permits, PSD
permits are not required to be renewed.
However, if construction under a PSD
permit is not commenced in a timely
manner or is discontinued for an
extended period, a PSD permit may
expire if an extension is not requested
or justified. See 40 CFR 52.21(r)(2); 40
CFR 124.5(g).
With respect to the application of PSD
permitting requirements for GHGs
beginning on January 2, 2011, we do not
see any cause to deviate from our
historical practice of not requiring PSD
permits to be reopened or amended to
incorporate requirements that take effect
after the permit is issued. Thus, we are
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not promulgating any new rules or
requirements pertaining to PSD permits
issued prior to Step 1 of the phase-in
described in this rule. There is no
mandatory requirement to reopen a
previously issued PSD permit to
incorporate GHG requirements that were
not applicable at the time the permit
was issued.
A major source that obtains a PSD
permit prior to January 2, 2011 will not
be required under EPA regulations to
reopen or revise the PSD permit to
address GHGs in order for such a source
to begin or continue construction
authorized under the permit. Our
current PSD permitting regulations
provide that ‘‘[n]o new major stationary
source or major modification to which
the requirements of paragraphs (j)
through (r)(5) of this section apply shall
begin actual construction without a
permit that states the major stationary
source or major modification will meet
those requirements.’’ 40 CFR
51.166(a)(7)(iii); 40 CFR 52.21(a)(2)(iii).
The term ‘‘begin actual construction’’
generally means ‘‘initiation of physical
onsite construction activities on an
emissions unit which are of a
permanent nature’’ and includes
activities such as ‘‘installation of
building supports and foundations,
laying underground pipework and
construction of permanent storage
structures.’’ 40 CFR 51.166(b)(11); 40
CFR 52.21(b)(11). A source that begins
actual construction authorized under a
PSD permit prior to January 2, 2011 will
not be in violation of the prohibition
described previously if it continues
construction after that date. This portion
of the regulation precludes only
beginning construction without the
appropriate preconstruction permit and
does not require a permit to be updated
to continue actual construction that has
already begun.
Furthermore, a source that is
authorized to construct under a PSD
permit but has not yet begun actual
construction on January 2, 2011 may
still begin actual construction after that
date without having to amend the
previously-issued PSD permit to
incorporate GHG requirements. Sections
51.166(a)(7)(iii) and 52.21(a)(2)(iii)
require ‘‘a permit that states that the
major stationary source or major
modification will meet those
requirement,’’ which refers to the
‘‘requirements in paragraphs (j) through
(r)(5)’’ referenced earlier in those
provisions. EPA construes this language
to describe a permit that meets the
requirements of paragraph (j) through
(r)(5) that are in effect at the time the
permit is issued. Permitting and
licensing decisions of regulatory
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31593
agencies must generally reflect the law
in effect at the time the agency makes
a final determination on a pending
application. See Ziffrin v. United States,
318 U.S. 73, 78 (1943); State of Alabama
v. EPA, 557 F.2d 1101, 1110 (5th Cir.
1977); In re: Dominion Energy Brayton
Point, LLC, 12 E.A.D. 490, 614–616
(EAB 2006); In re Phelps Dodge Corp.,
10 E.A.D. 460, 478 n. 10 (EAB 2002).
Thus, a source may begin actual
construction on or after January 2, 2011
under a PSD permit that authorized
construction to begin prior to January 2,
2011 because such a permit states that
the source will meet the requirements of
paragraphs (j) through (r)(5) of these
regulations (or state equivalents) that
were in effect at the time the permit was
issued. However, this would not be the
case if the permit has expired because
the applicant has discontinued
construction or failed to commence
construction by the necessary date. See
40 CFR 52.21(r)(2).
This approach is consistent with
EPA’s practice when the
preconstruction permitting
requirements change by virtue of the
designation of an area as a
nonattainment area after a PSD permit is
issued. In transitional guidance issued
by EPA in 1991, EPA explained that ‘‘the
area designation in effect on the date of
permit issuance by the reviewing agency
determines which regulations (part C or
D) apply to that permit.’’ Memorandum
from John S. Seitz, Director OAQPS,
New Source Review (NSR) Program
Transitional Guidance, page 6 (March
11, 1991). This memorandum explained
further that ‘‘where a source receives a
PSD or other permit prior to the date the
area is designated as nonattainment, the
permit remains in effect’’ as long as the
source meets the conditions necessary
to prevent the permit from expiring. Id.
at 6.
This approach does not apply if the
source engages in a major modification
after January 2, 2011 that is not
authorized by the previously issued
permit. Once Step 1 of the phase-in
begins, if the PSD requirements for
GHGs are applicable to a previouslypermitted source that engages in a major
modification not covered by the permit,
such a source will need to obtain a new
PSD permit to authorize the
modification and that permit may need
to include GHG requirements depending
on the level of increase in GHGs that
results from the modification.
c. Additional Sources for Which PSD
Applies in Step 2
In light of the terms of existing PSD
regulations and the lead time provided
in this action for sources that will first
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become subject to PSD permitting in
Step 2, we do not believe there is
presently a need to establish transition
provisions for sources that will be
required to obtain PSD permits for the
first time in Step 2 of the phase-in. As
described previously, under our current
PSD permitting regulations, a new major
stationary source or major modification
may not begin actual construction
without a PSD permit that meets the
applicable preconstruction permitting
requirements. 40 CFR 51.166(a)(7)(iii);
40 CFR 52.21(a)(2)(iii).
Since a permit must be obtained
before a major source may begin actual
construction, the major source
preconstruction permitting
requirements in 40 CFR 51.166 and
52.21 of the regulation do not generally
apply to a source that begins actual
construction at a time when it was not
a major source required to obtain a PSD
permit. One exception, however, is the
unique circumstance when a source
becomes a major source solely by virtue
of the relaxation of an enforceable
limitation on the source’s PTE. 40 CFR
51.166(r)(2); 40 CFR 52.21(r)(4). But
absent these circumstances, PSD
preconstruction permitting
requirements do not generally preclude
a source from continuing actual
construction that began before the
source was a source required to obtain
a PSD permit. Thus, a source that began
actual construction under the
authorization of any previously required
minor source or state construction
permit is not required to meet any PSD
preconstruction permitting requirement
that becomes applicable after actual
construction begins unless the source
engages in a major modification after
PSD permitting requirements are
applicable. Likewise, a PSD permit is
not required after a source begins actual
construction based on a valid
determination (by the source or the
permitting authority) that the source
need not obtain either a major PSD
permitting requirements or and minor
NSR permit. Based on these provisions
in existing regulations, EPA will not
require any sources to which PSD
permitting requirements begin to apply
in Step 2 to obtain a PSD permit to
continue construction that actually
begins before Step 2 begins.
However, we will expect Step 2
sources that begin actual construction in
Step 2 (i.e., beginning July 1, 2011) to
do so only after obtaining a PSD permit
in accordance with 40 CFR 52.21 or
51.166, or any applicable state
regulation that meets the requirements
of 40 CFR 51.166. We recognize the
potential for the triggering of Step 2 to
result in a change in status where a
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project may legally have begun actual
construction before Step 2 but did not
do so and would then need a PSD
permit. However we also note that we
are providing over a year of lead time
before PSD permitting requirements
become applicable to Step 2 sources. If
projects would be adversely affected by
this change in status, this lead time
affords an opportunity for sources
planning such projects to secure
appropriate minor NSR permits (which
generally take less than a year to issue),
non-applicability determinations, etc. in
time to avoid such a change in status.
If a new or modified source that would
become newly subject to PSD in Step 2
plans to begin actual construction before
Step 2, it has more than a year to obtain
the applicable preconstruction
approvals and begin actual construction.
Likewise, a Step 2 source that does not
anticipate the ability to begin actual
construction before Step 2 begins
should have enough lead time to submit
a PSD permit application and obtain the
necessary permit without significantly
delaying the project further. Therefore,
we do not think it is necessary or
appropriate to promulgate a transition
provision that would exempt Step 2
sources from PSD permitting
requirements that will apply based on
construction that begins after Step 2
takes effect.
This approach for Step 2 sources that
have obtained a minor source
construction permit or non-applicability
determination differs from the approach
described previously for source that
obtained a PSD permit prior to Step 1.
As described previously, a Step 1 source
that is authorized to begin actual
construction before January 2, 2011
under a previously-issued PSD permit
may begin actual construction under
that permit after January 2, 2011
without modifying the PSD permit to
address GHGs. However, a Step 2 source
that was not required to obtain a PSD
permit before Step 2 begins would need
to obtain a PSD permit addressing GHGs
if it has not yet begun actual
construction prior to Step 2, even if the
source had obtained any
preconstruction approvals that were
necessary to authorize construction
prior to Step 2. This is because such a
Step 2 source that begins actual
construction after Step 2 would likely
be doing so without having any permit
meeting the requirements of paragraphs
(j) through (r)(5) of 40 CFR 52.21 or
51.166, or a state equivalent. A source
that has obtained only a minor source
permit prior to Step 2 but that begins
actual construction after July 1, 2011
would violate the requirements of 40
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CFR 52.21(a)(2)(iii) or 51.166(a)(7)(iii),
or a state equivalent, unless the source
took care to ensure that it was
authorized to construct under a PSD
permit or could demonstrate that the
source’s minor source construction
permit makes clear that requirement of
paragraphs (j) through (r)(5) of 40 CFR
52.21 or 51.166, or a state equivalent,
would be met by the source even though
such a permit was not nominally a PSD
permit. This difference in approach for
non-PSD sources is driven by the terms
of 40 CFR 52.21(a)(2)(iii) and
51.166(a)(7)(iii). Since we have not
provided any prior notice that we might
be considering revisions to 40 CFR
52.21 and 51.166 to address this topic,
we are unable to revise the regulations
in this action to achieve the same result
for non-PSD sources as for PSD sources.
Furthermore, at the present time, we see
no indication that this difference in
approach is unreasonable since nonPSD sources will not trigger permitting
for GHG until Step 2 (only anyway PSD
source trigger in Step 1). Thus sources
will have until July 1, 2011, an
additional 6 months of lead time (for a
total of more than 14 months), to
prepare for the transition described
here. Nevertheless, we recognize that
the transition to the increased coverage
of new sources and modifications that
occurs in July will represent an unusual
occurrence that may have unanticipated
impacts. For this reason it is important
to note that nothing in this rule
forecloses our ability to further address
such impacts, as necessary, by adopting
rule changes or using other available
tools.
EPA has previously promulgated
exemptions that have authorized some
sources that were not previously subject
to the PSD regulations to commence
construction on the basis of minor
source permits after the date new PSD
requirements have took effect in 1978
and 1980. See, e.g., 40 CFR
52.21(i)(1)(iv)–(v). There is a notable
distinction between these provisions,
which use the term ‘‘commence
construction,’’ and the terms of 40 CFR
52.21(a)(2)(iii) and 51.166(a)(7)(iii),
which use the term ‘‘begin actual
construction.’’ ‘‘Commence
construction’’ is defined more broadly
than ‘‘begin actual construction’’ to
include obtaining all necessarily
preconstruction approvals and either
beginning actual on-site construction or
entering into binding contracts to
undertake a program of actual
construction. 40 CFR 52.21(b)(9); 40
CFR 51.166(b)(9). The term ‘‘commence
construction’’ is also defined in the
CAA. 42 U.S.C. 7479(2)(A). Among
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other purposes, the term ‘‘commence
construction’’ is generally used in the
Act and EPA regulations to distinguish
construction activities that are exempt
from new PSD permitting requirements
from those that are not. See, e.g., 42
U.S.C. 7475(a); 40 CFR 52.21(i)(1)(i)–(v).
In the absence an explicit exemption in
the CAA or the PSD regulations that
uses the term ‘‘commence construction,’’
we do not believe we can use the date
a source ‘‘commences construction’’
under a minor source construction
permit approval as a demarcation point
for Step 2 sources that may continue
ongoing construction activities without
having to obtain a PSD permit based on
emissions of GHGs. Since we did not
provide prior notice of an intention to
adopt transition provisions applicable to
this situation, we are unable to adopt
such an exemption in this action that
applies the term commence
construction in this context.
Consequently, the approach described
previously applies the term ‘‘begin
actual construction’’ based on the
language in 40 CFR 52.21(a)(2)(iii) and
51.166(a)(7)(iii).
d. Transitional Issues for Title V
Permitting
Since the title V permitting
regulations already include a robust set
of provisions to address the
incorporation of new applicable
requirements and other transitional
considerations, we do not see grounds
to establish unique transition or
grandfathering provisions for GHGs in
this action. Furthermore, since the
purpose of title V is to collect all
regulatory requirements applicable to a
source and ensure compliance, we do
not believe special exemptions for GHG
requirements are likely to be justified.
The existing title V rules do not provide
any exemptions that relieve the
obligation to incorporate all applicable
requirements into a title V permit.
However, the title V regulations contain
numerous provisions that allow a
reasonable period of time for
incorporating new applicable
requirements or applying for a title V
permit that was not previously required.
Transitional issues for incorporation of
GHG requirements into title V
permitting generally involve questions
in the following categories: (1) Permit
application requirements for sources not
previously subject to title V that will
become subject to title V requirements
in Step 2 of the phase-in; (2) the need
for updates or amendments to title V
permit applications that are pending
when GHGs become subject to
regulation in Step 1 of the phase-in; and
(3) the incorporation of new applicable
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requirements for GHGs into existing
permits for sources currently subject to
title V.
With respect to the first category, a
title V source applying for the first time
must submit its permit application
within 12 months after the source
‘‘becomes subject to the [operating]
permit program’’ or such earlier time
that the permitting authority may
require (see 40 CFR 70.5(a)(1)). Sources
not otherwise subject to title V can
become major sources subject to title V
due to emissions of GHG no sooner than
July 1, 2011. If a source becomes
‘‘subject to the [operating] permit
program’’ on July 1, 2011, then its
permit application under the title V
operating permit program would
typically have to be submitted no later
than July 1, 2012.
There are also existing regulations
relevant for the second category of GHG
transition issues, where sources
currently subject to title V have title V
permit applications pending with a
permitting authority as of January 2,
2011. Where additional applicable
requirements become applicable to a
source after it submits its application,
but prior to release of a draft permit, the
source is obligated to supplement its
permit application. See 40 CFR 70.5(b);
71.5(b). Furthermore, title V permits are
generally required to contain provisions
to assure compliance with all applicable
requirements at the time of permit
issuance. See CAA section 504(a); 40
CFR 70.6(a)(1) and 71.6(a)(1). If a
permitting authority determines that
additional information is necessary to
evaluate or take final action on an
application (e.g., because of uncertainty
over whether a draft permit assures
compliance with all applicable
requirements), it may, and should,
request additional information from the
source in writing and set a reasonable
deadline for a response. See 40 CFR
70.5(a)(2); 71.5(a)(2).
Likewise, the existing title V
regulations provide sufficient transition
for the third category of issues, where a
source has additional GHG-related
applicable requirements (such as the
terms of a PSD permit) that must be
incorporated into its existing title V
permit. Where a source is required to
obtain a PSD permit, the source must
apply for a title V permit or permit
revision within 12 months of
commencing operation or on or before
such earlier date as the permitting
authority may establish (or prior to
commencing operation if an existing
title V permit would prohibit the
construction or change in operation).
See 40 CFR 70.5(a)(1)(ii); 71.5(a)(1)(ii);
see also 40 CFR 70.7(d) and (e); 71.7(d)
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31595
and (e) (permit modifications). In
addition, where a source becomes
subject to additional applicable
requirements, the permitting authority
is required to reopen the permit to add
those applicable requirements if the
permit term has three or more years
remaining and the applicable
requirements will be in effect prior to
the date the permit is due to expire. See
40 CFR 70.7(f)(1)(i); 71.7(f)(1)(i).
Finally, EPA notes that the existing
title V regulations require sources to
furnish permitting authorities, within a
reasonable time, any information the
permitting authority may request in
writing to determine whether cause
exists for modifying, revoking, and
reissuing, or terminating the permit, and
for other reasons, and further provide
that permitting authorities shall reopen
and revise permits if EPA or the
permitting authority determine that the
permit must be revised or revoked to
assure compliance with applicable
requirements. See 40 CFR 70.6(a)(6)(v);
71.6(a)(6)(v) and 70.7(f)(1)(iv);
71.7(f)(1)(iv).
Thus, EPA believes that the existing
title V regulations provide an adequate
regulatory framework for managing the
transition to incorporating GHG
requirements in title V permits and
additional specific exemptions or
transition rules for title V are not
currently warranted.
VI. What are the economic impacts of
the final rule?
This section of the preamble examines
the economic impacts of the final rule
including the expected benefits and
costs for affected sources and permitting
authorities. The final rule uses a
phased-in approach for requiring
sources of GHG emissions to comply
with title V operating permit and PSD
statutory requirements, essentially
lifting this burden for the phase-in
period for a large number of smaller
sources of GHG. Thus, this rule provides
regulatory relief rather than regulatory
requirements for these smaller GHG
sources. For larger sources of GHGs that
will be required to obtain title V permits
and/or comply on PSD requirements,
there are no direct economic burdens or
costs as a result of this final rule,
because these requirements are not
imposed as a result of this rulemaking.
Statutory requirements to obtain a title
V operating permit or to adhere to PSD
requirements are already mandated by
the CAA and by existing rules, not by
this rule. Similarly, this rule will
impose costs to society in the form of
foregone environmental benefits
resulting from GHG emission reductions
that, absent this rule, might otherwise
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have occurred at sources deferred from
permitting during the phase-in period.
The RIA conducted for this final rule
provides details of the benefits or
regulatory relief that smaller GHG
sources will experience in terms of costs
avoided as a result of this final rule and
the potential for social costs in terms of
foregone environmental benefits during
this 6-year period. Complete details of
the RIA conducted for this final rule
may be found in the document
‘‘Regulatory Impact Analysis for the
Final Prevention of Significant
Deterioration and Title V Greenhouse
Gas Tailoring Rule,’’ in the docket for
this rulemaking.
This rulemaking provides permitting
thresholds for sources of GHG that
exceed levels contained in the CAA, and
these levels are phased-in steps based
upon application of the ‘‘administrative
necessity’’ and ‘‘absurd results’’
doctrines as explained in section V.B.
For Step 1, which is effective from
January 2, 2011, through June 30, 2011,
only sources required to undergo title V
or PSD permitting based upon non-GHG
air pollutants are required to obtain an
operating permit or PSD permit to
include GHG emissions (referred to as
the ‘‘anyway’’ threshold). Step 2,
effective from July 1, 2011, until such
time as EPA acts on a rule to amend it
(which for reasons described previously,
we assume is June 30, 2013, for the
purposes of this analysis), will phase in
title V permit requirements for larger
sources emitting GHG above 100,000 tpy
CO2e (if they do not already have one)
and phase in for such sources, PSD
requirements when they are newly
constructed or modify in a way that
increases emissions by more than a
75,000 tpy CO2e significance level. Step
2 is referred to as the 100,000 tpy CO2e
threshold. Thereafter, EPA makes an
enforceable commitment to consider a
possible Step 3 to further lower
thresholds below 100,000 tpy CO2e and/
or permanently exclude some sources
from the program(s), but only after a
regulatory process is conducted
addressing ‘‘administrative necessity’’
and ‘‘absurd results’’ considerations
based upon the actual permitting
experiences in the first two steps of the
phase-in. In addition, EPA provides a
deferral of permitting until we take
required action in April 2016 for
sources and modifications that emit
below 50,000 tpy CO2e. The deferral
will end when a required study is
conducted of the permitting process for
sources of GHG and EPA acts, based on
the study, to promulgate a rule that
describes the additional GHG permitting
requirements beyond 2016. In the 6
years following promulgation of this
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rule, the EPA estimates that compared
to baseline estimates that do not include
the effects of this rule, over six million
sources of GHG emissions in total will
be allowed to continue to operate
without a title V operating permit.
During this period, tens of thousands of
new sources or modifying sources each
year will not be subject to PSD
requirements for GHG. For this large
number of smaller sources, this rule
alleviates the regulatory burden
associated with obtaining an operating
or PSD permit or complying with NSR
BACT requirements. Therefore, this
final action may be considered
beneficial to these small sources
because it provides relief from
regulation that would otherwise be
required.
This decision does potentially have
environmental consequences in the
form of higher emissions during the 6year period of time (generally because
emissions increases would have been
lower if BACT were applied). These
consequences are limited due to the fact
that sources between 100/250 and
100,000 tpy CO2e account for an
estimated 11 percent of the six directly
emitted GHG nationally from industrial,
commercial, and residential source
categories, while representing over 95
percent of the total number of sources
potentially requiring an operating or
PSD permit for GHG under current
permitting thresholds in the CAA.
Moreover, requiring such a large
number of small sources to obtain
permits for the first time would overtax
the permitting authorities’ abilities to
process new permits and would
therefore interfere with any such
benefits actually being achieved.
Moreover, reductions from these small
sources will still be occurring,
notwithstanding the fact that permitting
requirements would not apply to them.
These smaller sources of GHGs will be
the focus of voluntary emission
reduction programs and energy
efficiency measures that lead to
reductions in GHGs. We will also
reevaluate this decision after a 6-year
period and complete a study of the
implications for those sources and
permitting authorities of permitting
smaller GHG sources beyond 2016.
In reaching the preceding decisions
for this final rule, we carefully
considered comments received on the
Tailoring Rule proposal. We received
several comments specifically on our
description of the impacts of this rule.
Most of these comments disagreed with
our assertion that the rule is a ‘‘relief’’
rule. Others assert that we should have
prepared a more comprehensive RIA
than prepared for the rule proposal.
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Those commenting contend: (1) We
understated the burdens of the rule
while overstating its relief at proposal;
(2) we erroneously omitted the impacts
for ‘‘larger sources’’ of GHGs from the
proposal RIA and should have
recognized the burden to ‘‘larger
sources’’ due to other GHG actions; (3)
the economic impacts the rule will have
on industry and the U.S. economy and
society in general will be burdensome,
especially given the current state of the
economy; and (4) we need to propose a
full RIA or a complete estimation of
impacts to comply with CAA section
307(d) and the APA.
EPA has carefully considered the
comments addressing the issue of
whether the Tailoring Rule is a
regulatory ‘‘relief rule,’’ and we are not
persuaded that we erred in concluding
that the effect of the Tailoring Rule is to
provide regulatory relief to a large
number of sources of GHG for a period
of up to 6 years. This final rule will
provide relief from title V permitting to
over 6 million sources of GHG in this
country. Likewise tens of thousands of
sources potentially subject to PSD
permitting requirements annually for
GHG will have regulation postponed for
a period of up to 6 years under this rule,
followed by an additional required rule
addressing the period beyond 6 years.
While larger sources of GHG may be
required to obtain title V permits or
modify existing permits and to comply
with PSD requirements, these burdens
result not from the Tailoring Rule but
rather from the CAA requirements to
apply PSD and title V to each pollutant
subject to regulation, which are
triggered when the LDVR takes effect.
To clearly illustrate this, consider what
would occur if EPA did not complete
the Tailoring Rule. Sources would not
be relieved of the requirement to obtain
permits addressing each pollutant
subject to regulation when they
construct or modify, nor would they be
relieved of their obligation to obtain title
V permits. Instead, these requirements
would simply apply to a much larger
population of sources and
modifications, and would lead to the
absurd results and severe impairment to
program implementation that this rule is
designed to address.
In response to comments asserting
that the RIA completed for proposal of
this rulemaking: (1) Understated the
burdens of the rule and overstated the
benefits, (2) did not fully recognize the
rule will be burdensome, especially
given the current state of the economy;
and (3) does not consider a complete
estimation of impacts to comply with
the APA and CAA section 307(d) and
needs to correct flawed or erroneous
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assumptions, EPA did make
improvements and modifications to the
RIA completed for this final rule. Based
upon comments, EPA modified
estimates of the number of sources
affected at various threshold levels
upward. EPA also improved the burden
estimates associated with obtaining
permits for sources and permitting
authorities.
After consideration of the burden
imposed by the proposed rule with
these improved estimates for affected
sources, the EPA modified the steps of
the phase-in period to include two
initial steps, described in section V, that
are higher, and therefore cover fewer
sources and are less burdensome than
the proposal threshold of 25,000 tpy
CO2e emissions. EPA also increased the
threshold below which permitting
would not apply for 6 years from 25,000
to 50,000 tpy CO2e. After the initial two
step period, EPA has committed to
consider lower thresholds but only
down to 50,000 tpy CO2e, and only after
a regulatory process that uses
information gathered on actual
permitting activity during the first two
steps of the phase-in period. The RIA
conducted for the final rule also
incorporates improvements in our
estimates of the number of sources
affected at alternative thresholds and
improved estimates of the costs of
obtaining permits by sources and
processing permits by permitting
authorities. The EPA acknowledges that
the regulatory relief associated with the
control costs due to BACT requirements
for PSD new and modifying sources is
not included in the RIA for the final rule
due to the lack of sufficient data about
the nature of those requirements.
However, it is the case that, as it relates
to burden, those estimates would simply
increase the amount of regulatory relief
associated with this final rule.
Finally, with regard to comments that
the RIA should have been a more
comprehensive analysis to include the
larger sources of GHG that will be
required to obtain permits when GHG
are regulated, the EPA maintains as
previously explained that there are no
direct economic burdens or costs as a
result of this rule for these sources.
Requirements for larger GHG sources to
obtain title V or PSD permits are already
mandated by the Act and by existing
rules and are not imposed as a result of
the Tailoring Rule. Thus the economic
impacts for larger sources of GHG do not
occur because of this Tailoring Rule. To
include these larger sources in the RIA
would actually be an inaccurate
assessment of how this rule affects
sources and would ignore the fact that
this rule provides regulatory relief.
A. What entities are affected by this
final rule?
As previously stated, this final rule
does not itself result in the application
of permitting requirements to any
industrial, commercial, or residential
entities. Entities affected by this rule are
those who experience regulatory relief
due to the higher thresholds and
deferred applicability set forth in this
rule. This action increases the threshold
to obtain a title V and PSD permitting
from statutory CAA levels using a
phased-in step process as previously
discussed. As Table VI–1 shows, this
action lifts permitting requirements for
over six million potential title V sources
in total and tens of thousands of
potential PSD new sources annually that
would be otherwise required by the
CAA to obtain permits. Under Step 1,
over six million title V sources in total
and approximately 20 thousand new
PSD sources per year will not be
required to obtain permits. Under Step
2, requiring sources over a 100,000 tpy
CO2e to obtain a permit, over six million
title V sources in total and
approximately 19.9 thousand new PSD
sources per year will obtain regulatory
relief. While the threshold approach
differs for Steps 1 and 2 of the phasein plan, the estimated number of
sources affected does not differ greatly
as shown in Table VI–1. Sectors
experiencing this regulatory relief
include electricity, industrial, energy,
waste treatment, agriculture,
commercial and residential.
TABLE VI–1—ESTIMATED NUMBER OF AFFECTED SOURCES EXPERIENCING REGULATORY RELIEF 1, 2
Number of sources experiencing regulatory relief
Sector
Step 1
Anyway
Title V
Step 2
New PSD
100,000 tpy
Title V
New PSD
Electricity ..........................................................................................
Industrial ..........................................................................................
Energy ..............................................................................................
Waste Treatment .............................................................................
Agriculture ........................................................................................
Commercial ......................................................................................
Residential .......................................................................................
285
170,910
2,588
3,358
37,351
1,355,921
4,535,500
93
604
48
2
299
12,041
6,915
285
170,654
2,536
3,165
37,351
1,355,870
4,535,500
33
599
44
1
299
12,039
6,915
Totals ........................................................................................
6,105,913
20,002
6,105,361
19,930
% Emissions Covered 3 ...................................................................
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Notes: (1) Number of sources is determined on a PTE basis. Estimates for title V are the total number of sources expected to experience regulatory relief. PSD sources are annual estimates of newly constructed facilities and do not include modifications at existing facilities that may also
be subject to PSD requirements. (2) See appendices to ‘‘Regulatory Impact Analysis of the Final Prevention of Significant Deterioration and Title
V Greenhouse Gas Tailoring Rule’’ for more details of how thresholds and sources affected are developed. (3) Percentage of emissions covered
represent estimated actual emissions from sources expected to experience regulatory relief as a percentage of total stationary source GHG
emissions.
B. What are the estimated annual
benefits to sources due to regulatory
relief from the statutory requirements?
EPA estimated the annual benefits
(avoided costs) to sources of GHG
emissions and permitting authorities
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anticipated from this final rule. In
addition, an accounting of the benefits
from this action as measured by avoided
permit processing costs for state, local,
and tribal permitting authorities is
provided. These benefits or avoided
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costs relate specifically to permit
burden costs postponed for smaller
sources of GHG emissions otherwise
required to obtain an operating permit
under title V or required to modify an
existing permit to address GHG
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emissions. Avoided costs shown also
include permit burdens for additional
PSD permits postponed for new or
modifying smaller sources of GHG, as
well as the avoided costs to state, local
and tribal permitting authorities. We are
providing an illustrative monetary
estimate of statutory permitting
requirements to show the magnitude of
the savings that hypothetically result
from this rulemaking. While we believe
it is impossible to implement these
permit requirements by January 2, 2011,
for the reasons laid out in this preamble,
it is useful to understand the scale of
what the burden may have been. For
sake of simplicity, we refer to this
illustrative monetary estimate as the
monetized benefits of the regulatory
relief presented by this rulemaking or
regulatory relief benefits for brevity.
These benefit estimates do not
consider avoided emission control costs
associated with PSD requirements for
potential BACT requirements. Estimates
for BACT are unavailable at this time
because of the difficulty predicting the
results of the BACT process as it would
be applied to new pollutants and classes
of sources for which there is no
previous BACT experience on which to
rely.
1. What are annual estimated benefits or
avoided burden costs for title V permits?
Table VI–2 shows that the estimated
annual title V benefits to sources and to
permitting authorities in terms of
avoided information collection cost
resulting from this final action to be
approximately $70,535 million under
Step 1 of the phase-in. These avoided
costs become $70,520 million annually
under Step 2 of the phase-in. where
permitting is required for sources at or
above the 100,000 tpy CO2e threshold.
Under the anyway threshold Step 1,
approximately $49,457 million in
regulatory relief will accrue to sources
and approximately $21,078 million to
permitting authorities annually in the
form of avoided permit processing costs.
With the 100,000 tpy CO2e threshold for
phase-in Step 2, these annual regulatory
relief benefits are expected to be quite
similar at $49,447 million for sources of
GHG emissions and $21,072 million for
permitting authorities. Industrial
sources permitting costs are estimated to
be $46.4 thousand per permit for a new
permit and $1.7 thousand for a permit
revision. The EPA estimates that over
tens of thousands of industrial sources
per year will avoid incurring these
permitting costs under Steps 1 and 2 of
the phase-in period. The cost for a
permit for new commercial and
residential sources is estimated to be
$23.2 thousand per permit with
approximately 2 million of these
permits avoided annually.
State, local, and tribal permitting
authorities will also benefit in terms of
avoided permitting administrative costs
of over $21 billion as a result of the
decisions final in this action. For
industrial sources, the cost for
permitting authorities to process a new
industrial title V permit is
approximately $19.7 thousand per
permit and $1.8 thousand for a permit
revision. Similarly, permitting authority
avoided permit processing costs are
approximately $9.8 thousand per permit
for a new commercial or residential title
V permit. All estimates are stated in
2007 dollars.
TABLE VI–2—ANNUAL TITLE V REGULATORY RELIEF FOR SOURCES AND PERMITTING AUTHORITIES 1, 2
Step one
anyway
Cost per permit
(2007$)
Activity
Sources:
New Industrial ...........................................
New Commercial/Residential ....................
Permit revisions due to GHG ...................
Number of
permits
Step two
100,000 tpy CO2e
Avoided costs
(millions 2007$)
Number of
permits
Avoided costs
(millions 2007$)
$46,350
23,175
1,677
71,829
1,985,948
61,836
$3,329
46,024
104
71,657
1,985,930
60,921
$3,321
46,024
102
Source Total ......................................
Permitting Authority:
New Industrial ...........................................
New Commercial/Residential ....................
Permit revisions due to GHG ...................
............................
2,119,613
49,457
2,118,508
49,447
19,688
9,844
1,840
71,829
1,985,948
61,836
1,414
19,550
114
71,657
1,985,930
60,921
1,410
19,550
112
Permitting Authority Total ..................
............................
2,119,613
21,078
2,118,508
21,072
Total Title V Regulatory Relief ...
............................
............................
70,535
............................
70,520
Notes: Sums may not add due to rounding.
1 Annual title V avoided costs estimates represent information collection costs for one third of the total number of title V sources obtaining regulatory relief shown in Table VI–1 potentially requiring permits or permit revisions for GHG.
2 More details on these estimated regulatory relief benefits are available in the appendices to the ‘‘Regulatory Impact Analysis for the Final Prevention of Significant Deterioration and Title V Greenhouse Gas Tailoring Rule.’’
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2. What are annual benefits or avoided
costs associated with NSR permitting
regulatory relief?
Table VI–3 summarizes the estimated
annual permit burden costs avoided by
sources and permitting authorities for
PSD permitting due to this Tailoring
Rule. The benefits associated with
avoided cost of compliance for BACT
for these sources is not included in
these estimates due to a lack of available
data. The estimated avoided burden or
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reporting and recordkeeping cost that
would occur absent this rule for new
industrial sources to obtain permits is
estimated to be $84.5 thousand for a
modifying PSD industrial source and
$59.2 thousand for a modifying
commercial or multi-family residential
source. New PSD sources will also be
required to obtain a title V permit
increasing these costs to $130.9
thousand per permit for new industrial
sources and to $82.3 thousand per
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permit for new commercial or multifamily residential sources. (Note the
title V costs for these new PSD sources
have been included in title V estimates
shown in Table VI–2.) New and
modifying sources avoid approximately
$5.5 billion annually in PSD permitting
costs with this rule under the phase-in
Step 1 threshold. Under the phase-in
Step 2, 100,000 tpy CO2e threshold and
75,000 tpy CO2e significance level, this
avoided PSD permitting cost estimate
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becomes $5.4 billion annually. State,
local, and tribal permitting authorities
are expected to avoid about $1.51
billion annually in administrative
expenditures associated with
postponing PSD program requirements
for these GHG sources under Step 1 and
$1.49 billion under Step 2. All estimates
are shown in 2007 dollars.
TABLE VI–3—ANNUAL PSD REGULATORY RELIEF FOR SOURCES AND PERMITTING AUTHORITIES 1, 2
Step one
anyway
Cost per permit
(2007$)
Activity
Sources:
New Industrial ...........................................
New Commercial/Residential ....................
Number of
permits
Step two
100,000 tpy
threshold, 75,000
significance level
Avoided costs
(millions 2007$)
Number of
permits
Avoided costs
(millions 2007$)
$84,530
59,152
26,089
55,509
$2,205
3,283
25,174
55,505
$2,128
3,283
Source Total ......................................
Permitting Authority:
New Industrial ...........................................
New Commercial/Residential ....................
............................
81,598
5,489
80,679
5,411
23,243
16,216
26,089
55,509
606
900
25,174
55,505
585
900
Permitting Authority Total ..................
............................
81,598
1,506
80,679
1,485
Total Title V Regulatory Relief ...
............................
............................
6,995
............................
6,896
Notes: Sums may not add due to rounding.
1 All estimates are based upon PTE. Regulatory relief shown represents annual estimates of PSD permitting costs avoided under Steps 1 and
2 of the phase-in period.
2 More details on these estimated regulatory relief benefits are available in the appendices to the ‘‘Regulatory Impact Analysis for the Final Prevention of Significant Deterioration and Title V Greenhouse Gas Tailoring Rule.’’
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C. What are the economic impacts of
this rulemaking?
This final rulemaking does not
impose economic burdens or costs on
any sources or permitting authorities,
but should be viewed as regulatory
relief for smaller GHG emission sources
and for permitting authorities. Although
sources above the thresholds set in this
rule will become subject to permitting
on January 2, 2011, those impacts are
not attributable to the present
rulemaking. Rather they are mandated
by the CAA and existing regulations and
automatically take effect independent of
this action.
In addition to considering the
regulatory relief expected for affected
entities as a result of this final rule, the
EPA considered the impact of this
rulemaking to small entities (small
businesses, governments and non-profit
organizations) as required by the
Regulatory Flexibility Act (RFA) and the
Small Business Regulatory Enforcement
Fairness Act (SBREFA). For
informational purposes, the RIA
includes the SBA definition of small
entities by industry categories for
stationary sources of GHG and potential
regulatory relief from title V and NSR
permitting programs for small sources of
GHG. Since this rule does not impose
regulatory requirements but rather
lessens the regulatory burden of the
CAA requirements to smaller sources of
GHG, no economic costs are imposed
upon small sources of GHG as a result
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of this final rule. Rather this action
provides regulatory relief for small
sources. These avoided costs or benefits
accrue because small sources of GHG
are not required to obtain a title V
permit and new or modifying small
sources of GHG are not required to meet
PSD requirements. Some of the small
sources benefitting from this action are
small entities, and these entities will
benefit from the regulatory relief
finalized by this rule. For discussion of
comments received and EPA responses
regarding small entities impacts, see
section VII of this preamble.
D. What are the costs of the final rule
for society?
EPA examined the social costs of this
final rule. These social costs represent
the foregone environmental benefits that
will occur as a result of the regulatory
relief offered to sources of GHG
emissions. This action is one of
regulatory relief since it increases the
emissions thresholds for the title V and
PSD programs, as they apply to sources
of GHG emissions, to levels above those
in the CAA. In this preamble section,
the benefits or avoided regulatory costs
of such relief are discussed, but there is
also a social cost imposed by such relief,
because this rule may forego some of the
possible benefits associated with title V
and PSD programs for sources of GHG
emissions below the permitting
thresholds established. These benefits
are those attributed to title V and PSD
permitting programs in general. These
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benefits are based upon the relevance of
these programs to policymaking,
transparency issues, and market
efficiency, and therefore are very
difficult to quantify and monetize. For
title V, they include the benefits of
improved compliance with CAA
requirements that stem from (1)
Improved clarity regarding applicability
of requirements, (2) discovery and
required correction of noncompliance
prior to receiving a permit, (3)
improving monitoring, recordkeeping,
and reporting concerning compliance
status, (4) self-certification of
compliance with applicable
requirements initially and annually, and
prompt reporting of deviations from
permit requirements, (5) enhanced
opportunity for the public to understand
and monitor sources’ compliance
obligations, and (6) improved ability of
EPA, permitting authorities, and the
public to enforce CAA requirements.
However, it is important to remember
that a title V permit generally does not
add new requirements for pollution
control itself, but rather collects all of a
facility’s applicable requirements under
the CAA in one permitting mechanism.
Therefore, the compliance benefits
above are less when title V permits
contains few or no CAA applicable
requirements. During the initial steps of
the phase-in plan established under this
action, we expect that the vast majority
of sources excluded from title V would
be sources that have no CAA applicable
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requirements for GHG emissions and
few or no requirements for other
pollutants because their emissions of
those pollutants are so small. For this
reason, while it is extremely difficult to
measure the degree of improved
compliance, if any, that would be
foregone, or to quantify the social costs
that would be imposed, we expect that
they would be small. We will be
evaluating this issue further during
subsequent phases.
For PSD, the primary social cost
imposed by the Tailoring Rule stems
from the foregone benefit of applying
BACT to the tens of thousands of small
new sources and modifications that will
be below our final thresholds during the
first steps of the phase-in. This social
cost potentially weighs against the cost
savings described previously that stem
(in part) from avoiding the
administrative and control costs of
applying BACT to these sources. The
BACT requirement assures that new and
modified sources, when they increase
their emissions are using state-of-the-art
emission controls and affords the public
an opportunity to comment on the
control decision. It does not prohibit
increases but it assures that such
controls are applied. Delaying the BACT
requirement for numerous small sources
during the first steps of the phase-in for
this final rule could allow increases
from these smaller sources that are
greater than they would be if BACT
were applied. A detailed analysis of this
difference is beyond the scope of this
rule, because we do not have detailed
information on the universe of these
tens of thousands of small PSD actions,
the candidate BACT technologies for
each of them, how permitting
authorities would make the BACT
decisions, and how the BACT limit
would compare to what would
otherwise be installed absent BACT.
It is not possible at this time to
quantify the social costs of avoided
BACT. However, we note that the
universe of possible emissions that
would be regulated by sources excluded
under the Tailoring Rule is small
compared to those that would remain
subject to PSD. The sources excluded in
these first two steps of the phase-in plan
of this action comprise only 11 percent
of total stationary source GHG
emissions, while 67 percent remain
subject to regulation. Furthermore, we
expect the emissions differences due to
BACT controls for such sources to be
relatively small due to the lack of
available capture and control
technologies for GHG at such sources
that are akin to those that exist for
conventional pollutants and sources, as
well as the likelihood that even in the
absence of BACT such sources would
already be installing relatively efficient
GHG technologies to save on fuel costs.
Thus, while potential benefits would be
foregone by excluding smaller sources
from the permitting programs, these
benefits are likely to be small. Under the
Tailoring Rule, we will be working
during the 6-year period to greatly
improve our understanding of both the
administrative costs of regulating and
the social costs of not regulating smaller
sources under PSD and title V, and we
will be relying on that information to
support our future threshold analyses
called for under the action.
In reaching the decisions for this
Tailoring Rule, the EPA recognizes that
GHG emissions can remain in the
atmosphere for decades to centuries,
meaning that their concentrations
become well-mixed throughout the
global atmosphere regardless of
emission origin, and their effects on
climate are long lasting and significant.
A detailed explanation of climate
change and its impact on health,
society, and the environment is
included in EPA’s TSD for the
endangerment finding action (Docket ID
No. EPA–HQ–OAR–2009–0171). The
EPA recognizes the importance of
reducing climate change emissions for
all sources of GHG emissions including
those sources afforded regulatory relief
in this rule and plans to address
potential emission reductions from
these small sources using voluntary and
energy efficiency approaches.
Elsewhere, we have discussed EPA’s
interest in continuing to use regulatory
and/or non-regulatory tools for reducing
emissions from smaller GHG sources
because we believe that these tools will
likely result in more efficient and costeffective regulation than would case-bycase permitting.
E. What are the net benefits of this final
rule?
The net benefits of this GHG tailoring
rule represent the difference between
the benefits and costs of this rule to
society. As discussed in this preamble,
this rule is one of regulatory relief and
the benefits to society are estimates the
regulatory relief (avoided permit burden
costs) to sources and permitting
authorities for Steps 1 and 2 of the
phase-in period. The social costs of the
rule are the foregone environmental
benefits in the form of potential GHG
emission reductions that could occur
during the phase-in period and are
discussed qualitatively.
This rulemaking provides regulatory
relief for a phase-in period to smaller
sources of GHG by phasing in the
statutory permitting threshold at levels
above statutory requirements. This final
rule establishes thresholds and PSD
significance levels for Steps 1 and 2 of
the phase-in period (the 2.5 year period
between January 2, 2011 and July 1,
2013), commits to considering a further
Step 3, and indicates floor title V and
PSD threshold levels from July 1, 2013
through April 30, 2016. The net benefits
of the final rule for Steps 1 and 2 are
$193,598+B–C million for the 2 and onehalf year period where B denotes the
unquantified benefits and C the
quantified costs of this final rule. These
unquantified benefits of this rule
include the avoided PSD BACT costs for
new and modifying sources. The
unquantified costs previously discussed
relate to the foregone environment
benefits or GHG emission reductions
that might be possible during the 2.5
year Step 1 and 2 phase-in period.
These estimates are subject to
significant uncertainties that are
discussed at length in the Regulatory
Impact Analysis for the Prevention of
Significant Deterioration and Title V
GHG Tailoring Rule contained in the
docket to this final rule. All dollar
estimates shown are based upon 2007$.
TABLE VI–4—NET BENEFITS OF THE RULE FOR STEPS 1 AND 2 OF THE PHASE-IN PERIOD
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Final rule amounts
(millions of 2007$)
Benefits—Regulatory Relief:
Sources
Title V 1 .............................................................................................................................................................................
PSD 2 ................................................................................................................................................................................
Total Source Regulatory Relief .................................................................................................................................
Permitting Authority:
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$13,567
$137,190
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TABLE VI–4—NET BENEFITS OF THE RULE FOR STEPS 1 AND 2 OF THE PHASE-IN PERIOD—Continued
Final rule amounts
(millions of 2007$)
Title V 1 .............................................................................................................................................................................
PSD 2 ................................................................................................................................................................................
Total Permitting Authority ..........................................................................................................................................
$52,684
$3,724
$56,407
Total Regulatory Relief ..............................................................................................................................................
Costs—Foregone GHG Emission Reductions
Title V & PSD ...................................................................................................................................................................
Net Benefits 3 ...........................................................................................................................................................................
$193,598+B
C
$193,598+B–C
Benefits represent regulatory relief for sources with the annual potential to emit below the thresholds shown.
B—Unquantified benefits of the rule include regulatory relief from BACT requirements for PSD sources.
C—Unquantified social costs of tailoring rule represents economic value of foregone environmental benefits (potential GHG emission reductions) during Step 1 and 2 of the phase-in period. Foregone GHG emission reductions are not known at this time.
1 Reflects estimates of regulatory relief or avoided permit burden costs for title V GHG sources and permitting authorities.
2 Shows estimates of regulatory relief or avoided permit burden costs for GHG PSD sources and permitting authorities.
3 Includes one-half year of Step 1 (anyway threshold), 2 years of Step 2 (100,000 threshold).
VII. Comments on Statutory and
Executive Order Reviews
In this section, we provide responses
to comments we received for various
Executive Orders.
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A. Comments on Executive Order
12866—Regulatory Planning and
Review
At proposal, EPA prepared an
analysis of the potential costs and
benefits associated with EPA’s Tailoring
Rule proposal in an RIA. Several
commenters state that EPA’s failure to
estimate the full costs of the effects of
its interpretation of PSD applicability in
the proposed Tailoring Rule violates
Executive Order 12866. Some of these
commenters maintain that Executive
Order 12866 directs EPA to submit to
the Office of Management and Budget
(OMB) new significant regulations
under consideration by the EPA. These
commenters assert that, in the section
202 rule, EPA failed to analyze the effect
on stationary sources in the cost benefit
analysis and there is no indication that
EPA included these impacts in its
submission to OMB. According to the
commenters, in EPA’s proposal for this
rulemaking, EPA has similarly failed to
analyze the costs and benefits of
triggering PSD for stationary sources.
The commenters assert that without this
key information, OMB could not fully
review the impacts of the proposed rule.
The commenters believe that EPA’s
failure to account for known costs that
will occur as a direct result of the
promulgation of the proposed rule in
conjunction with the section 202 rule
violates several applicable requirements
of Executive Order 12866, including
sections 6(B)(ii) and 6(C)(iii), which
require assessments of the potential
costs and benefits of the regulatory
action and ‘‘reasonably feasible
alternatives to the planned regulation,
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identified by the Agencies or the public
* * *’’ thereby violating both the APA
and CAA section 307(d) because they
deprive businesses and permitting
authorities alike of a meaningful
opportunity to comment on the rule.
The EPA has prepared a revised RIA
assessing the benefits and costs of the
final Tailoring Rule to support this
rulemaking in accordance with
Executive Order 12866, as was done
with the proposal for this rulemaking.
Similarly, the RIA completed for this
action is subject to review by an Interagency review panel that includes OMB,
as was the case with the proposal RIA.
Further, the RIA completed for this final
rule fully assesses the known benefits
and costs associated with the Tailoring
Rule. This final rule is one of regulatory
relief from statutory requirements in
which a large number of sources of
GHGs will be relieved of the burden of
title V and PSD permitting for a period
of at least 6 years. This final rule will
provide relief from title V permitting to
over 6 million sources of GHG in this
country. Likewise tens of thousands of
sources potentially subject to PSD
permitting requirements for GHGs will
have regulation postponed for a period
of at least 6 years. While larger sources
of GHG may still be required to obtain
title V permits or modify existing
permits and to comply with PSD
requirements, these burdens result from
existing statutory requirements, not
from this final Tailoring Rule.
B. Comments on the Paperwork
Reduction Act
At proposal, we stated in the
preamble that we did not believe that
the proposal would impose any new
information collection burden. We
concluded that the proposed action
would reduce costs incurred by sources
and permitting authorities relative to the
costs that would be incurred if EPA did
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not revise the rule and provided
estimates of those reduced costs.
Further, we stated that, despite our
estimated burden reductions, it was
unnecessary for us to submit a new ICR
to the OMB because the ICR contained
in the existing regulations for PSD (see,
e.g., 40 CFR 52.21) and title V (see 40
CFR parts 70 and 71) had already been
approved under the provisions of the
Paperwork Reduction Act, 44 U.S.C.
3501 et seq. and was assigned OMB
control number 2060–0003 and OMB
control number 2060–0336,
respectively.
However, several commenters
disagree that it was unnecessary for us
to submit a new ICR for the proposed
action. These commenters believe that
(1) prior approval of an ICR for the PSD
and title V programs ignores the fact
that there would be an increase in the
paperwork burden as a result of
applying PSD and title V permitting
requirements; and (2) unless EPA
resubmits the information collection
approval request to OMB with a proper
and fully-inclusive analysis, EPA will
lack authority to collect information
from stationary sources for PSD and title
V GHG emissions permitting.
As we stated in the proposal, this is
a burden relief rule and as such it does
not impose any new requirements for
the NSR or title V programs that are not
currently required. For that reason, we
concluded that for purposes of this rule
it was unnecessary for us to submit a
new ICR to the OMB and that the ICR
contained in the existing regulations for
PSD (see, e.g., 40 CFR 52.21) and title
V (see 40 CFR parts 70 and 71) that had
already been approved under the
provisions of the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. and was
assigned OMB control number 2060–
0003 and OMB control number 2060–
0336, respectively, still applies.
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Nevertheless, we understand that
once GHGs are regulated under the PSD
and title V programs, there might be an
increase in the overall paperwork
burden for these programs. EPA will
have to assess this possible burden
during the normal course of 3-year
renewal ICR process.
C. Comments on the RFA
At proposal, EPA certified that the
proposed rule would not have a
significant impact on a substantial
number of small entities and therefore
we are not obligated to convene a formal
Small Business Advocacy Review
(SBAR) panel. This certification was
based upon the fact that the proposed
action would relieve the regulatory
burden associated with the major PSD
and title V operating permits programs
for new or modified major sources that
emit GHGs, including small businesses.
Nevertheless, EPA was aware at
proposal that many small entities would
be interested in the various GHG
rulemakings currently under
development and might have concerns
about the potential impacts of the
statutory imposition of PSD
requirements that may occur as a result
of the group of EPA actions,
notwithstanding the relief provided to
small businesses by the Tailoring Rule.
For these reasons, and in collaboration
with the SBA, EPA conducted an
outreach meeting designed to exchange
information with small entities that may
be interested in these regulations. The
outreach effort was organized and led by
representatives from EPA’s Office of Air
Quality Planning and Standards within
the Office of Air and Radiation, EPA’s
Office of Policy Economics and
Innovation, the Office of Information
and Regulatory Affairs within OMB, and
the Office of Advocacy of the SBA. This
meeting was conducted on November
17, 2009 in Arlington, VA, and
documentation of this meeting, which
includes a summary of the advice and
recommendations received from the
small entity representatives identified
for the purposes of this process, can be
obtained in the docket for this
rulemaking. (See Docket No. EPA–HQ–
OAR–2009–0517–19130.)
During the comment period, several
commenters alleged that EPA
inappropriately limited its RIA and
RFA/SBREFA analysis, and that had we
done a comprehensive analysis, we
would not have been able to certify that
any of the proposed rules will not have
a significant economic impact on a
‘‘substantial number of small entities.’’
Thus they conclude that EPA failed to
prepare and publicize an initial
regulatory flexibility analysis (IRFA).
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Additional commenters stated that
EPA’s failure to conduct an IRFA to
assess the full costs of the effects of its
interpretation of PSD applicability in
the proposed Tailoring Rule violates a
host of statutes and Executive Orders
requiring analysis and public review of
regulatory burdens. These commenters
conclude that EPA should have
convened one or more SBAR Panels.
We are not persuaded that we should
have taken into account effects beyond
those caused by the Tailoring Rule
when we made our certification of no
significant economic impact on a
substantial number of small entities for
this rule. No permitting requirements
are imposed by this final Tailoring Rule.
Instead, this final Tailoring Rule offers
regulatory relief to over an estimated six
million sources of GHG emissions that
would otherwise be required to obtain a
title V permit and tens of thousands of
sources of GHG emissions subject to
PSD permitting requirements that would
otherwise be required statutorily to
obtain permit. The RFA does not require
that an agency complete a regulatory
flexibility analysis or conduct an SBAR
panel where the rule does not have any
negative impact on small entities. For
more discussion of RFA issues, please
see the RTC document.
D. Comments on the Unfunded
Mandates Reform Act
At proposal, EPA asserted that the
Tailoring Rule does not impose
unfunded mandates on any entities
including sources and permitting
authorities. Since the proposed
Tailoring Rule is one of regulatory relief,
it alleviates the burden of adhering to
statutorily required permitting
thresholds and does not impose
regulatory requirements.
Some commenters on the proposed
rule assert that EPA has failed to comply
with the requirements of the Unfunded
Mandates Reform Act (UMRA),
pursuant to which EPA must assess the
effects of the proposed rule on state,
local, and tribal governments and the
private sector. Specifically, these
commenters state that section 202 of the
UMRA requires EPA to prepare a
written statement, including a costbenefit analysis, for proposed rules with
‘‘federal mandates’’ that may result in
expenditures to state, local, and tribal
governments, in the aggregate, or to the
private sector, of $100 million or more
in any 1 year. According to the
commenters, in concluding that ‘‘the
revisions would ultimately reduce the
PSD and title V program administrative
burden that would otherwise occur in
the absence of this rulemaking,’’ EPA
did not account for the billions of
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dollars that permitting authorities and
stationary sources will soon be required
to spend once PSD is triggered for
GHGs. Additionally, a few commenters
contend that the EPA underestimated
the impacts to public utilities which are
owned/operated by local governments
and also to state regulatory agencies.
The EPA has carefully considered the
comments on unfunded mandates
expressed by commenters to the
proposed rule. The EPA did complete a
RIA for the final rule assessing the
benefits and costs of the Tailoring Rule,
including any unfunded mandates. As
previously discussed, the Tailoring Rule
is one of regulatory relief because it
increases the GHG emissions threshold
for NSR and title V permitting
substantially above otherwise statutory
requirements. As such, the EPA has
determined that this Tailoring Rule does
not impose unfunded mandates on any
entities. This RIA of the final rule
incorporates the extensive changes
made in this final rule, including
increased threshold levels for title V and
PSD above those contained in the
proposed rule. While we also
incorporated improved estimates of the
costs for sources to obtain permits and
for permitting authorities to process
permits, they do not change our
conclusion that this final rule does not
impose unfunded mandates on any
entities.
E. Comments on Executive Order
13132—Federalism
Some comments received on the
proposed rule assert that federalism
concerns were ignored, in violation of
Executive Order 13132. According to
the commenters, EPA cannot maintain
that the Tailoring Rule ‘‘will not have a
substantial direct effect on the states, on
the relationship between the national
government and the states, or on the
distribution of power and
responsibilities between various levels
of government,’’ such that Executive
Order 13132 does not apply. Some of
these commenters assert that the
proposed rulemaking would require
radical changes in state laws, interjects
GHGs into permit programs never once
conceived for that purpose (any more
than was EPA’s), requires massive staff
hiring at state agencies, and rewrites
SIPs in place for years or even decades.
As we stated previously, this is a
burden relief rule and as such it does
not impose any requirements for the
NSR or title V programs that are not
currently required. In addition, this
action does not interject GHGs into the
permit programs, nor does it change
state laws or SIPs to impose any new
permitting requirements. Instead, this
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action will significantly reduce the
burden and costs incurred by sources
and permitting authorities relative to the
burden and costs that would be incurred
if EPA did not revise the permitting
provisions to account for higher
applicability thresholds for GHG
emissions.
However, since this rule finalizes
burden reducing thresholds that will not
otherwise apply to the PSD and title V
programs, we are aware that a few states
may have to amend their SIPs to
incorporate these new thresholds if they
do not incorporate federal rules by
reference and cannot adopt our
approach through interpretation.
Executive Order 13132 is still not
implicated by this rule because it
finalizes burden reducing thresholds
that would not otherwise apply to the
PSD and title V programs.
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F. Comments on Executive Order
13175—Consultation and Coordination
With Indian Tribal Governments
The National Tribal Air Association
(NTAA) supports EPA’s proposed rule
but requests that tribal air grant funding
be increased to reflect the air qualityrelated needs of tribes across the nation,
and to allow these tribes the
opportunity to implement the CAA’s
PSD and title V programs. The NTAA
states that, not only are tribes eligible
for section 103 grant funding to conduct
air quality monitoring, emissions
inventories, and other studies and
assessments, but they may also obtain
section 105 grant funding to implement
CAA regulatory programs. According to
the NTAA, tribes are facing many of the
same air-related issues that neighboring
state and local jurisdictions are facing,
but are significantly underfunded to
address such issues.
The Agency is aware and concerned
about the resource needs for the tribal
air program and we are working to see
how grant funding might be increased in
the future. Nevertheless and for the
purpose of the permitting programs, we
want to clarify that tribes that develop
Tribal Implementation Plans (TIPs) can
charge for permits and tribes with
delegation or authorization would
develop permit fee programs under their
authority (e.g., Navajo’s permit fee
program for their delegated title V
permit program) to fund both the NSR
and title V programs. For these reasons,
there are a number of ways we would
like to work with tribes to address the
funding concern, including encouraging
delegation or authorization of
permitting programs and having model
codes available for tribes that want to do
TIPs for NSR and title V permitting.
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G. Comments on Executive Order
13211—Actions That Significantly
Affect Energy Supply, Distribution, or
Use
Other commenters assert that EPA’s
analysis under Executive Order 13211 is
insufficient because it addresses only
smaller sources. These commenters
contend that EPA has not meaningfully
examined the energy implications of its
proposed actions and interpretations of
the CAA. The commenters disagree with
EPA’s conclusion that the imposition of
costly PSD obligations on power plants
would have no impact on power supply,
distribution, or use, when those plants
will have had no time to prepare for
compliance and no idea what BACT
may be for GHG emissions. Other
commenters opine that the adoption of
BACT for some industries newly-subject
to PSD permitting requirements for
GHGs could involve fuel-switching, and
increased energy costs (due to the need
for a source to convert from coal to
natural gas to meet BACT).
Again, this action is a burden relief
rule and as such it does not create any
new requirements for sources in the
energy supply, distribution, or use
sectors. For the purpose of the BACT
determinations for GHGs, the longstanding top-down BACT selection
process still applies. Under the CAA
and EPA’s implementing regulations,
BACT is still an emission limitation
based on the maximum degree of
emission reduction achievable through
application of production processes and
available methods, systems, and
techniques that considers energy,
environmental, and economic impacts.
In other words, BACT determinations
for GHGs will still have to consider
energy, environmental and economic
feasibility for the various control
technologies under consideration before
selecting a particular technology as
BACT for a specific source. For that
reason, what BACT may be for GHG
emissions will vary by source, and the
technology that is ultimately selected
has to be one that is feasible based on
the current energy, environmental and
economic impacts that the planned
technology might have. Thus, we do not
believe that this action is likely to have
a significant adverse effect on the
supply, distribution, or use of energy.
VIII. Statutory and Executive Order
Reviews
A. Executive Order 12866—Regulatory
Planning and Review
Under section 3(f)(1) of Executive
Order 12866 (58 FR 51735, October 4,
1993), this action is an ‘‘economically
significant regulatory action’’ because it
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is likely to have an annual effect on the
economy of $100 million or more.
Accordingly, EPA submitted this action
to the OMB for review under Executive
Order 12866 and any changes made in
response to OMB recommendations
have been documented in the docket for
this action.
In addition, EPA prepared an analysis
of the potential costs and benefits
associated with this action. This
analysis is contained in the RIA for this
final rule. A copy of the analysis is
available in the docket for this action
and the analysis is briefly summarized
in section VII of this preamble.
This rule uses a phased-in approach
for requiring larger sources of GHG
emissions to comply with title V
operating permit and PSD statutory
requirements, essentially lifting this
burden for a period of at least 6 years
for a large number of sources of GHG.
Thus, this rule provides regulatory relief
rather than regulatory requirements for
these GHG sources. For sources of GHG
that will be required to obtain title V
permits and/or comply with PSD
requirements, there are no direct
economic burdens or costs as a result of
this final rule, because these
requirements are not imposed as a result
of this rulemaking. Statutory
requirements to obtain a title V
operating permit or to adhere to PSD
requirements are already mandated by
the CAA and by existing rules, not by
this rule. As a result, this Tailoring Rule
annual effect on the economy will be
positive because it will result in billions
of dollars of regulatory relief during the
phase-in period.
B. Paperwork Reduction Act
This action does not impose any new
information collection burden. Instead,
this action will significantly reduce
costs incurred by sources and
permitting authorities relative to the
costs that would be incurred if EPA did
not revise the rule. Based on our revised
GHG threshold data analysis, we
estimate that over 80,000 new and
modified facilities per year would be
subject to PSD review based on applying
a GHG emissions threshold of 100/250
tpy using a CO2e metric. This is
compared to 280 PSD permits currently
issued per year, which is an increase of
more than 280-fold. Similarly, for title
V, we estimate that over six million new
sources would be affected at the 100-tpy
threshold for GHGs using the CO2e
metric. By increasing the volume of
permits by over 400 times, the
administrative burden would be
unmanageable without this rule.
However, OMB has previously
approved the information collection
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requirements contained in the existing
regulations for PSD (see, e.g., 40 CFR
52.21) and title V (see 40 CFR parts 70
and 71) under the provisions of the
Paperwork Reduction Act, 44 U.S.C.
3501 et seq. and has assigned OMB
control number 2060–0003 and OMB
control number 2060–0336. The OMB
control numbers for EPA’s regulations
in 40 CFR are listed in 40 CFR part 9.
C. Regulatory Flexibility Act
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the APA or any other statute
unless the agency certifies that the rule
will not have a significant economic
impact on a substantial number of small
entities. Small entities include small
businesses, small organizations, and
small governmental jurisdictions.
For purposes of assessing the impacts
of this final action on small entities,
small entity is defined as: (1) A small
business that is a small industrial entity
as defined in the U.S. SBA size
standards (see 13 CFR 121.201); (2) a
small governmental jurisdiction that is a
government of a city, county, town,
school district, or special district with a
population of less than 50,000; or (3) a
small organization that is any not-forprofit enterprise that is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of this final rule on small
entities, I certify that this final action
will not have a significant economic
impact on a substantial number of small
entities. In determining whether a rule
has a significant economic impact on a
substantial number of small entities, the
impact of concern is any significant
adverse economic impact on small
entities, since the primary purpose of
the regulatory flexibility analyses is to
identify and address regulatory
alternatives ‘‘which minimize any
significant economic impact of the rule
on small entities.’’ 5 U.S.C. 603 and 604.
Thus, an agency may certify that a rule
will not have a significant economic
impact on a substantial number of small
entities if the rule relieves regulatory
burden, or otherwise has a positive
economic effect on all of the small
entities subject to the rule.
We have therefore concluded that this
final rule will relieve the regulatory
burden for most affected small entities
associated with the major PSD and title
V operating permits programs for new or
modified major sources that emit GHGs,
including small businesses. This is
because this rule raises the major source
applicability thresholds for these
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programs for the sources that emit
GHGs. As a result, the program changes
provided in this rule are not expected to
result in a significant economic impact
on a substantial number of small
entities.
D. Unfunded Mandates Reform Act
This rule does not contain a federal
mandate that may result in expenditures
of $100 million or more for state, local,
and tribal governments, in the aggregate,
or the private sector in any 1 year. Only
those few states whose permitting
authorities do not implement the federal
PSD and title V rules by reference in
their SIPs will have a small increase in
burden. These states will have to amend
their corresponding SIPs to incorporate
the new applicability thresholds, since
the burden reducing thresholds that we
are finalizing with this rule will not
otherwise apply to the PSD and title V
programs. Thus, this rule is not subject
to the requirements of sections 202 or
205 of UMRA.
This rule is also not subject to the
requirements of section 203 of UMRA
because it contains no regulatory
requirements that might significantly or
uniquely affect small governments. As
discussed earlier, this rule is expected
to result in cost savings and an
administrative burden reduction for all
permitting authorities and permittees,
including small governments.
E. Executive Order 13132—Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. These final
amendments will ultimately simplify
and reduce the burden on state and
local agencies associated with
implementing the PSD and title V
operating permits programs, by
providing that a source whose GHG
emissions are below the proposed levels
will not have to obtain a PSD permit or
title V permit. Thus, Executive Order
13132 does not apply to this action.
In the spirit of Executive Order 13132,
and consistent with EPA policy to
promote communications between EPA
and state and local governments, EPA
specifically solicited comment on the
proposed rule from state and local
officials.
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F. Executive Order 13175—Consultation
and Coordination With Indian Tribal
Governments
Subject to the Executive Order 13175
(65 FR 67249, November 9, 2000) EPA
may not issue a regulation that has tribal
implications, that imposes substantial
direct compliance costs, and that is not
required by statute, unless the federal
government provides the funds
necessary to pay the direct compliance
costs incurred by tribal governments, or
EPA consults with tribal officials early
in the process of developing the
proposed regulation and develops a
tribal summary impact statement.
EPA has concluded that this action
may have tribal implications. However,
it will neither impose substantial direct
compliance costs on tribal governments,
nor preempt tribal law. There are no
tribal authorities, currently issuing
major NSR permits; however, this may
change in the future.
EPA consulted with tribal officials
early in the process of developing this
regulation to allow them to have
meaningful and timely input into its
development by publishing an ANPR
that included GHG tailoring options for
regulating GHGs under the CAA. (73 FR
44354, July 30, 2008) As a result of the
ANPR, EPA received several comments
from tribal officials on differing GHG
tailoring options presented in the ANPR
which were considered in the proposal
and this final rule. Additionally, we also
specifically solicited comment from
tribal officials on the proposed rule (74
FR 55292, October 27, 2009).
G. Executive Order 13045—Protection of
Children From Environmental Health
and Safety Risks
EPA interprets Executive Order 13045
(62 FR 19885, April 23, 1997) as
applying only to those regulatory
actions that concern health or safety
risks, such that the analysis required
under section 5–501 of the Executive
Order has the potential to influence the
regulation. This action is not subject to
Executive Order 13045 because it does
not establish an environmental standard
intended to mitigate health or safety
risks.
H. Executive Order 13211—Actions
That Significantly Affect Energy Supply,
Distribution, or Use
This action is not a ‘‘significant energy
action’’ as defined in Executive Order
13211 (66 FR 28355 (May 22, 2001)),
because it is not likely to have a
significant adverse effect on the supply,
distribution, or use of energy. Further,
we have concluded that this rule is not
likely to have any adverse energy effects
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because this action would not create any
new requirements for sources in the
energy supply, distribution, or use
sectors.
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I. National Technology Transfer and
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law No.
104–113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, and business
practices) that are developed or adopted
by voluntary consensus standards
bodies. The NTTAA directs EPA to
provide Congress, through OMB,
explanations when the Agency decides
not to use available and applicable
voluntary consensus standards.
This action does not involve technical
standards. Therefore, EPA did not
consider the use of any voluntary
consensus standards.
J. Executive Order 12898—Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629
(Feb. 16, 1994)) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has concluded that it is not
practicable to determine whether there
would be disproportionately high and
adverse human health or environmental
effects on minority and/or low income
populations from this rule. This rule is
necessary in order to allow for the
continued implementation of permitting
requirements established in the statute.
Specifically, without this rule, the CAA
permitting programs (PSD and title V)
would become overwhelmed and
unmanageable by the millions of GHG
sources that would become newly
subject to them. This would result in
severe impairment of the functioning of
these programs with potentially adverse
human health and environmental effects
nationwide. Under this rule and the
legal doctrines of ‘‘absurd results,’’
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administrative necessity, and one-stepat-a-time, EPA is ensuring that the CAA
permitting programs continue to operate
by limiting their applicability to the
maximum number of sources the
programs can possibly handle. This
approach is consistent with
congressional intent as it allows PSD
applicability to at least the largest
sources initially, at least to as many
more sources as possible, and as
promptly as possible over time. By
doing so, this rule allows for the
maximum degree of environmental
protection possible while providing
regulatory relief for the unmanageable
burden that would otherwise exist.
Therefore, we believe it is not
practicable to identify and address
disproportionately high and adverse
human health or environmental effects
on minority populations and low
income populations in the United States
under this final rule.
section 307(d)(1)(V) of the Act, the
Administrator determines that this
action is subject to the provisions of
section 307(d). Section 307(d)(1)(V)
provides that the provisions of section
307(d) apply to ‘‘such other actions as
the Administrator may determine.’’ This
action finalizes some, but not all,
elements of a previous proposed
action—the Prevention of Significant
Deterioration and Title V Greenhouse
Gas Tailoring Rule Proposed Rule (74
FR 55292, October 27, 2009).
K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by SBREFA,
generally provides that before a rule
may take effect, the agency
promulgating the rule must submit a
rule report, which includes a copy of
the rule, to each House of the Congress
and to the Comptroller General of the
United States. EPA will submit a report
containing this rule and other required
information to the U.S. Senate, the U.S.
House of Representatives, and the
Comptroller General of the United
States prior to publication of the rule in
the Federal Register. A major rule
cannot take effect until 60 days after it
is published in the Federal Register.
This action is a ‘‘major rule’’ as defined
by 5 U.S.C. 804(2). This rule will be
effective August 2, 2010.
40 CFR Part 51
L. Judicial Review
Under section 307(b)(1) of the Act,
petitions for judicial review of this
action must be filed in the United States
Court of Appeals for the District of
Columbia Circuit by August 2, 2010.
Any such judicial review is limited to
only those objections that are raised
with reasonable specificity in timely
comments. Filing a petition for
reconsideration by the Administrator of
this final rule does not affect the finality
of this rule for the purposes of judicial
review nor does it extend the time
within which a petition for judicial
review may be filed, and shall not
postpone the effectiveness of such rule
or action. Under section 307(b)(2) of the
Act, the requirements of this final action
may not be challenged later in civil or
criminal proceedings brought by us to
enforce these requirements. Pursuant to
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IX. Statutory Authority
The statutory authority for this action
is provided by sections 307(d)(7)(B),
101, 111, 114, 116, and 301 of the CAA
as amended (42 U.S.C. 7401, 7411, 7414,
7416, and 7601). This action is also
subject to section 307(d) of the CAA (42
U.S.C. 7407(d)).
List of Subjects
Environmental protection,
Administrative practice and procedure,
Air pollution control, Carbon dioxide,
Carbon dioxide equivalents, Greenhouse
gases, Hydrofluorocarbons,
Intergovernmental relations, Methane,
Nitrous oxide, Perfluorocarbons,
Reporting and recordkeeping
requirements, Sulfur hexafluoride.
40 CFR Part 52
Environmental protection,
Administrative practice and procedure,
Air pollution control, Carbon dioxide,
Carbon dioxide equivalents, Greenhouse
gases, Hydrofluorocarbons,
Intergovernmental relations, Methane,
Nitrous oxide, Perfluorocarbons,
Reporting and recordkeeping
requirements, Sulfur hexafluoride.
40 CFR Part 70
Environmental protection,
Administrative practice and procedure,
Air pollution control, Carbon dioxide,
Carbon dioxide equivalents, Greenhouse
gases, Hydrofluorocarbons,
Intergovernmental relations, Methane,
Nitrous oxide, Perfluorocarbons,
Reporting and recordkeeping
requirements, Sulfur hexafluoride.
40 CFR Part 71
Environmental protection,
Administrative practice and procedure,
Air pollution control, Carbon dioxide,
Carbon dioxide equivalents, Greenhouse
gases, Hydrofluorocarbons, Methane,
Nitrous oxide, Perfluorocarbons,
Reporting and recordkeeping
requirements, Sulfur hexafluoride.
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Dated: May 13, 2010.
Lisa P. Jackson,
Administrator.
For reasons stated in the preamble,
title 40, chapter I of the Code of Federal
Regulations is amended as set forth
below.
■
PART 51—[AMENDED]
1. The authority citation for part 51
continues to read as follows:
■
Authority: 23 U.S.C. 101; 42 U.S.C. 7401–
7671q.
Subpart I—[Amended]
2. Section 51.166 is amended:
a. By adding paragraph (b)(48);
b. By revising paragraph (b)(49)(iv);
and
■ c. By adding paragraph (b)(49)(v).
The revisions and additions read as
follows:
■
■
■
§ 51.166 Prevention of significant
deterioration of air quality.
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*
*
*
*
*
(b) * * *
(48) Subject to regulation means, for
any air pollutant, that the pollutant is
subject to either a provision in the Clean
Air Act, or a nationally-applicable
regulation codified by the Administrator
in subchapter C of this chapter, that
requires actual control of the quantity of
emissions of that pollutant, and that
such a control requirement has taken
effect and is operative to control, limit
or restrict the quantity of emissions of
that pollutant released from the
regulated activity. Except that:
(i) Greenhouse gases (GHGs), the air
pollutant defined in § 86.1818–12(a) of
this chapter as the aggregate group of six
greenhouse gases: Carbon dioxide,
nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride, shall not be
subject to regulation except as provided
in paragraphs (b)(48)(iv) through (v) of
this section.
(ii) For purposes of paragraphs
(b)(48)(iii) through (v) of this section,
the term tpy CO2 equivalent emissions
(CO2e) shall represent an amount of
GHGs emitted, and shall be computed as
follows:
(a) Multiplying the mass amount of
emissions (tpy), for each of the six
greenhouse gases in the pollutant GHGs,
by the gas’s associated global warming
potential published at Table A–1 to
subpart A of part 98 of this chapter—
Global Warming Potentials.
(b) Sum the resultant value from
paragraph (b)(48)(ii)(a) of this section
for each gas to compute a tpy CO2e.
(iii) The term emissions increase as
used in paragraphs (b)(48)(iv) through
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(v) of this section shall mean that both
a significant emissions increase (as
calculated using the procedures in
(a)(7)(iv) of this section) and a
significant net emissions increase (as
defined in paragraphs (b)(3) and (b)(23)
of this section) occur. For the pollutant
GHGs, an emissions increase shall be
based on tpy CO2e, and shall be
calculated assuming the pollutant GHGs
is a regulated NSR pollutant, and
‘‘significant’’ is defined as 75,000 tpy
CO2e instead of applying the value in
paragraph (b)(23)(ii) of this section.
(iv) Beginning January 2, 2011, the
pollutant GHGs is subject to regulation
if:
(a) The stationary source is a new
major stationary source for a regulated
NSR pollutant that is not GHGs, and
also will emit or will have the potential
to emit 75,000 tpy CO2e or more; or
(b) The stationary source is an
existing major stationary source for a
regulated NSR pollutant that is not
GHGs, and also will have an emissions
increase of a regulated NSR pollutant,
and an emissions increase of 75,000 tpy
CO2e or more; and,
(v) Beginning July 1, 2011, in addition
to the provisions in paragraph (b)(48)(iv)
of this section, the pollutant GHGs shall
also be subject to regulation:
(a) At a new stationary source that
will emit or have the potential to emit
100,000 tpy CO2e; or
(b) At an existing stationary source
that emits or has the potential to emit
100,000 tpy CO2e, when such stationary
source undertakes a physical change or
change in the method of operation that
will result in an emissions increase of
75,000 tpy CO2e or more.
(49) * * *
(iv) Any pollutant that otherwise is
subject to regulation under the Act as
defined in paragraph (b)(48) of this
section.
(v) Notwithstanding paragraphs
(b)(49)(i) through (iv) of this section, the
term regulated NSR pollutant shall not
include any or all hazardous air
pollutants either listed in section 112 of
the Act, or added to the list pursuant to
section 112(b)(2) of the Act, and which
have not been delisted pursuant to
section 112(b)(3) of the Act, unless the
listed hazardous air pollutant is also
regulated as a constituent or precursor
of a general pollutant listed under
section 108 of the Act.
*
*
*
*
*
PART 52—[AMENDED]
3. The authority citation for part 52
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
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Subpart A—[Amended]
4. Section 52.21 is amended:
a. By adding paragraph (b)(49);
b. By revising paragraph (b)(50)(iv);
and
■ c. By adding paragraph (b)(50)(v).
The revisions and additions read as
follows:
■
■
■
§ 52.21 Prevention of significant
deterioration of air quality.
*
*
*
*
*
(b) * * *
(49) Subject to regulation means, for
any air pollutant, that the pollutant is
subject to either a provision in the Clean
Air Act, or a nationally-applicable
regulation codified by the Administrator
in subchapter C of this chapter, that
requires actual control of the quantity of
emissions of that pollutant, and that
such a control requirement has taken
effect and is operative to control, limit
or restrict the quantity of emissions of
that pollutant released from the
regulated activity. Except that:
(i) Greenhouse gases (GHGs), the air
pollutant defined in § 86.1818–12(a) of
this chapter as the aggregate group of six
greenhouse gases: Carbon dioxide,
nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride, shall not be
subject to regulation except as provided
in paragraphs (b)(49)(iv) through (v) of
this section.
(ii) For purposes of paragraphs
(b)(49)(iii) through (v) of this section,
the term tpy CO2 equivalent emissions
(CO2e) shall represent an amount of
GHGs emitted, and shall be computed as
follows:
(a) Multiplying the mass amount of
emissions (tpy), for each of the six
greenhouse gases in the pollutant GHGs,
by the gas’s associated global warming
potential published at Table A–1 to
subpart A of part 98 of this chapter—
Global Warming Potentials.
(b) Sum the resultant value from
paragraph (b)(49)(ii)(a) of this section
for each gas to compute a tpy CO2e.
(iii) The term emissions increase as
used in paragraphs (b)(49)(iv) through
(v) of this section shall mean that both
a significant emissions increase (as
calculated using the procedures in
paragraph (a)(2)(iv) of this section) and
a significant net emissions increase (as
defined in paragraphs (b)(3) and (b)(23)
of this section) occur. For the pollutant
GHGs, an emissions increase shall be
based on tpy CO2e, and shall be
calculated assuming the pollutant GHGs
is a regulated NSR pollutant, and
‘‘significant’’ is defined as 75,000 tpy
CO2e instead of applying the value in
paragraph (b)(23)(ii) of this section.
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(iv) Beginning January 2, 2011, the
pollutant GHGs is subject to regulation
if:
(a) The stationary source is a new
major stationary source for a regulated
NSR pollutant that is not GHGs, and
also will emit or will have the potential
to emit 75,000 tpy CO2e or more; or
(b) The stationary source is an
existing major stationary source for a
regulated NSR pollutant that is not
GHGs, and also will have an emissions
increase of a regulated NSR pollutant,
and an emissions increase of 75,000 tpy
CO2e or more; and,
(v) Beginning July 1, 2011, in addition
to the provisions in paragraph (b)(49)(iv)
of this section, the pollutant GHGs shall
also be subject to regulation
(a) At a new stationary source that
will emit or have the potential to emit
100,000 tpy CO2e; or
(b) At an existing stationary source
that emits or has the potential to emit
100,000 tpy CO2e, when such stationary
source undertakes a physical change or
change in the method of operation that
will result in an emissions increase of
75,000 tpy CO2e or more.
(50) * * *
(iv) Any pollutant that otherwise is
subject to regulation under the Act as
defined in paragraph (b)(49) of this
section.
(v) Notwithstanding paragraphs
(b)(50)(i) through (iv) of this section, the
term regulated NSR pollutant shall not
include any or all hazardous air
pollutants either listed in section 112 of
the Act, or added to the list pursuant to
section 112(b)(2) of the Act, and which
have not been delisted pursuant to
section 112(b)(3) of the Act, unless the
listed hazardous air pollutant is also
regulated as a constituent or precursor
of a general pollutant listed under
section 108 of the Act.
*
*
*
*
*
under section 307(b) of the Act, on
promulgating lower GHGs thresholds for
PSD applicability. Such action shall be
finalized by July 1, 2012 and become
effective July 1, 2013.
(2) Further study and action on GHGs.
(i) No later than April 30, 2015 the
Administrator shall complete a study
projecting the administrative burdens
that remain with respect to stationary
sources for which GHGs do not
constitute a regulated NSR pollutant.
Such study shall account, among other
things, for permitting authorities ability
to secure resources, hire and train staff;
experiences associated with GHG
permitting for new types of sources and
technologies; and, the success of
streamlining measures developed by
EPA (and adopted by the states) for
reducing the permitting burden
associated with such stationary sources.
(ii) Based on the results of the study
described in paragraph (b)(2)(i) of this
section, the Administrator shall propose
a rule addressing the permitting
obligations of such stationary sources
under § 52.21 and § 51.166 of this
chapter. The Administrator shall take
final action on such a rule no later than
April 30, 2016.
(iii) Before completing the rule
described in paragraph (b)(2)(ii) of this
section, the Administrator shall take no
action to make the pollutant GHGs
subject to regulation at stationary
sources that emit or have the potential
to emit less than 50,000 tpy CO2e, or for
physical changes or changes in the
method of operations at stationary
sources that result in an emissions
increase of less than 50,000 tpy CO2e (as
determined using the methodology
described in § 52.21(b)(49)(ii).)
PART 70—[AMENDED]
6. The authority citation for part 70
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
5. A new § 52.22 is added to read as
follows:
■
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(a) Definitions.
(1) Greenhouse Gases (GHGs) means
the air pollutant as defined in
§ 86.1818–12(a) of this chapter as the
aggregate group of six greenhouse gases:
Carbon dioxide, nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride.
(2) All other terms used in this section
shall have the meaning given in § 52.21.
(b) Further action to regulate GHGs
under the PSD program.
(1) Near term action on GHGs. The
Administrator shall solicit comment,
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7. Section 70.2 is amended:
a. By revising the introductory text of
paragraph (2) of the definition for ‘‘major
source’’; and
■ b. By adding a definition for ‘‘Subject
to regulation’’ in alphabetical order.
The revision and addition read as
follows:
■
■
§ 52.22 Enforceable commitments for
further actions addressing the pollutant
greenhouse gases (GHGs).
§ 70.2
Definitions.
*
*
*
*
*
Major source * * *
(2) A major stationary source of air
pollutants, as defined in section 302 of
the Act, that directly emits, or has the
potential to emit, 100 tpy or more of any
air pollutant subject to regulation
(including any major source of fugitive
emissions of any such pollutant, as
PO 00000
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31607
determined by rule by the
Administrator). The fugitive emissions
of a stationary source shall not be
considered in determining whether it is
a major stationary source for the
purposes of section 302(j) of the Act,
unless the source belongs to one of the
following categories of stationary
source:
*
*
*
*
*
Subject to regulation means, for any
air pollutant, that the pollutant is
subject to either a provision in the Clean
Air Act, or a nationally-applicable
regulation codified by the Administrator
in subchapter C of this chapter, that
requires actual control of the quantity of
emissions of that pollutant, and that
such a control requirement has taken
effect and is operative to control, limit
or restrict the quantity of emissions of
that pollutant released from the
regulated activity. Except that:
(1) Greenhouse gases (GHGs), the air
pollutant defined in § 86.1818–12(a) of
this chapter as the aggregate group of six
greenhouse gases: carbon dioxide,
nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride, shall not be
subject to regulation unless, as of July 1,
2011, the GHG emissions are at a
stationary source emitting or having the
potential to emit 100,000 tpy CO2
equivalent emissions.
(2) The term tpy CO2 equivalent
emissions (CO2e) shall represent an
amount of GHGs emitted, and shall be
computed by multiplying the mass
amount of emissions (tpy), for each of
the six greenhouse gases in the pollutant
GHGs, by the gas’s associated global
warming potential published at Table
A–1 to subpart A of part 98 of this
chapter—Global Warming Potentials,
and summing the resultant value for
each to compute a tpy CO2e.
*
*
*
*
*
■ 8. A new § 70.12 is added to read as
follows:
§ 70.12 Enforceable commitments for
further actions addressing greenhouse
gases (GHGs).
(a) Definitions.
(1) Greenhouse Gases (GHGs) means
the air pollutant as defined in
§ 86.1818–12(a) of this chapter as the
aggregate group of six greenhouse gases:
carbon dioxide, nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride.
(2) All other terms used in this section
shall have the meaning given in § 70.2.
(b) Further action to regulate GHGs
under the title V program.
(1) Near term action on GHGs. The
Administrator shall solicit comment,
E:\FR\FM\03JNR2.SGM
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Federal Register / Vol. 75, No. 106 / Thursday, June 3, 2010 / Rules and Regulations
§ 71.13 Enforceable commitments for
further actions addressing Greenhouse
Gases (GHGs)
10. Section 71.2 is amended:
a. By revising the introductory text of
paragraph (2) of the definition for ‘‘major
source’’; and
■ b. By adding a definition for ‘‘Subject
to regulation’’ in alphabetical order.
The revision and addition read as
follows:
Major source * * *
(2) A major stationary source of air
pollutants, as defined in section 302 of
the Act, that directly emits or has the
potential to emit, 100 tpy or more of any
air pollutant subject to regulation
(including any major source of fugitive
emissions of any such pollutant, as
determined by rule by the
Administrator). The fugitive emissions
of a stationary source shall not be
considered in determining whether it is
a major stationary source for the
purposes of section 302(j) of the Act,
unless the source belongs to one of the
following categories of stationary
source:
*
*
*
*
*
Subject to regulation means, for any
air pollutant, that the pollutant is
subject to either a provision in the Clean
Air Act, or a nationally-applicable
regulation codified by the Administrator
in subchapter C of this chapter, that
requires actual control of the quantity of
emissions of that pollutant, and that
such a control requirement has taken
effect and is operative to control, limit
or restrict the quantity of emissions of
that pollutant released from the
regulated activity. Except that:
(1) Greenhouse gases (GHGs), the air
pollutant defined in § 86.1818–12(a) of
this chapter as the aggregate group of six
greenhouse gases: carbon dioxide,
nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride, shall not be
subject to regulation unless, as of July 1,
2011, the GHG emissions are at a
stationary source emitting or having the
potential to emit 100,000 tpy CO2
equivalent emissions.
(2) The term tpy CO2 equivalent
emissions (CO2e) shall represent an
amount of GHGs emitted, and shall be
computed by multiplying the mass
amount of emissions (tpy), for each of
the six greenhouse gases in the pollutant
GHGs, by the gas’s associated global
warming potential published at Table
A–1 to subpart A of part 98 of this
chapter—Global Warming Potentials,
and summing the resultant value for
each to compute a tpy CO2e.
§ 71.2
■
11. A new § 71.13 is added to subpart
A to read as follows:
[FR Doc. 2010–11974 Filed 6–2–10; 8:45 am]
under section 307(b) of the Act, on
promulgating lower GHGs thresholds for
applicability under § 70.2. Such action
shall be finalized by July 1, 2012 and
become effective July 1, 2013.
(2) Further study and action on GHGs.
(i) No later than April 30, 2015 the
Administrator shall complete a study
projecting the administrative burdens
that remain with respect to stationary
sources for which GHGs do not
constitute a pollutant subject to
regulation. Such study shall account,
among other things, for permitting
authorities ability to secure resources,
hire and train staff; experiences
associated with GHG permitting for new
types of sources and technologies; and,
the success of streamlining measures
developed by EPA (and adopted by the
states) for reducing the permitting
burden associated with such stationary
sources.
(ii) Based on the results of the study
described in paragraph (b)(2)(i) of this
section, the Administrator shall propose
a rule addressing the permitting
obligations of such stationary sources
under § 70.2. The Administrator shall
take final action on such a rule no later
than April 30, 2016.
(iii) Before completing the rule
described in paragraph (b)(2)(ii) of this
section, the Administrator shall take no
action to make the pollutant GHGs
subject to regulation at stationary
sources that emit or have the potential
to emit less than 50,000 tpy CO2e (as
determined using the methodology
described in § 70.2.)
PART 71—[AMENDED]
9. The authority citation for part 71
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
Subpart A—[AMENDED]
■
■
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*
Definitions.
*
*
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*
*
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(a) Definitions.
(1) Greenhouse Gases (GHGs) means
the air pollutant as defined in
§ 86.1818–12(a) of this chapter as the
aggregate group of six greenhouse gases:
carbon dioxide, nitrous oxide, methane,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride.
(2) All other terms used in this section
shall have the meaning given in § 71.2.
(b) Further action to regulate GHGs
under the title V program.
(1) Near term action on GHGs. The
Administrator shall solicit comment,
under section 307(b) of the Act, on
promulgating lower GHGs thresholds for
applicability under § 71.2. Such action
shall be finalized by July 1, 2012 and
become effective July 1, 2013.
(2) Further study and action on GHGs.
(i) No later than April 30, 2015, the
Administrator shall complete a study
projecting the administrative burdens
that remain with respect to stationary
sources for which GHGs do not
constitute a pollutant subject to
regulation. Such study shall account,
among other things, for permitting
authorities ability to secure resources,
hire and train staff; experiences
associated with GHG permitting for new
types of sources and technologies; and,
the success of streamlining measures
developed by EPA (and adopted by the
states) for reducing the permitting
burden associated with such stationary
sources.
(ii) Based on the results of the study
described in paragraph (b)(2)(i) of this
section, the Administrator shall propose
a rule addressing the permitting
obligations of such stationary sources
under § 71.2. The Administrator shall
take final action on such a rule no later
than April 30, 2016.
(iii) Before completing the rule
described in paragraph (b)(2)(ii) of this
section, the Administrator shall take no
action to make the pollutant GHGs
subject to regulation at stationary
sources that emit or have the potential
to emit less than 50,000 tpy CO2e, (as
determined using the methodology
described in § 71.2.)
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 75, Number 106 (Thursday, June 3, 2010)]
[Rules and Regulations]
[Pages 31514-31608]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-11974]
[[Page 31513]]
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Part II
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Parts 51, 52, 70, et al.
Prevention of Significant Deterioration and Title V Greenhouse Gas
Tailoring Rule; Final Rule
Federal Register / Vol. 75, No. 106 / Thursday, June 3, 2010 / Rules
and Regulations
[[Page 31514]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 51, 52, 70, and 71
[EPA-HQ-OAR-2009-0517; FRL-9152-8]
RIN 2060-AP86
Prevention of Significant Deterioration and Title V Greenhouse
Gas Tailoring Rule
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is tailoring the applicability criteria that determine
which stationary sources and modification projects become subject to
permitting requirements for greenhouse gas (GHG) emissions under the
Prevention of Significant Deterioration (PSD) and title V programs of
the Clean Air Act (CAA or Act). This rulemaking is necessary because
without it PSD and title V requirements would apply, as of January 2,
2011, at the 100 or 250 tons per year (tpy) levels provided under the
CAA, greatly increasing the number of required permits, imposing undue
costs on small sources, overwhelming the resources of permitting
authorities, and severely impairing the functioning of the programs.
EPA is relieving these resource burdens by phasing in the applicability
of these programs to GHG sources, starting with the largest GHG
emitters. This rule establishes two initial steps of the phase-in. The
rule also commits the agency to take certain actions on future steps
addressing smaller sources, but excludes certain smaller sources from
PSD and title V permitting for GHG emissions until at least April 30,
2016.
DATES: This action is effective on August 2, 2010.
ADDRESSES: EPA has established a docket for this rulemaking under
Docket ID No. EPA-HQ-OAR-2009-0517. All documents in the docket are
listed in the https://www.regulations.gov index. Although listed in the
index, some information is not publicly available, e.g., Confidential
Business Information 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. Publicly available docket materials are available
either electronically in https://www.regulations.gov or in hard copy at
the EPA Docket Center EPA/DC, EPA West, Room 3334, 1301 Constitution
Avenue, Northwest, Washington, DC. The Public Reading Room is open from
8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal
holidays. The telephone number for the Public Reading Room is (202)
566-1744, and the telephone number for the EPA Docket Center is (202)
566-1742.
FOR FURTHER INFORMATION CONTACT: Mr. Joseph Mangino, Air Quality Policy
Division, Office of Air Quality Planning and Standards (C504-03),
Environmental Protection Agency, Research Triangle Park, NC 27711;
telephone number: (919) 541-9778; fax number: (919) 541-5509; e-mail
address: mangino.joseph@epa.gov.
SUPPLEMENTARY INFORMATION:
I. General Information
A. Does this action apply to me?
Entities affected by this action include sources in all sectors of
the economy, including commercial and residential sources. Entities
potentially affected by this action also include States, local
permitting authorities, and tribal authorities. The majority of
categories and entities potentially affected by this action are
expected to be in the following groups:
------------------------------------------------------------------------
Industry group NAICS \a\
------------------------------------------------------------------------
Agriculture, fishing, and hunting...... 11.
Mining................................. 21.
Utilities (electric, natural gas, other 2211, 2212, 2213.
systems).
Manufacturing (food, beverages, 311, 312, 313, 314, 315, 316.
tobacco, textiles, leather).
Wood product, paper manufacturing...... 321, 322.
Petroleum and coal products 32411, 32412, 32419.
manufacturing.
Chemical manufacturing................. 3251, 3252, 3253, 3254, 3255,
3256, 3259.
Rubber product manufacturing........... 3261, 3262.
Miscellaneous chemical products........ 32552, 32592, 32591, 325182,
32551.
Nonmetallic mineral product 3271, 3272, 3273, 3274, 3279.
manufacturing.
Primary and fabricated metal 3311, 3312, 3313, 3314, 3315,
manufacturing. 3321, 3322, 3323, 3324, 3325,
3326, 3327, 3328, 3329.
Machinery manufacturing................ 3331, 3332, 3333, 3334, 3335,
3336, 3339.
Computer and electronic products 3341, 3342, 3343, 3344, 3345,
manufacturing. 4446.
Electrical equipment, appliance, and 3351, 3352, 3353, 3359.
component manufacturing.
Transportation equipment manufacturing. 3361, 3362, 3363, 3364, 3365,
3366, 3366, 3369.
Furniture and related product 3371, 3372, 3379.
manufacturing.
Miscellaneous manufacturing............ 3391, 3399.
Waste management and remediation....... 5622, 5629.
Hospitals/Nursing and residential care 6221, 6231, 6232, 6233, 6239.
facilities.
Personal and laundry services.......... 8122, 8123.
Residential/private households......... 8141.
Non-Residential (Commercial)........... Not available. Codes only exist
for private households,
construction, and leasing/
sales industries.
------------------------------------------------------------------------
\a\ North American Industry Classification System.
B. How is this preamble organized?
The information presented in this preamble is organized as follows:
Outline
I. General Information
A. Does this action apply to me?
B. How is this preamble organized?
C. Preamble Acronyms and Abbreviations
II. Overview of the Final Rule
III. Background
A. What are GHGs and their sources?
B. Endangerment Finding and the LDVR
1. Endangerment Finding
2. Light-Duty Vehicle Rule
C. What are the general requirements of the PSD program?
1. Overview of the PSD Program
2. General Requirements for PSD
D. What are the general requirements of the Title V operating
permits program?
1. Overview of Title V
2. Title V Permit Requirements
E. The Interpretive Memo
IV. Summary of Final Actions
[[Page 31515]]
A. How do you define the GHG pollutant for PSD and Title V
purposes?
1. GHG Pollutant Defined as the Sum-of-Six Well-Mixed GHGs
2. What GWP values should be used for calculating
CO2e?
B. When will PSD and Title V applicability begin for GHGs and
emission sources?
1. What are the Step 1 thresholds, timing, and calculation
methodology?
2. What are the Step 2 thresholds, timing, and calculation
methodology?
3. What about Step 3?
4. What about the proposed 6-year exclusion for smaller sources?
5. When and how will EPA take further action on smaller sources?
C. How do state, local, and tribal area programs adopt the final
GHG applicability thresholds?
D. How do you treat GHGs for purposes of Title V permit fees?
E. Other Actions and Issues
1. Timing for Permit Streamlining Techniques
2. Guidance for BACT Determinations
3. Requests for Higher Category-Specific Thresholds and
Exemptions From Applicability
4. Transitional Issues Including Requests for Grandfathering
V. What is the legal and policy rationale for the final actions?
A. Rationale for Our Approach to Calculating GHG Emissions for
PSD and Title V Applicability Purposes
1. Grouping of GHGs Into a Single Pollutant
2. Identifying Which GHGs Are Included in the Group
3. Use of GWP vs. Mass-Based GHG Thresholds
4. Determining What GWP Values Are To Be Used
5. Use of Short Tons vs. Metric Tons
B. Rationale for Thresholds and Timing for PSD and Title V
Applicability to GHG Emissions Sources
1. Overview
2. Data Concerning Costs to Sources and Administrative Burdens
to Permitting Authorities
3. ``Absurd Results,'' ``Administrative Necessity,'' and ``One-
Step-at-a-Time'' Legal Doctrines
4. The PSD and Title V Programs
5. Application of the ``Absurd Results'' Doctrine for the PSD
Program
6. Application of the ``Absurd Results'' Doctrine for the Title
V Program
7. Additional Rulemaking for the PSD and Title V Programs
8. Rationale for the Phase-in Schedule for Applying PSD and
Title V to GHG Sources
9. ``Administrative Necessity'' Basis for PSD and Title V
Requirements in Tailoring Rule
10. ``One-Step-at-a-Time'' Basis for Tailoring Rule
C. Mechanisms for Implementing and Adopting the Tailoring
Approach
1. PSD Approach: Background and Proposal
2. Rationale for Our Final Approach to Implementing PSD
3. Other Mechanisms
4. Codification of Interpretive Memo
5. Delaying Limited Approvals and Request for Submission of
Information From States Implementing a SIP-Approved PSD Program
6. Title V Programs
D. Rationale for Treatment of GHGs for Title V Permit Fees
E. Other Actions and Issues
1. Permit Streamlining Techniques
2. Guidance for BACT Determinations
3. Requests for Higher Category-Specific Thresholds or
Exemptions From Applicability
4. Transitional Issues Including Requests for Grandfathering
VI. What are the economic impacts of the final rule?
A. What entities are affected by this final rule?
B. What are the estimated annual benefits to sources due to
regulatory relief from the statutory requirements?
1. What are annual estimated benefits or avoided burden costs
for title V permits?
2. What are annual benefits or avoided costs associated with NSR
permitting regulatory relief?
C. What are the economic impacts of this rulemaking?
D. What are the costs of the final rule for society?
E. What are the net benefits of this final rule?
VII. Comments on Statutory and Executive Order Reviews
A. Comments on Executive Order 12866--Regulatory Planning and
Review
B. Comments on the Paperwork Reduction Act
C. Comments on the RFA
D. Comments on the Unfunded Mandates Reform Act
E. Comments on Executive Order 13132--Federalism
F. Comments on Executive Order 13175--Consultation and
Coordination With Indian Tribal Governments
G. Comments on Executive Order 13211--Actions That Significantly
Affect Energy Supply, Distribution, or Use
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866--Regulatory Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132--Federalism
F. Executive Order 13175--Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045--Protection of Children From
Environmental Health and Safety Risks
H. Executive Order 13211--Actions That Significantly Affect
Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898--Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act
L. Judicial Review
IX. Statutory Authority
C. Preamble Acronyms and Abbreviations
The following are abbreviations of terms used in this preamble.
ANPR Advance Notice of Proposed Rulemaking
APA Administrative Procedure Act
AQRVs Air Quality Related Values
BACT Best Available Control Technology
Btu British thermal units
Btu/hr British thermal units per hour
CAA or Act Clean Air Act
CAAAC Clean Air Act Advisory Committee
CAFE Corporate Average Fuel Economy
CH4 Methane
CO Carbon Monoxide
CO2 Carbon Dioxide
CO2e Carbon Dioxide Equivalent
EPA U.S. Environmental Protection Agency
FDA Food and Drug Administration
FIP Federal Implementation Plan
FTEs Full-Time Equivalents
GHG Greenhouse Gas
GHz Gigahertz
GWP Global Warming Potential
HAP Hazardous Air Pollutant
HFCs Hydrofluorocarbons
ICR Information Collection Request
IPCC Intergovernmental Panel on Climate Change
LDVR Light-Duty Vehicle Rule
MACT Maximum Achievable Control Technology
MCL Maximum Contaminant Level
N2O Nitrous Oxide
NAAQS National Ambient Air Quality Standard
NHTSA National Highway Traffic Safety Administration
NMOC Nonmethane Organic Compounds
NOX Nitrogen Oxides
NPDES National Pollutant Discharge Elimination System
NSPS New Source Performance Standard
NSR New Source Review
NTAA National Tribal Air Association
NTTAA National Technology Transfer and Advancement Act
OMB Office of Management and Budget
PFCs Perfluorocarbons
PM Particulate Matter
PSD Prevention of Significant Deterioration
PTE Potential to Emit
RFA Regulatory Flexibility Act
RIA Regulatory Impact Analysis
RTC Response to Comment
SBA Small Business Administration
SBAR Small Business Advocacy Review
SBREFA Small Business Regulatory Enforcement Fairness Act
SF6 Sulfur Hexafluoride
SIP State Implementation Plan
SNPR Supplemental Notice of Proposed Rulemaking
TIP Tribal Implementation Plan
TRS Total Reduced Sulfur
TSD Technical Support Document
tpy Tons Per Year
UMRA Unfunded Mandates Reform Act
UNFCCC United Nations Framework Convention on Climate Change
VOC Volatile Organic Compound
[[Page 31516]]
II. Overview of the Final Rule
EPA is relieving overwhelming permitting burdens that would, in the
absence of this rule, fall on permitting authorities and sources. We
accomplish this by tailoring the applicability criteria that determine
which GHG emission sources become subject to the PSD and title V
programs \1\ of the CAA. In particular, EPA is establishing with this
rulemaking a phase-in approach for PSD and title V applicability, and
is establishing the first two steps of the phase-in for the largest
emitters of GHGs. We also commit to certain follow-up actions regarding
future steps beyond the first two, discussed in more detail later. Our
legal basis for this rule is our interpretation of the PSD and title V
applicability provisions under the familiar Chevron \2\ two-step
framework for interpreting administrative statutes, taking account of
three legal doctrines, both separately and interdependently: They are
what we will call (1) The ``absurd results'' doctrine, which authorizes
agencies to apply statutory requirements differently than a literal
reading would indicate, as necessary to effectuate congressional intent
and avoid absurd results, (2) the ``administrative necessity''
doctrine, which authorizes agencies to apply statutory requirements in
a way that avoids impossible administrative burdens; and (3) the ``one-
step-at-a-time'' doctrine, which authorizes agencies to implement
statutory requirements a step at a time. This legal basis justifies
each of the actions we take with this rule--e.g., each of the first two
steps of the phase-in approach--both (1) as part of the overall
tailoring approach, and (2) independently of each other action we take
with this rule. EPA also has authority for this Tailoring Rule under
CAA section 301(a)(1), which authorizes the Administrator ``to
prescribe such regulations as are necessary to carry out his functions
under [the CAA].''
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\1\ Unless otherwise indicated, references in this preamble to
``title V,'' ``title V requirements,'' the ``title V program,'' and
similar references are to the operating permit provisions in CAA
sections 501-506, and not the ``small business stationary source
technical and environmental compliance assistance program'' under
CAA section 507.
\2\ Chevron U.S.A. Inc. v. NRDC, 467 U.S. 837 (1984).
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For the first step of this Tailoring Rule, which will begin on
January 2, 2011, PSD or title V requirements will apply to sources' GHG
emissions only if the sources are subject to PSD or title V anyway due
to their non-GHG pollutants. Therefore, EPA will not require sources or
modifications to evaluate whether they are subject to PSD or title V
requirements solely on account of their GHG emissions. Specifically,
for PSD, Step 1 requires that as of January 2, 2011, the applicable
requirements of PSD, most notably, the best available control
technology (BACT) requirement, will apply to projects that increase net
GHG emissions by at least 75,000 tpy carbon dioxide equivalent
(CO2e), but only if the project also significantly increases
emissions of at least one non-GHG pollutant. For the title V program,
only existing sources with, or new sources obtaining, title V permits
for non-GHG pollutants will be required to address GHGs during this
first step.
The second step of the Tailoring Rule, beginning on July 1, 2011,
will phase in additional large sources of GHG emissions. New sources as
well as existing sources not already subject to title V that emit, or
have the potential to emit, at least 100,000 tpy CO2e will
become subject to the PSD and title V requirements. In addition,
sources that emit or have the potential to emit at least 100,000 tpy
CO2e and that undertake a modification that increases net
emissions of GHGs by at least 75,000 tpy CO2e will also be
subject to PSD requirements. For both steps, we also note that if
sources or modifications exceed these CO2e-adjusted GHG
triggers, they are not covered by permitting requirements unless their
GHG emissions also exceed the corresponding mass-based triggers (i.e.,
unadjusted for CO2e.)
EPA believes that the costs to the sources and the administrative
burdens to the permitting authorities of PSD and title V permitting
will be manageable at the levels in these initial two steps, and that
it would be administratively infeasible to subject additional sources
to PSD and title V requirements at those times. However, we also intend
to issue a supplemental notice of proposed rulemaking (SNPR) in 2011,
in which we will propose or solicit comment on a third step of the
phase-in that would include more sources, beginning by July 1, 2013. In
the same rulemaking, we may propose or solicit comment on a permanent
exclusion from permitting for some category of sources, based on the
doctrine of ``absurd results,'' within the Chevron framework. We are
establishing an enforceable commitment that we will complete this
rulemaking by July 1, 2012, which will allow for 1 year's notice before
Step 3 would take effect.
In addition, we commit to explore streamlining techniques that may
well make the permitting programs much more efficient to administer for
GHGs, and that therefore may allow their expansion to smaller sources.
We expect that the initial streamlining techniques will take several
years to develop and implement.
We are also including in this action a rule that no source with
emissions below 50,000 tpy CO2e, and no modification
resulting in net GHG increases of less than 50,000 tpy CO2e,
will be subject to PSD or title V permitting before at least 6 years
from now, April 30, 2016. This is because we are able to conclude at
the present time that the administrative burdens that would accompany
permitting sources below this level will be so great that even the
streamlining actions that EPA may be able to develop and implement in
the next several years, and even with the increases in permitting
resources that we can reasonably expect the permitting authorities to
acquire, it will be impossible to administer the permit programs for
these sources until at least 2016.
Further, we are establishing an enforceable commitment that we will
(1) Complete a study by April 30, 2015, to evaluate the status of PSD
and title V permitting for GHG-emitting sources, including progress in
developing streamlining techniques; and (2) complete further rulemaking
based on that study by April 30, 2016, to address the permitting of
smaller sources. That rulemaking may also consider additional permanent
exclusions based on the ``absurd results'' doctrine, where applicable.
This Tailoring Rulemaking is necessary because without it, PSD and
title V would apply to all stationary sources that emit or have the
potential to emit more than 100 or 250 tons of GHGs per year beginning
on January 2, 2011. This is the date when EPA's recently promulgated
Light-Duty Vehicle Rule (LDVR) takes effect, imposing control
requirements for the first time on carbon dioxide (CO2) and
other GHGs. If this January 2, 2011 date were to pass without this
Tailoring Rule being in effect, PSD and title V requirements would
apply at the 100/250 tpy applicability levels provided under a literal
reading of the CAA as of that date. From that point forward, a source
owner proposing to construct any new major source that emits at or
higher than the applicability levels (and which therefore may be
referred to as a ``major'' source) or modify any existing major source
in a way that would increase GHG emissions would need to obtain a
permit under the PSD program that addresses these emissions before
construction or modification could begin. Similarly, title V would
apply to a new or existing source exceeding the 100 tpy
[[Page 31517]]
applicability level in the Act, if the source did not already have a
title V permit.
Under these circumstances, many small sources would be burdened by
the costs of the individualized PSD control technology requirements and
permit applications that the PSD provisions, absent streamlining,
require. Additionally, state and local permitting authorities would be
burdened by the extraordinary number of these permit applications,
which are orders of magnitude greater than the current inventory of
permits and would vastly exceed the current administrative resources of
the permitting authorities. Permit gridlock would result with the
permitting authorities able to issue only a tiny fraction of the
permits requested.
These impacts--the costs to sources and administrative burdens to
permitting authorities--that would result from application of the PSD
and title V programs for GHG emissions at the statutory levels as of
January 2, 2011, are so severe that they bring the judicial doctrines
of ``absurd results,'' ``administrative necessity,'' and ``one-step-at-
a-time'' into the Chevron two-step analytical framework for statutes
administered by agencies. Under the U.S. Supreme Court's decision in
Chevron, the agency must, at Step 1, determine whether Congress's
intent as to the specific matter at issue is clear, and, if so, the
agency must give effect to that intent.\3\ If congressional intent is
not clear, then, at Step 2, the agency has discretion to fashion an
interpretation that is a reasonable construction of the statute.
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\3\ Chevron U.S.A. Inc. v. NRDC, 467 U.S. 837, 842-43 (1984).
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To determine congressional intent, the agency must first consider
the words of the statutory requirements, and if their literal meaning
answers the question at hand, then, in most cases, the agency must
implement those requirements by their terms. However, under the
``absurd results'' doctrine, the literal meaning of statutory
requirements should not be considered to indicate congressional intent
if that literal meaning would produce a result that is senseless or
that is otherwise inconsistent with--and especially one that
undermines--underlying congressional purpose. In these cases, if
congressional intent for how the requirements apply to the question at
hand is clear, the agency should implement the statutory requirements
not in accordance with their literal meaning, but rather in a manner
that most closely effectuates congressional intent. If congressional
intent is not clear, then an agency may select an interpretation that
is reasonable under the statute.
Under the ``administrative necessity'' doctrine, Congress is
presumed, at Chevron Step 1, to intend that its statutory directives to
agencies be administrable, and not to have intended to have written
statutory requirements that are impossible to administer. Therefore,
under this doctrine, an agency may depart from statutory requirements
that, by their terms, are impossible to administer, but the agency may
depart no more than necessary to render the requirements administrable.
Under the ``one-step-at-a-time'' doctrine, Congress is presumed at
Chevron Step 1 to have intended to allow the agency to administer the
statutory requirements on a step-by-step basis, as appropriate, when
the agency remains on track to implement the requirements as a whole.
Each of these doctrines supports our action separately, but the three
also are intertwined and support our action in a comprehensive manner.
Here, we have determined, through analysis of burden and emissions
data as well as consideration of extensive public comment, that the
costs to sources and administrative burdens to permitting authorities
that would result from application of the PSD and title V programs for
GHG emissions at the statutory levels as of January 2, 2011 should be
considered ``absurd results.'' Therefore, we conclude that under the
``absurd results'' doctrine, Congress could not have intended that the
PSD or title V applicability provisions--in particular, the threshold
levels and timing requirements--apply literally to GHG sources as of
that date.
Even so, the PSD and title V provisions and their legislative
history do indicate a clear congressional intent, under Chevron Step 1,
as to whether the two permitting programs applied to GHG sources, and
that the intent was in the affirmative, that the permitting programs do
apply to GHG sources. Our previous regulatory action defining the
applicability provisions made this clear, and we do not reopen this
issue in this rulemaking. Moreover, even if this long-established
regulatory position were not justifiable based on Chevron Step 1--on
the grounds that in fact, congressional intent on this point is not
clear--then we believe that this position, that the statutory
provisions to apply PSD and title V generally to GHG sources, was
justified under Chevron step 2.\4\
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\4\ In this preamble and the response to comments document we
fully address arguments that commenters and others have presented
about congressional intent and coverage of GHGs. We do so to be
fully responsive, even though we believe that this is a settled
matter for which the time for judicial review has passed.
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As to how to apply the PSD program to GHG sources, congressional
intent, as expressed in the various statutory provisions and statements
in the legislative history, is clear that PSD should apply at least to
the largest sources initially, at least to as many more sources as
possible and as promptly as possible over time--consistent with
streamlining actions that we intend to consider coupled with increases
in permitting authority resources--and at least to a certain point.
This is the approach we take in this Tailoring Rule, and because it is
consistent with congressional intent, we believe it is required under
Chevron Step 1. Even if congressional intent were not clear as to how
to apply the PSD requirements to GHG sources, we would have authority
under Chevron Step 2 to establish a reasonable interpretation that is
consistent with the PSD provisions, and we believe that the tailoring
approach so qualifies.
As for title V, the statutory provisions and legislative history,
which of course are different than those concerning the PSD program, do
not express a clear intent as to how title V applies to GHG sources,
which leads our analysis to Chevron Step 2, and here, again, we believe
that the tailoring approach is a reasonable interpretation that is
consistent with the title V provisions.
For both PSD and title V, we intend to use the tailoring approach
to address smaller GHG sources over time, consistent with Congress's
expectations that the programs would not impose undue costs to sources
or undue administrative burdens to permitting authorities. However, we
cannot say at this point how close to the statutory thresholds we will
eventually reach. Because this rule establishes only the first two
phases of the tailoring approach, we do not find it necessary to answer
these questions in this rule, and instead we expect to resolve them
through future rulemaking. We will remain mindful of the concerns that
Congress expressed about including small sources in either program. We
intend to consider the issue of the applicability of title V to GHG
sources without applicable requirements (i.e., ``empty permits'') in
future steps of our tailoring approach. When we do so, we will further
assess the potential for the approach of excluding empty permits from
title V to relieve burden consistent with statutory requirements.
In addition, because Congress can be said to have intended the PSD
and title
[[Page 31518]]
V programs to apply to GHG sources, the Tailoring Rule is also
justifiable under the ``administrative necessity'' and ``one-step-at-a-
time'' doctrines.
The legal analysis just described justifies each of the actions in
this rule. The first two steps that we promulgate in this rule, which
take effect on January 2, 2011 and July 1, 2011, constitute the most
that permitting authorities can reasonably be expected to do by those
times. Similarly, the 50,000 tpy floor that we promulgate through at
least April 30, 2016 is reasonable because the information we have
available now shows that it constitutes the most that permitting
authorities can reasonably be expected to do by that date. Finally, the
study and two additional rulemakings--to take effect by July 1, 2013
and April 30, 2016--to which we commit in this rule establish a track
for acquiring additional information and for taking further steps to
address the application of PSD and title V more closely to the literal
statutory levels. We intend to apply them as closely to those levels as
is consistent with congressional intent and administrative imperatives,
in light of the ``absurd results,'' ``administrative necessity,'' and
``one-step-at-a-time'' doctrines, although, as noted previously, we
will consider in future rulemaking how closely to the statutory
thresholds we will be able to implement the PSD and title V programs as
well as what to require with respect to a potentially large number of
sources with empty title V permits.
In this rule, we are adopting regulatory language codifying our
phase-in approach. As we will explain, many state, local and tribal
area programs will likely be able to immediately implement our approach
without rule or statutory changes by, for example, interpreting the
term ``subject to regulation'' that is part of the applicability
provisions for PSD and title V. We ask permitting authorities to
confirm that they will follow this implementation approach for their
programs, and if they cannot, then we ask them to notify us so that we
can take appropriate follow-up action to narrow our federal approval of
their programs before GHGs become subject to regulation for PSD and
title V programs on January 2, 2011. Narrowing our approval will ensure
that for federal purposes, GHG sources below the size thresholds we
establish in this Tailoring Rule are not obligated to hold PSD or title
V permits until the states develop and submit revised PSD and title V
programs that EPA approves, either because they adopt our tailoring
approach or because, if they continue to cover smaller GHG sources, the
states have demonstrated that they have adequate resources to
administer those programs.
The thresholds we are establishing are based on CO2e for
the aggregate sum of six greenhouse gases that constitute the pollutant
that will be subject to regulation, which we refer to as GHGs.\5\ These
gases are: CO2, methane (CH4), nitrous oxide
(N2O), hydrofluorocarbons (HFCs), perfluorocarbons (PFCs),
and sulfur hexafluoride (SF6). Thus, in this rule, we
provide that PSD and title V applicability is based on the quantity
that results when the mass emissions of each of these gases is
multiplied by the Global Warming Potential (GWP) of that gas, and then
summed for all six gases. However, we further provide that in order for
a source's GHG emissions to trigger PSD or title V requirements, the
quantity of the GHGs must equal or exceed both the applicability
thresholds established in this rulemaking on a CO2e basis
and the statutory thresholds of 100 or 250 tpy on a mass basis.\6\
Similarly, in order for a source to be subject to the PSD modification
requirements, the source's net GHG emissions increase must exceed the
applicable significance level on a CO2e basis and must also
result in a net mass increase of the constituent gases combined.
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\5\ The term ``greenhouse gases'' is commonly used to refer
generally to gases that have heat-trapping properties. However, in
this notice, unless noted otherwise, we use it to refer to
specifically to the pollutant regulated in the LDVR.
\6\ The relevant thresholds are 100 tpy for title V, and 250 tpy
for PSD, except for 28 categories listed in EPA regulations for
which the PSD threshold is 100 tpy.
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We are adopting this rule after careful consideration of numerous
public comments. On October 27, 2009 (74 FR 55292), EPA proposed the
GHG Tailoring Rule. EPA held two public hearings on the proposed rule,
and received over 400,000 written public comments. The public comment
period ended on December 28, 2009. The comments have provided detailed
information that has helped EPA understand better the issues and
potential impacts of this rule, and the final rule described in this
preamble incorporates many of the suggestions we received. We respond
to many of these comments in explaining our rationale for the final
rule, which is described in section V. The final rule adopts many
elements of the proposal but differs from the proposal in several
important respects. We proposed to apply PSD and title V to GHG sources
that emit or have the potential to emit at least 25,000 tpy
CO2e, and we proposed a PSD significance level in a range
between 10,000 and 25,000 tpy CO2e, but based on
consideration of the additional information we received and our further
analysis, we are finalizing the threshold levels in the amounts and on
the schedule described previously. In addition, the mechanism for
state, local, and tribal program implementation has been significantly
changed to reflect the comments received that we needed to develop an
implementation approach that states could adopt under state law more
expeditiously.
The remainder of this notice describes our approach and rationale
in more detail. Following this overview, section III of this preamble
provides background information on the nature of GHG emissions, recent
regulatory developments that affect when and how GHG emissions are
subject to stationary source permitting, and the general requirements
of the PSD and title V programs. Section IV describes in detail the
summary of the key actions being taken in this rule, including the
determination of emissions, the thresholds and timing for the phase-in,
our approach to implementing the phase-in, and the additional future
actions we will take. Section V provides a more detailed description of
each action, explaining the policy and legal rationale and responding
to comments received. Section V begins with our decisions on how to
calculate the mass-based and CO2e-based emissions used in
the phase-in. Section V then turns to our legal and policy rationale
for the first two steps of the phase-in, the 50,000 tpy floor, and the
subsequent study and rulemakings to determine whether and how smaller
sources should be subject to permitting. This section then describes
key implementation issues including the approach to state adoption.
After describing our plans for follow-up on title V fee programs, the
section concludes by describing permit streamlining techniques;
guidance on BACT for the GHG sources that are affected under the first
two steps of the Tailoring Rule phase-in; requests for exemptions; and
transitional issues, including grandfathering. Finally, section VI
describes the expected impacts that will result from the phase-in
approach (i.e., the narrower application of PSD and title V
requirements during the phase-in period) and sections VII and VIII
address administrative requirements.
III. Background
A. What are GHGs and their sources?
Greenhouse gases trap the Earth's heat that would otherwise escape
from the atmosphere into space, and form the
[[Page 31519]]
greenhouse effect that helps keep the Earth warm enough for life.
Greenhouse gases are naturally present in the atmosphere and are also
emitted by human activities. Human activities are intensifying the
naturally occurring greenhouse effect by increasing the amount of GHGs
in the atmosphere, which is changing the climate in a way that
endangers human health, society, and the natural environment.
Some GHGs, such as CO2, are emitted to the atmosphere
through natural processes as well as human activities. Other gases,
such as fluorinated gases, are created and emitted solely through human
activities. As previously noted, the well-mixed GHGs of concern
directly emitted by human activities include CO2,
CH4, N2O, HFCs, PFCs, and SF6. These
six GHGs will, for the purposes of this final rule, be referred to
collectively as ``the six well-mixed GHGs,'' or, simply, GHGs, and
together constitute the ``air pollutant'' upon which the GHG thresholds
in this action are based. These six gases remain in the atmosphere for
decades to centuries where they become well-mixed globally in the
atmosphere. When they are emitted more quickly than natural processes
can remove them from the atmosphere, their concentrations increase,
thus increasing the greenhouse effect. The heating effect caused by the
human-induced buildup of GHGs in the atmosphere is very likely the
cause of most of the observed global warming over the last 50 years. A
detailed explanation of greenhouse gases, climate change and its impact
on health, society, and the environment is included in EPA's technical
support document (TSD) for the endangerment finding final rule (Docket
ID No. EPA-HQ-OAR-2009-0472-11292).
In the United States, the combustion of fossil fuels (e.g., coal,
oil, gas) is the largest source of CO2 emissions and
accounts for 80 percent of the total GHG emissions. Anthropogenic
CO2 emissions released from a variety of sources, including
through the use of fossil fuel combustion and cement production from
geologically stored carbon (e.g., coal, oil, and natural gas) that is
hundreds of millions of years old, as well as anthropogenic
CO2 emissions from land-use changes such as deforestation,
perturb the atmospheric concentration of CO2 and the
distribution of carbon within different reservoirs readjusts. More than
half of the energy related emissions come from large stationary sources
such as power plants, while about a third comes from transportation. Of
the six well-mixed GHGs, four (CO2, CH4,
N2O, and HFCs) are emitted by motor vehicles. In the United
States industrial processes (such as the production of cement, steel,
and aluminum), agriculture, forestry, other land use, and waste
management are also important sources of GHGs.
Different GHGs have different heat-trapping capacities. The concept
of GWP was developed to compare the heat-trapping capacity and
atmospheric lifetime of one GHG to another. The definition of a GWP for
a particular GHG is the ratio of heat trapped by one unit mass of the
GHG to that of one unit mass of CO2 over a specified time
period. When quantities of the different GHGs are multiplied by their
GWPs, the different GHGs can be summed and compared on a
CO2e basis. For example, CH4 has a GWP of 21,
meaning each ton of CH4 emissions would have 21 times as
much impact on global warming over a 100-year time horizon as 1 ton of
CO2 emissions. Thus, on the basis of heat-trapping
capability, 1 ton of CH4 would equal 21 tons of
CO2e. The GWPs of the non-CO2 GHGs range from 21
(for CH4) up to 23,900 (for SF6). Aggregating all
GHGs on a CO2e basis at the source level allows a facility
to evaluate its total GHG emissions contribution based on a single
metric.
B. Endangerment Finding and the LDVR
1. Endangerment Finding
On April 2, 2007, the U.S. Supreme Court found that GHGs are air
pollutants under CAA section 302(g). Massachusetts v. EPA, 549 U.S. 497
(2007). As a result, the Supreme Court found that EPA was required to
determine, under CAA section 202(a), whether (1) GHGs from new motor
vehicles cause or contribute to air pollution which may reasonably be
anticipated to endanger public health or welfare, or (2) the science is
too uncertain to make a reasoned decision. After issuing a proposal and
receiving comment, on December 7, 2009, the Administrator signed two
distinct findings regarding GHGs under CAA section 202(a):
Endangerment Finding: The Administrator found that the
current and projected atmospheric concentrations of the mix of six
long-lived and directly emitted GHGs--CO2, CH4,
N2O, HFCs, PFCs, and SF6 (referred to as ``well-
mixed greenhouse gases'' in the endangerment finding)--are reasonably
anticipated to endanger the public health and welfare of current and
future generations.
Cause or Contribute Finding: The Administrator found that
the emissions of the single air pollutant defined as the aggregate
group of six well-mixed greenhouses gases from new motor vehicles and
new motor vehicle engines contributes to the GHG air pollution that
threatens public health and welfare.
These findings, which were published December 15, 2009 (74 FR 66496),
do not themselves impose any requirements on industry or other
entities. However, they were a prerequisite to finalizing the GHG
standards for light-duty vehicles, described next.
2. Light-Duty Vehicle Rule
The LDVR, 75 FR 25324 (May 7, 2010), is a joint rule between EPA
and the Department of Transportation's National Highway Traffic Safety
Administration (NHTSA) that establishes a national program consisting
of new standards for light-duty vehicles that will reduce GHG emissions
and improve fuel economy. EPA finalized the national GHG emissions
standards under the Act, and NHTSA finalized Corporate Average Fuel
Economy (CAFE) standards under the Energy Policy and Conservation Act,
as amended. The new standards apply to new passenger cars, light-duty
trucks, and medium-duty passenger vehicles, starting with model year
2012. The EPA GHG standards are projected to result in an estimated
combined average emissions level of 250 grams of CO2 per
mile for model year 2016 vehicles. The standards begin with the 2012
model year, with standards increasing in stringency through model year
2016. The standards are a fleet average for each manufacturer, based on
a footprint attribute curve, meaning that the actual target for a
vehicle will vary depending on the size of the vehicle. Under the
footprint-based standards, each manufacturer will have a GHG standard
unique to its fleet, depending on the footprints of the vehicle models
produced by that manufacturer. A manufacturer will have separate
footprint-based standards for cars and for trucks.
The endangerment and contribution findings described previously
require EPA to issue standards under section 202(a) ``applicable to
emission'' of the air pollutant that EPA found causes or contributes to
the air pollution that endangers public health and welfare. The final
emissions standards satisfy this requirement for GHGs from light-duty
vehicles. Under section 202(a), the Administrator has significant
discretion in how to structure the standards that apply to the emission
of the air pollutant at issue here, the aggregate group of six GHGs.
EPA has the discretion under section 202(a) to adopt separate standards
for each gas, a single
[[Page 31520]]
composite standard covering various gases, or any combination of these.
In the LDVR, EPA finalized separate standards for N2O and
CH4, and a CO2 standard that provides for credits
based on reductions of HFCs, as the appropriate way to issue standards
applicable to emission of the single air pollutant, the aggregate group
of six GHGs. EPA did not set any standards for PFCs or SF6,
as they are not emitted by motor vehicles.
C. What are the general requirements of the PSD program?
1. Overview of the PSD Program
The PSD program is a preconstruction review and permitting program
applicable to new major stationary sources and major modifications at
existing major stationary sources. The PSD program applies in areas
that are designated ``attainment'' or ``unclassifiable'' for a National
Ambient Air Quality Standard (NAAQS). The PSD program is contained in
part C of title I of the CAA. The ``nonattainment new source review
(NSR)'' program applies in areas not in attainment of a NAAQS or in the
Ozone Transport Region and is implemented under the requirements of
part D of title I of the CAA. Collectively, we commonly refer to these
two programs as the major NSR program. The governing EPA rules are
contained in 40 CFR 51.165, 51.166, 52.21, 52.24, and part 51,
Appendices S and W. There is no NAAQS for CO2 or any of the
other well-mixed GHGs, nor has EPA proposed any such NAAQS; therefore,
unless and until we take further such action, we do not anticipate that
the nonattainment NSR program will apply to GHGs.
The applicability of PSD to a particular source must be determined
in advance of construction or modification and is pollutant-specific.
The primary criterion in determining PSD applicability for a proposed
source is whether the source is a ``major emitting facility,'' based on
its predicted potential emissions of regulated pollutants, within the
meaning of CAA section 169(1) and either constructs or undertakes a
modification. EPA has implemented these requirements in its
regulations, which use somewhat different terminology for determining
PSD applicability, which is whether the source is a ``major stationary
source'' or whether the proposed project is a ``major modification.''
a. Major Stationary Source
Under PSD, a ``major stationary source'' is any source belonging to
a specified list of 28 source categories which emits or has the
potential to emit 100 tpy or more of any pollutant subject to
regulation under the CAA, or any other source type which emits or has
the potential to emit such pollutants in amounts equal to or greater
than 250 tpy. We refer to these levels as the 100/250-tpy thresholds. A
new source with a potential to emit (PTE) at or above the applicable
``major stationary source threshold'' is subject to major source NSR.
These limits originate from section 169 of the CAA, which applies PSD
to any ``major emitting facility'' and defines the term to include any
source that emits or has a PTE of 100 or 250 tpy, depending on the
source category. Note that the major source definition incorporates the
phrase ``subject to regulation,'' which, as described later, will begin
to include GHGs on January 2, 2011, under our interpretation of that
phrase discussed in the recent Interpretive Memo notice. 75 FR 17004,
April 2, 2010.
b. Major Modifications
PSD also applies to existing sources that undertake a ``major
modification,'' which occurs: (1) When there is a physical change in,
or change in the method of operation of, a ``major stationary source;''
(2) the change results in a ``significant'' emission increase of a
pollutant subject to regulation (equal to or above the significance
level that EPA has set for the pollutant in 40 CFR 52.21(b)(23)); and
(3) there is a ``significant net emissions increase'' of a pollutant
subject to regulation that is equal to or above the significance level
(defined in 40 CFR 52.21(b)(23)). Significance levels, which EPA has
promulgated for criteria pollutants and certain other pollutants,
represent a de minimis contribution to air quality problems. When EPA
has not set a significance level for a regulated NSR pollutant, PSD
applies to an increase of the pollutant in any amount (that is, in
effect, the significance level is treated as zero).
2. General Requirements for PSD
This section provides a very brief summary of the main requirements
of the PSD program. One principal requirement is that a new major
source or major modification must apply BACT, which is determined on a
case-by-case basis taking into account, among other factors, the cost
effectiveness of the control and energy and environmental impacts. EPA
has developed a ``top-down'' approach for BACT review, which involves a
decision process that includes identification of all available control
technologies, elimination of technically infeasible options, ranking of
remaining options by control and cost effectiveness, and then selection
of BACT. Under PSD, once a source is determined to be major for any
regulated NSR pollutant, a BACT review is performed for each attainment
pollutant that exceeds its PSD significance level as part of new
construction or for modification projects at the source, where there is
a significant increase and a significant net emissions increase of such
pollutant.\7\
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\7\ We note that the PSD program has historically operated in
this fashion for all pollutants--when new sources or modifications
are ``major,'' PSD applies to all pollutants that are emitted in
significant quantities from the source or project. This rule does
not alter that for sources or modifications that are major due to
their GHG emissions.
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In addition to performing BACT, the source must analyze impacts on
ambient air quality to assure that no violation of any NAAQS or PSD
increments will result, and must analyze impacts on soil, vegetation,
and visibility. In addition, sources or modifications that would impact
Class I areas (e.g., national parks) may be subject to additional
requirements to protect air quality related values (AQRVs) that have
been identified for such areas. Under PSD, if a source's proposed
project may impact a Class I area, the Federal Land Manager is notified
and is responsible for evaluating a source's projected impact on the
AQRVs and recommending either approval or disapproval of the source's
permit application based on anticipated impacts. There are currently no
NAAQS or PSD increments established for GHGs, and therefore these PSD
requirements would not apply for GHGs, even when PSD is triggered for
GHGs. However, if PSD is triggered for a GHG emissions source, all
regulated NSR pollutants which the new source emits in significant
amounts would be subject to PSD requirements. Therefore, if a facility
triggers review for regulated NSR pollutants that are non-GHG
pollutants for which there are established NAAQS or increments, the air
quality, additional impacts, and Class I requirements would apply to
those pollutants.
The permitting authority must provide notice of its preliminary
decision on a source's application for a PSD permit, and must provide
an opportunity for comment by the public, industry, and other
interested persons. After considering and responding to comments, the
permitting authority must issue a final determination on the
construction permit. Usually NSR permits are issued by state or local
air
[[Page 31521]]
pollution control agencies, which have their own permit programs
approved by EPA in their State Implementation Plans (SIPs). In some
cases, EPA has delegated its authority to issue PSD permits to the
state or local agency. In other areas, EPA issues the permits under its
own authority.
D. What are the general requirements of the title V operating permits
program?
1. Overview of Title V
The operating permit requirements under title V are intended to
improve sources' compliance with other CAA requirements. The title V
program is implemented through regulations promulgated by EPA, 40 CFR
part 70, for programs implemented by state and local agencies and
tribes, and 40 CFR part 71, for programs generally implemented by EPA.
In summary, the title V program requires major sources (defined and
interpreted by EPA to include sources that emit or have a PTE of 100
tpy of any pollutant subject to regulation) and certain other sources
to apply for operating permits. Under EPA's long-standing
interpretation, a pollutant, such as a GHG, is ``subject to
regulation'' when it is subject to a CAA requirement establishing
actual control of emissions. Title V generally does not add new
pollution control requirements, but it does require that each permit
contain all pollution control requirements or ``applicable
requirements'' required by the CAA (e.g., New Source Performance
Standard (NSPS), and SIP requirements, including PSD), and it requires
that certain procedural requirements be followed, especially with
respect to compliance with these requirements. ``Applicable
requirements'' for title V purposes include stationary source
requirements, but do not include mobile source requirements. Other
procedural requirements include providing review of permits by EPA,
states, and the public, and requiring permit holders to track, report,
and annually certify their compliance status with respect to their
permit requirements.
2. Title V Permit Requirements
This section provides a brief summary of the requirements of the
title V program that are most relevant to this action. A source
generally must apply for a title V permit within 1 year of first
becoming subject to permitting--for new sources, this is usually within
1 year of commencing operation. The application must include, among
other things, identifying information, a description of emissions and
other information necessary to determine applicability of requirements
and information concerning compliance with those requirements. The
permitting authority uses this information to develop the source's
operating permit.
Title V permits generally contain the following elements: (1)
Emissions limitations and standards to assure compliance with all
applicable requirements; (2) monitoring, recordkeeping, and reporting
requirements, including submittal of a semiannual monitoring report and
prompt reporting of deviations from permit terms; (3) fee payment; and
(4) an annual certification of certification by a responsible official.
The detailed requirements are set forth at 40 CFR 70.6.
In addition to the permit content requirements, there are
procedural requirements that must be followed in issuing title V
permits, including (1) Application completeness determination; (2)
public notice and a 30-day public comment period, including an
opportunity for a public hearing, on draft permits; (3) EPA and
affected state review; and (4) a statement of the legal and factual
basis of the draft permit. The permitting authority must take final
action (issue or deny) on the permit applications within 18 months of
receipt. EPA also has 45 days from receipt of a proposed permit to
object to its issuance, and citizens have 60 days after that to
petition EPA to object to a permit. Permits may also need to be revised
or reopened if new requirements come into effect during the permit
terms or if the source makes changes that conflict with, or necessitate
changes to, the current permit. Permit revisions and re-openings follow
procedural requirements which vary depending on the nature of the
necessary change to the permit.
E. The Interpretive Memo
On December 18, 2008, EPA issued a memorandum, ``EPA's
Interpretation of Regulations that Determine Pollutants Covered by
Federal Prevention of Significant Deterioration (PSD) Permit Program''
(known as the ``Johnson Memo'' or the ``PSD Interpretive Memo,'' and
referred to in this preamble as the ``Interpretive Memo'') that set
forth EPA's interpretation regarding which EPA and state actions, with
respect to a previously unregulated pollutant, cause that pollutant to
become ``subject to regulation'' under the Act. Whether a pollutant is
``subject to regulation'' is important for the purposes of determining
whether it is covered under the federal PSD and title V permitting
programs. The Interpretive Memo established that a pollutant is
``subject to regulation'' only if it is subject to either a provision
in the CAA or regulation adopted by EPA under the CAA that requires
actual control of emissions of that pollutant (referred to as the
``actual control interpretation''). On February 17, 2009, EPA granted a
petition for reconsideration on the Interpretive Memo, and announced
its intent to conduct a rulemaking to allow for public comment on the
issues raised in the memorandum and on related issues. EPA also
clarified that the Interpretive Memo would remain in effect pending
reconsideration.
On March 29, 2010, EPA signed a notice conveying its decision to
continue applying (with one limited refinement) the Interpretive Memo's
interpretation of ``subject to regulation'' (``Interpretation of
Regulations that Determine Pollutants Covered by Clean Air Act
Permitting Programs''). See 75 FR 17004. EPA concluded that the
``actual control interpretation'' is the most appropriate
interpretation to apply given the policy implications. However, we
refined our interpretation in one respect: we established that PSD
permitting requirements apply to a newly regulated pollutant at the
time a regulatory requirement to control emissions of that pollutant
``takes effect'' (rather than upon promulgation or the legal effective
date of the regulation containing such a requirement). In addition,
based on the anticipated promulgation of the LDVR, we stated that the
GHG requirements of the vehicle rule would take effect on January 2,
2011, because that is the earliest date that a 2012 model year vehicle
may be introduced into commerce. In other words, the compliance
obligation under the LDVR does not occur until a manufacturer may
introduce into commerce vehicles that are required to comply with GHG
standards, which will begin with model year 2012 and will not occur
before January 2, 2011. We also reiterated EPA's interpretation that
the 100 tpy major source threshold for title V is triggered only by
pollutants ``subject to regulation'' under the Act, and we defined and
applied that term for title V purposes in the same way that we did for
PSD purposes. That is, we stated that a pollutant is ``subject to
regulation'' if it is subject to a CAA requirement establishing
``actual control of emissions;'' that a pollutant is considered
``subject to regulation'' for title V purposes when such a requirement
``takes effect''; and, based on the anticipated promulgation of the
LDVR, that the GHG requirements of the
[[Page 31522]]
vehicle rule would take effect on January 2, 2011.
On April 1, 2010, we finalized the LDVR as anticipated, confirming
that manufacturer certification can occur no earlier than January 2,
2011. Thus, under the terms of the final notice for the Interpretive
Memo, GHGs become subject to regulation on that date, and PSD and title
V program requirements will also begin to apply upon that date.
IV. Summary of Final Actions
This section describes the specific actions we are taking in this
final rule. It describes the overall tailoring approach for NSR and
title V applicability, the steps we are taking to put it into place,
and future actions that we commit to take. The next section, V,
provides the legal and policy rationale for these actions. In that
section, we provide a description of our rationale and response to
comments for each action, presented in the same order as we describe
the actions here.
A. How do you define the GHG pollutant for PSD and title V purposes?
1. GHG Pollutant Defined as the Sum-of-Six Well-Mixed GHGs
We are identifying the air pollutant for purposes of PSD and title
V applicability to be the pollutant subject to regulation, which is the
air pollutant for GHGs identified in EPA's LDVR, as well as EPA's
endangerment and contribution findings.\8\ In the LDVR, EPA set
emissions standards under section 202(a) that were ``applicable to
emission'' of a single air pollutant defined as the aggregate sum of
six GHGs. The six GHGs, which are well-mixed gases in the atmosphere,
are CO2, CH4, N2O, HFCs, PFCs, and
SF6. Earlier, EPA made the contribution finding for this
single air pollutant.
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\8\ See 74 FR 66496, 66499, 66536-7. December 15, 2009.
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Furthermore, as proposed, we are using an emissions threshold that
allows all six constituent gases to be evaluated using a common
metric--CO2e. Thus, to determine applicability, a source's
GHG emissions are calculated on a CO2e basis by multiplying
the mass emissions of any of the six GHGs that the source emits by that
gas's GWP and then summing the CO2e for each GHG emitted by
the source. This sum, expressed in terms of tpy CO2e, is
then compared to the applicable CO2e-based permitting
threshold to determine whether the source is subject to PSD and title V
requirements.
In addition, because we are implementing this phase-in through the
term ``subject to regulation,'' the regulatory language is structured
such that the statutory mass-based thresholds (i.e., for PSD, 100/250
tpy for new construction and zero tpy for modifications at a major
stationary source, and for title V, 100 tpy) continue to apply. As a
result, stationary source apply and stationary sources or modifications
that do not meet these thresholds are not subject to permitting
requirements. While technically evaluation of the mass-based thresholds
is the second step in the applicability analysis, from a practical
standpoint most sources are likely to treat this as an initial screen,
so that if they would not trigger PSD or title V on a mass basis, they
would not proceed to evaluate emissions on a CO2e basis. We
have treated evaluation of mass-based thresholds as the initial step in
our descriptions. As applicable, a source would evaluate these mass-
based thresholds by summing each of the six GHGs it emits on a mass
basis (i.e., before applying GWP). We expect that it will be very rare
for