EPA's Denial of the Petitions To Reconsider the Endangerment and Cause or Contribute Findings for Greenhouse Gases Under Section 202(a) of the Clean Air Act, 49556-49594 [2010-19153]
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Federal Register / Vol. 75, No. 156 / Friday, August 13, 2010 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Chapter 1
[EPA–HQ–OAR–2009–0171; FRL–9184–8]
EPA’s Denial of the Petitions To
Reconsider the Endangerment and
Cause or Contribute Findings for
Greenhouse Gases Under Section
202(a) of the Clean Air Act
Environmental Protection
Agency (EPA).
ACTION: Notice, denial of petitions to
reconsider.
AGENCY:
The Environmental Protection
Agency (EPA) is denying the petitions to
reconsider the Endangerment and Cause
or Contribute Findings for Greenhouse
Gases under Section 202(a) of the Clean
Air Act. The Findings were signed by
the Administrator on December 7, 2009.
EPA has carefully reviewed all of the
petitions and revisited both the
scientific record and the Administrator’s
decision process underlying the
Findings in light of these petitions.
EPA’s analysis of the petitions reveals
that the petitioners have provided
inadequate and generally unscientific
arguments and evidence that the
underlying science supporting the
Findings is flawed, misinterpreted or
inappropriately applied by EPA. The
petitioners’ arguments fail to meet the
criteria for reconsideration under the
Clean Air Act. The science supporting
the Administrator’s finding that
elevated concentrations of greenhouse
gases in the atmosphere may reasonably
be anticipated to endanger the public
health and welfare of current and future
U.S. generations is robust, voluminous,
and compelling, and has been strongly
affirmed by the recent science
assessment of the U.S. National
Academy of Sciences.
DATES: This denial is effective July 29,
2010.
ADDRESSES: EPA’s docket for this action
is Docket ID No. EPA–HQ–OAR–2009–
0171: All documents in the docket are
listed on the https://www.regulations.gov
Web site. Although listed in the index,
some information is not publicly
available, e.g., confidential business
information (CBI) or other information
whose disclosure is restricted by statute.
Certain other material, such as
copyrighted material, is not placed on
the Internet and will be publicly
available only in hard copy form.
Publicly available docket materials are
available either electronically through
https://www.regulations.gov or in hard
copy at EPA’s Docket Center, Public
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SUMMARY:
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Reading Room, EPA West Building,
Room 3334, 1301 Constitution Avenue,
NW., Washington, DC 20004. This
Docket Facility is open from 8:30 a.m.
to 4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Public Reading Room is
(202) 566–1744, and the telephone
number for the Air Docket is (202) 566–
1742.
FOR FURTHER INFORMATION CONTACT:
Jeremy Martinich, Climate Change
Division, Office of Atmospheric
Programs (MC–6207J), Environmental
Protection Agency, 1200 Pennsylvania
Ave., NW., Washington, DC 20460;
telephone number: (202) 343–9927; fax
number: (202) 343–2202; e-mail address:
ghgendangerment@epa.gov. For
additional information regarding this
Notice, please go to the Web site https://
www.epa.gov/climatechange/
endangerment.html.
SUPPLEMENTARY INFORMATION:
Acronyms and Abbreviations. The
following acronyms and abbreviations
are used in this Decision.
ACUS Administrative Conference of the
United States
ANPR Advance Notice of Proposed
Rulemaking
APA Administrative Procedure Act
CAA Clean Air Act
CAFE Corporate Average Fuel Economy
CAIT Climate Analysis Indicators Tool
CBI confidential business information
CCSP Climate Change Science Program
CFR Code of Federal Regulations
CH4 methane
CO2 carbon dioxide
CRU Climatic Research Unit
DOT U.S. Department of Transportation
EISA Energy Independence and Security
Act
EO Executive Order
EPA U.S. Environmental Protection Agency
EPCA Energy Policy and Conservation Act
FOIA Freedom of Information Act
FR Federal Register
GHG greenhouse gas
HadCRUT Climatic Research Unit (CRU)
temperature record
ICTA International Center For Technology
Assessment
IPCC Intergovernmental Panel on Climate
Change
MWP Medieval Warm Period
N2O nitrous oxide
NAAQS National Ambient Air Quality
Standards
NAS National Academy of Sciences
NASA National Aeronautics and Space
Administration
NHTSA National Highway Traffic Safety
Administration
NOAA National Oceanic and Atmospheric
Administration
NOx nitrogen oxide
NRC National Research Council
NSPS new source performance standards
PM particulate matter
PSD Prevention of Significant Deterioration
PO 00000
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TSD technical support document
U.S. United States
UNFCCC United Nations Framework
Convention on Climate Change
USGCRP U.S. Global Change Research
Program
WMO World Meteorological Organization
Table of Contents
I. Introduction
A. Summary
B. Background
1. The ICTA Petition and Massachusetts v.
EPA
2. Post-Massachusetts v. EPA
3. Proposed and Final Endangerment and
Cause or Contribute Findings
4. Petitions for Reconsideration and Stay
Requests
II. Standard for Reconsideration
III. Science Related Issues
A. General Summary of Petitioners’
Arguments
B. Summary of the Science Underlying the
Administrator’s Endangerment Finding
in Light of the Petitioners’ Claims
1. What effects do greenhouse gases have
on the environment and on climate in
particular?
2. How are human activities changing the
amount of greenhouse gases in our
atmosphere?
3. What is the evidence indicating that
average temperatures are increasing and
climate change is occurring consistent
with the direction one would expect
with increasing greenhouse gases in our
atmosphere?
4. What is the evidence linking observed
temperature changes and climate change
to the anthropogenic increase in
greenhouse gases?
5. How are public health and welfare
threatened by these changes to climate
and the environment, now and in the
future?
C. Review of the Administrator’s Findings
D. General Response to the Petitioners’
Scientific Arguments in Light of the Full
Body of Scientific Evidence
E. Specific Responses to the Claims and
Arguments Raised by Petitioners
1. Climate Science and Data Issues Raised
by the Petitioners
2. Issues Raised by EPA’s Use of the IPCC
AR4 Assessment
3. Process and Other Issues Raised by the
Petitioners
F. Petitioners’ Arguments Do Not Meet the
Standard for Reconsideration
IV. Other Issues
A. The Tailoring Rule/Impacts of PSD and
Title V Permitting Are Not of Central
Relevance to the Findings
B. NHTSA Rule
C. Other Issues
1. Effects of the Findings and Subsequent
Rulemakings on States and Businesses
2. A Formal Rulemaking Process Is Not
Required
3. Discretion in Making an Endangerment
Finding
V. Conclusion
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I. Introduction
A. Summary
This is EPA’s response denying the
petitions to reconsider the
Endangerment and Cause or Contribute
Findings for Greenhouse Gases under
Section 202(a) of the Clean Air Act
(‘‘Findings’’ or the ‘‘Endangerment
Finding’’) (74 FR 66496, December 15,
2009). EPA has considered all 10
petitions, including the arguments
presented therein and the supplemental
information provided by the petitioners
as supporting evidence of their claims.
EPA has evaluated the merit of the
petitioners’ arguments in the context of
the entire body of scientific and other
evidence before the Agency. This
response (hereafter ‘‘Denial’’ or
‘‘Decision’’) provides EPA’s scientific
and legal justification for denying these
petitions. This Denial is accompanied
by a 3-volume, roughly 360-page
Response to Petitions (RTP) document
(https://www.epa.gov/climatechange/
endangerment.html), containing further
responses and technical detail
concerning every significant claim and
assertion made by the petitioners.
Section III of this Decision summarizes
many of the responses provided in the
RTP document.
After a comprehensive, careful review
and analysis of the petitions, EPA has
determined that the petitioners’
arguments and evidence are inadequate,
generally unscientific, and do not show
that the underlying science supporting
the Endangerment Finding is flawed,
misinterpreted by EPA, or
inappropriately applied by EPA. The
science supporting the Administrator’s
finding that elevated concentrations of
greenhouse gases in the atmosphere may
reasonably be anticipated to endanger
the public health and welfare of current
and future U.S. generations is robust,
voluminous, and compelling. The most
recent science assessment by the U.S.
National Academy of Sciences strongly
affirms this view. In addition, the
approach and procedures used by EPA
to evaluate the underlying science
demonstrate that the Findings remain
robust and appropriate.
Petitioners generally argue that recent
revelations show that the science
supporting EPA’s Endangerment
Finding was flawed or questionable, and
that EPA should therefore reconsider
the Endangerment Finding. The
petitioners’ arguments and claims are
based largely on disclosed private
communications among various
scientists, a limited number of errors
and claimed errors in the 2007
Intergovernmental Panel on Climate
Change (IPCC) Fourth Assessment
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Report (AR4),1 and submissions of a
limited number of additional studies not
previously considered as part of the
scientific record of the Endangerment
Finding.
As discussed in detail throughout this
Decision and in fuller detail in the RTP
document, petitioners’ claims and the
information they submit do not change
or undermine our understanding of how
anthropogenic emissions of greenhouse
gases cause climate change and how
human-induced climate change
generates risks and impacts to public
health and welfare. This understanding
has been decades in the making and has
become more clear over time with the
accumulation of evidence. The
information provided by petitioners
does not change any of the scientific
conclusions that underlie the
Administrator’s Findings, nor do the
petitions lower the degrees of
confidence associated with each of these
major scientific conclusions.
More specifically, the petitions do not
change EPA’s proper characterization of
the current body of knowledge and our
ability to state with confidence our
conclusions in the following key areas
of greenhouse gas and climate change
science: (1) That anthropogenic
emissions of greenhouse gases are
causing atmospheric levels of
greenhouse gases in our atmosphere to
rise to essentially unprecedented levels
in human history; (2) that the
accumulation of greenhouse gases in our
atmosphere is exerting a warming effect
on the global climate; (3) that there are
multiple lines of evidence, including
increasing average global surface
temperatures, rising ocean temperatures
and sea levels, and shrinking Arctic ice,
all showing that climate change is
occurring, and that the observed rate of
climate change stands out as significant
compared to recent historical rates of
climate change; (4) that there is
compelling evidence that anthropogenic
emissions of greenhouse gases are the
primary driver of recent observed
increases in average global temperature;
(5) that atmospheric levels of
greenhouse gases are expected to
continue to rise for the foreseeable
future; and (6) that risks and impacts to
public health and welfare are expected
to grow as climate change continues,
and that climate change over this
century is expected to be greater
compared to observed climate change
over the past century.
1 IPCC (2007). Fourth Assessment Report: Climate
Change 2007. Cambridge University Press,
Cambridge, United Kingdom and New York, NY,
USA.
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The core defect in petitioners’
arguments is that these arguments are
not based on consideration of the body
of scientific evidence. Petitioners fail to
address the breadth and depth of the
scientific evidence and instead rely on
an assumption of inaccuracy in the
science that they extend even to the
body of science that is not directly
addressed by information they provide
or by arguments they make. This
assumption of error is based on various
statements and views expressed in some
of the e-mail communications between
scientists at the Climatic Research Unit
(CRU) of the University of East Anglia
in the United Kingdom and several
other scientists (‘‘the CRU e-mails’’) 2. As
EPA’s review and analysis shows, the
petitioners routinely take these private
e-mail communications out of context
and assert they are ‘‘smoking gun’’
evidence of wrongdoing and scientific
manipulation of data. EPA’s careful
examination of the e-mails and their
context shows that the petitioners’
claims are exaggerated, are often
contradicted by other evidence, and are
not a material or reliable basis to
question the validity and credibility of
the body of science underlying the
Administrator’s Endangerment Finding
or the Administrator’s decision process
articulated in the Findings themselves
Petitioners’ assumptions and subjective
assertions regarding what the e-mails
purport to show about the state of
climate change science are clearly
inadequate pieces of evidence to
challenge the voluminous and well
documented body of science that is the
technical foundation of the
Administrator’s Endangerment Finding.
Inquiries from the UK House of
Commons, Science and Technology
Committee, the University of East
Anglia, Oxburgh Panel, the
Pennsylvania State University, and the
University of East Anglia, Russell
Panel,3 all entirely independent from
EPA, have examined the issues and
many of the same allegations brought
forward by the petitioners as a result of
the disclosure of the private CRU emails. These inquiries are now
complete. Their conclusions are in line
with EPA’s review and analysis of these
same CRU e-mails. The inquiries have
2 All of the disclosed CRU e-mails at issue in this
Decision can be found in full in EPA’s docket for
the Endangerment Finding. See Docket ID No. EPA–
HQ–OAR–2009–0171, ‘‘CRU E-mails 1996–2009.’’
3 These inquires plus another addressing IPCC
AR4 issues are referred to throughout this Decision
and the RTP document. Every inquiry is provided
in full in EPA’s docket for the Endangerment
Finding. See Docket ID No. EPA–HQ–OAR–2009–
0171, ‘‘Recent Inquiries and Investigations of the
CRU E-mails and the IPCC Fourth Assessment
Report.’’
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found no evidence of scientific
misconduct or intentional data
manipulation on the part of the climate
researchers associated with the CRU emails. The recommendation for more
transparent procedures concerning
availability of underlying data appears
appropriate, but it has not cast doubt on
the underlying body of science
developed by these researchers. These
inquiries lend further credence to EPA’s
conclusion that petitioners’ claims that
the CRU e-mails show the underlying
science cannot or should not be trusted
are exaggerated and unsupported.
Petitioners’ also point to a limited
number of factual mistakes in IPCC
AR4, some confirmed, some alleged, to
argue that the climate science
supporting the Administrator’s
Endangerment Finding is flawed. EPA’s
review confirmed two factual mistakes.
These two confirmed instances of
factual mistakes are tangential and
minor and do not change the key IPCC
AR4 conclusions that are central to the
Administrator’s Endangerment Finding.
While it is unfortunate that IPCC’s
review process did not catch these
errors, in the context of a report of this
size and scope (almost 3,000 pages), it
is an inappropriate and unfounded
exaggeration to claim that these two
confirmed mistakes delegitimize all of
the scientific statements and findings
contained in IPCC AR4. To the contrary,
given the scrutiny to which IPCC AR4
has been subjected, the limited nature of
these mistakes demonstrates that the
IPCC review procedures have been
highly effective and very robust.
In a limited number of cases, the
petitioners identify new scientific
studies and data, published since the
Endangerment Finding was finalized,
which they claim require EPA to
reconsider the Endangerment Finding.
Some petitioners also argue that EPA
ignored or misinterpreted scientific data
that were significant and available when
the Finding was made. EPA’s review of
these claims shows that in many cases
the issues raised by the petitioners are
not new, but were in fact considered
prior to issuing the Endangerment
Finding. In other cases, the petitioners
have misinterpreted or misrepresented
the meaning and significance of recent
scientific literature, findings, and data.
Finally, there are instances in which the
petitioners have failed to acknowledge
other new studies in making their
arguments. The RTP document contains
study-by-study analysis of these failed
arguments on the part of petitioners.
Finally, in May 2010, the National
Research Council (NRC) of the U.S.
National Academy of Sciences
published its comprehensive
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assessment, ‘‘Advancing the Science of
Climate Change 4’’ (NRC, 2010). It
concluded that ‘‘climate change is
occurring, is caused largely by human
activities, and poses significant risks
for—and in many cases is already
affecting—a broad range of human and
natural systems.’’ Furthermore, the NRC
stated that this conclusion is based on
findings that are ‘‘consistent with the
conclusions of recent assessments by
the U.S. Global Change Research
Program, the Intergovernmental Panel
on Climate Change’s Fourth Assessment
Report, and other assessments of the
state of scientific knowledge on climate
change.’’ These are the same
assessments that served as the primary
scientific references underlying the
Administrator’s Endangerment Finding.
Importantly, this recent NRC assessment
represents another independent and
critical inquiry of the state of climate
change science, separate and apart from
the previous IPCC and U.S. Global
Change Research Program (USGCRP)
assessments. The NRC assessment is a
clear affirmation that the scientific
underpinnings of the Administrator’s
Endangerment Finding are robust,
credible, and appropriately
characterized by EPA.
The endangerment to public health
and welfare from atmospheric
concentrations of greenhouse gases and
associated climate change is too
important an issue to be decided on any
grounds other than a close and
comprehensive scrutiny of the entire
body of the scientific evidence. This
principle calls for an outright rejection
of the petitioners’ arguments. The
petitioners’ arguments amount to a
request that EPA ignore the deep body
of science that has been built up over
several decades and the direction it
points in, and to do so based not on a
careful and comprehensive analysis of
the science, but instead on what amount
to assertions and leaps in logic,
unsupported by a rigorous examination
of the science itself. The petitioners do
not provide any substantial support for
the argument that the Endangerment
Finding should be revised. Therefore,
none of the petitioners’ objections are of
central relevance to the considerations
that led to the final Endangerment
Finding. In addition, in many cases
these arguments by the petitioners
either were or could have been raised
during the comment period on the
Endangerment Finding. In summary,
EPA’s thorough review of petitioners’
arguments shows that the petitioners
4 National Research Council (NRC) (2010).
Advancing the Science of Climate Change. National
Academy Press. Washington, DC.
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have not met the criteria for
reconsideration under section 307(d) the
Clean Air Act (CAA).5
B. Background
The Findings were signed by the
Administrator on December 7, 2009,
were published in the Federal Register
on December 15, 2009, and became
effective January 14, 2010. The
Administrator’s Endangerment Finding
concluded that atmospheric
concentrations of the group of six
greenhouse gases are reasonably
anticipated to endanger both the public
health and public welfare of current and
future U.S. generations. The
Administrator also decided that the
combined emissions of greenhouse
gases from new motor vehicles and new
motor vehicle engines contribute to the
greenhouse gas air pollution that
endangers both public health and public
welfare (i.e., the second finding or
‘‘cause or contribute’’ finding). These
Findings were made under CAA section
202(a). The Findings were also
supported by a Technical Support
Document (TSD) (Docket EPA–HQ–
OAR–2009–0171–11645), containing the
underlying greenhouse gas emissions
data and a synthesis of climate change
science, as well as an 11-volume RTC
document (Docket EPA–HQ–OAR–
2009–0171) that provides EPA’s
responses to all significant public
comments that had been received
during the 60-day public comment
period following the Administrator’s
proposed Findings, signed April 17,
2009.
Since finalization of the Findings in
December 2009, EPA has received 10
petitions and supplements thereto
requesting that EPA reconsider the
Findings. The general bases of the
petitions are the following: (1) Recent
disclosure of private e-mail
communications among some scientists
who were involved in constructing one
of the global temperature records and
were involved in certain sections of
IPCC AR4; (2) alleged and confirmed
mistakes or alleged unsupported
statements in the IPCC AR4; and
(3) some new scientific studies not
previously considered as part of the
scientific record of the Endangerment
Finding. Petitioners claim these pieces
of evidence show that the science
underlying the Administrator’s
Endangerment Finding is potentially
5 Some petitioners also raise objections to EPA’s
Endangerment Finding based on legal arguments
related to other EPA or National Highway Traffic
Safety Administration actions. For the reasons
discussed in Section IV of this Decision, those
objections also fail to meet the standard for
reconsideration and are denied.
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flawed, and that therefore EPA should
reopen the process and reconsider the
Endangerment Finding. For reasons
stated above and throughout this
Decision and accompanying RTP
document, EPA is denying the request
to reconsider the Findings.
As discussed further in sections III
and IV of this Decision, some of the
objections raised in the petitions fail to
demonstrate that it was impracticable to
raise the objections during the comment
period following the proposed Findings,
or that the grounds for the objections
arose after the period for judicial
review. For all issues and arguments
presented by the petitioners, the
objections are not of central relevance to
the outcome of the Findings, as
explained in detail below. Thus, none of
the objections meet the criteria for
reconsideration under the CAA. EPA is
also denying two requests to stay the
Findings pending reconsideration.
1. The ICTA Petition and Massachusetts
v. EPA
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a. ICTA Petition
In October 1999, the International
Center for Technology Assessment
(ICTA) and 18 other organizations filed
a petition with EPA, requesting that
EPA issue emission standards for
emissions of carbon dioxide, methane,
nitrous oxide, and hydrofluorocarbons
from motor vehicles under CAA section
202(a) (ICTA Petition). The ICTA
Petition alleged that emissions of these
four greenhouse gases—CO2, CH4, N2O,
and HFCs—constituted emissions of ‘‘air
pollutants’’ under section 302(g) of the
Act, 42 U.S.C. 7602(g). The ICTA
Petition further argued that emissions of
these gases from motor vehicles fully
met the criteria for regulation under
CAA section 202(a)(1), 42 U.S.C.
7521(a)(1), and claimed that it would be
feasible for EPA to regulate greenhouse
gas emissions from mobile sources.
After soliciting and considering
approximately 50,000 public comments
on the ICTA Petition, see 66 FR 7486,
January 23, 2001), the Agency
ultimately denied it on several
independent grounds. EPA first
explained that Congress did not intend
in the CAA to provide the Agency with
authority to regulate CO2 and other
greenhouse gases to address global
climate change (68 FR 52925–29). For a
variety of reasons, EPA determined that
it was unreasonable to read the Act as
providing the Agency with authority to
regulate emissions of CO2 and other
greenhouse gases to address global
climate change. Id. at 52928. Based on
this conclusion, the Agency also
determined that greenhouse gases could
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not be considered air pollutants for
purposes of the CAA’s regulatory
provisions for any contribution they
may make to climate change. Id.
The Agency also explained why, even
if it had the authority to issue such
regulations, it still believed that the
ICTA Petition should be denied. To
begin with, EPA found that requiring
passenger cars and light trucks to emit
less CO2, the predominant greenhouse
gas, would be tantamount to imposing
more stringent fuel economy standards
on those vehicles. Id. at 52929. The
Agency pointed out, however, that the
Energy Policy and Conservation Act
(EPCA) authorizes only the Department
of Transportation (DOT) to increase the
stringency of motor vehicle fuel
economy standards, and specifies a
detailed regulatory regime that an EPA
requirement to significantly reduce
motor vehicle CO2 emissions would
unavoidably abrogate. Id.; see also 49
U.S.C. 32902 (relevant provision of
EPCA).
EPA also disagreed with the
petitioners’ view that, assuming the Act
gives EPA authority to regulate CO2 and
other greenhouse gases to address global
climate change, the Agency had already
made statements that triggered a
mandatory duty to issue motor vehicle
standards for CO2 and other greenhouse
gases (68 FR 52929, September 8, 2003).
After summarizing the findings of a
2001 report on global climate change by
the National Academy of Sciences
(NAS), the Agency concluded that
‘‘[u]ntil more is understood about the
causes, extent and significance of
climate change and the potential
options for addressing it, EPA believes
it is inappropriate to regulate
[greenhouse gas] emissions from motor
vehicles.’’ Id. at 52,931.
b. Massachusetts v. EPA
EPA’s initial denial of the ICTA
petition (68 FR 52922, September 8,
2003) was the basis for the U.S.
Supreme Court’s decision in
Massachusetts v. EPA, 549 U.S. 497
(2007). In Massachusetts v. EPA, the
Supreme Court held that EPA had
improperly denied the petition. The
Court held that greenhouse gases meet
the definition of air pollutant in the
CAA, and that the grounds EPA gave for
denying the petition were ‘‘divorced
from the statutory text’’ and hence
improper. Specifically, the Court held
that carbon dioxide, methane, nitrous
oxide, and hydrofluorocarbons fit the
CAA’s ‘‘sweeping definition of ‘air
pollutant’ ’’ since they are ‘‘without a
doubt ‘physical [and] chemical * * *
substances which [are] emitted into
* * * the ambient air.’ The statute is
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unambiguous.’’ Id. at 529. The Court
also rejected the argument that EPA
could not regulate motor vehicle
emissions of the chief greenhouse gas,
carbon dioxide, because doing so would
essentially require control of vehicle
fuel economy, and Congress delegated
that authority to the Department of
Transportation in the Energy Policy and
Conservation Act. The Court held that
the fact ‘‘that DOT sets mileage
standards in no way licenses EPA to
shirk its environmental responsibilities.
EPA has been charged with protecting
the public’s ‘health’ and ‘welfare,’ 42
U.S.C. 7521(a)(1), a statutory obligation
wholly independent of DOT’s mandate
to promote energy efficiency.’’ Id. at 532
(citation omitted). The two obligations
may overlap ‘‘but there is no reason to
think the two agencies cannot both
administer their obligations and yet
avoid inconsistency.’’ Id.
Turning to EPA’s alternative grounds
for denial, the Court held that EPA’s
decision on whether or not to grant the
petition must relate to ‘‘whether an air
pollutant ‘causes, or contributes to, air
pollution which may reasonably be
anticipated to endanger public health or
welfare.’ ’’ Id. at 532–33. Thus, ‘‘[u]nder
the clear terms of the Clean Air Act,
EPA can avoid taking further action
only if it determines that greenhouse
gases do not contribute to climate
change or if it provides some reasonable
explanation as to why it cannot or will
not exercise its discretion to determine
whether they do.’’ Id. at 533. The Court
held that three of the four reasons EPA
advanced as alternative grounds for
denying the petition were unrelated to
whether greenhouse gas emissions from
new motor vehicles cause or contribute
to air pollution that may reasonably be
anticipated to endanger public health or
welfare. Thus, EPA had failed to offer a
reasoned explanation for its action. The
Court further held that EPA’s
generalized concerns about scientific
uncertainty were likewise insufficient
unless ‘‘the scientific uncertainty is so
profound that it precludes EPA from
making a reasoned judgment as to
whether greenhouse gases contribute to
global warming,’’ in which case EPA
must so find. Id. at 534.
The Supreme Court was careful to
note that it was not dictating EPA’s
action on remand, and was not deciding
whether or not EPA must find that
greenhouse gases endanger public
health or welfare. Nor did the Court rule
on ‘‘whether policy concerns can inform
EPA’s actions in the event that it makes
such a finding.’’ Id. at 534–35. The Court
also observed that under CAA section
202(a), ‘‘EPA no doubt has significant
latitude as to the manner, timing,
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content, and coordination of its
regulations with those of other
agencies.’’ Id. at 533. Nonetheless, any
EPA decisions concerning the
endangerment and cause or contribute
criteria must be grounded in the
requirements of CAA section 202(a).
On September 17, 2007, EPA’s denial
of the ICTA petition was vacated and
remanded to EPA for further
proceedings consistent with the
Supreme Court’s opinion.
2. Post-Massachusetts v. EPA
In response to a May 2007 Executive
Order (EO 13432) and instructions from
then-President Bush, EPA began
working closely with the Departments of
Transportation, Energy and Agriculture
to develop, under the CAA, proposals
for greenhouse gas standards for motor
vehicles and renewable and alternative
fuel requirements for gasoline.
However, after enactment of the
Energy Independence and Security Act
of 2007 (EISA) in late December 2007,
work in response to the Supreme
Court’s decision shifted. Rather than
moving forward with the proposed
endangerment determination and
attendant greenhouse gas vehicle
standards under the CAA, EPA
developed an Advance Notice of
Proposed Rulemaking (ANPR) on
‘‘Regulating Greenhouse Gas Emissions
under the Clean Air Act,’’ which was
published on July 30, 2008 (73 FR
44354). The ANPR presented
information relevant to, and solicited
public comment on, a wide variety of
issues regarding the potential regulation
of greenhouse gases under the CAA,
including EPA’s response to the
Supreme Court’s decision in
Massachusetts v. EPA. Section V of the
ANPR contained an earlier version of
much of the material in the Findings,
including the legal framework, a
summary of the science of climate
change, and an illustration of how the
Administrator could analyze the cause
or contribute element using information
regarding the greenhouse gas emissions
of the portion of the U.S. transportation
sector covered by CAA section 202(a). A
July 2008 version of the TSD for the
endangerment finding was also in the
docket for the ANPR (EPA–HQ–OAR–
2008–0318).
The comment period for the ANPR
was 120 days, and it provided an
opportunity for EPA to hear from the
public with regard to the issues
involved in endangerment and cause or
contribute findings, as well as the
supporting science. EPA received,
reviewed, and considered numerous
comments at that time and this public
input was reflected in the Findings that
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the Administrator proposed in April
2009. In addition, many comments were
received on the TSD released with the
ANPR. These comments are reflected in
revisions to the TSD that was released
in April 2009 to accompany the
Administrator’s proposal.
3. Proposed and Final Endangerment
and Cause or Contribute Findings
In April 2009, the Administrator
proposed to find under CAA section
202(a) that the mix of six key
greenhouse gases in the atmosphere may
reasonably be anticipated to endanger
public health and welfare. Specifically,
the Administrator proposed to define
the ‘‘air pollution’’ referred to in CAA
section 202(a) to be the mix of six key
directly emitted and long-lived
greenhouse gases: Carbon dioxide,
methane, nitrous oxide,
hydrofluorocarbons, perfluorocarbons,
and sulfur hexafluoride (74 FR 18886,
April 24, 2009). The Administrator
further proposed to find that combined
greenhouse gas emissions from new
motor vehicles and new motor vehicle
engines contribute to this air pollution
that endangers public health and
welfare.
The Administrator’s proposal was
subject to a 60-day public comment
period, which ended June 23, 2009, and
also included two public hearings. Over
380,000 public comments were received
on the Administrator’s proposed
endangerment and cause or contribute
findings, including comments on the
elements of the Administrator’s April
2009 proposal, the legal issues
pertaining to the Administrator’s
decisions, and the underlying TSD
containing the scientific and technical
information.
After carefully reviewing the public
comments and all the information
before her, on December 7, 2009, the
Administrator signed the final Findings
(74 FR 66496, December 15, 2009).
Specifically, she found under CAA
section 202(a) that atmospheric
concentrations of the six greenhouse
gases taken in combination may
reasonably be anticipated to endanger
both the public health and the public
welfare of current and future
generations. The Administrator also
found that the combined emissions of
these greenhouse gases from new motor
vehicles and new motor vehicle engines
contribute to the greenhouse gas air
pollution that endangers public health
and welfare under CAA section 202(a).
The July 2008 ANPR and the April
2009 proposed Findings were
accompanied by draft versions of the
TSD and the Findings were supported
by the final TSD. The TSD provided an
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overview of all the major scientific
assessments available at the time of each
action, and greenhouse gas emission
inventory data relevant to the
contribution finding. Each of these three
versions of the TSD were subject to
review by Federal climate experts to
ensure that they represented an accurate
summary of the major scientific
assessments. Moreover, the July 2008
and the April 2009 versions of the TSD
were subject to public review as part of
the public comment periods for the
ANPR and proposed Findings.
4. Petitions for Reconsideration and
Stay Requests
Between December 2009 and March
2010, EPA received 10 petitions (and
supplements thereto) to reconsider the
Findings.6 Nine of these petitions base
their requests on allegations that
developments since the close of the
comment period on the proposed
Findings call into question the science
underlying the Findings. One petition
focuses on statements since the close of
the comment period regarding the
impact of regulating stationary sources
under the CAA, and the relationship
between EPA’s proposed Light-Duty
Vehicle Rule (see below) and the
National Highway Transportation Safety
Administration’s (NHTSA) proposed
Corporate Average Fuel Economy
(CAFE) rule as a basis for their request
that EPA reconsider the Findings. Each
significant objection in the petitions is
discussed in detail below and the
accompanying RTP document. Note that
when more than one petitioner raised an
objection, our response to that objection
is provided only once.
In addition, EPA received two
requests to administratively stay the
final Findings. One administrative stay
request under CAA section 307(d)(7)(b)
was tied to a petition to reconsider the
findings based on concerns about the
science and requested that EPA stay the
final Findings for three months. The
other administrative stay request was
filed under CAA section 307(d)(7)(B),
the Administrative Procedures Act
(APA) section 705, and Federal Rule of
Appellate Procedure 18(a)(1) as part of
the petition for reconsideration relating
to stationary source concerns, and
requested a stay pending EPA’s
completion of its reconsideration of the
final Findings.
II. Standard for Reconsideration
Section 307(d)(7)(B) of the CAA
strictly limits petitions for
6 The West Virginia Coal Association also filed a
letter in support of the existing petitions for
reconsideration.
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reconsideration both in time and scope.
It states that: ‘‘Only an objection to a
rule or procedure which was raised with
reasonable specificity during the period
for public comment (including any
public hearing) may be raised during
judicial review. If the person raising an
objection can demonstrate to the
Administrator that it was impracticable
to raise such objection within such time
or if the grounds for such objection
arose after the period for public
comment (but within the time specified
for judicial review) and if such objection
is of central relevance to the outcome of
the rule, the Administrator shall
convene a proceeding for
reconsideration of the rule and provide
the same procedural rights as would
have been afforded had the information
been available at the time the rule was
proposed. If the Administrator refuses to
convene such a proceeding, such person
may seek review of such refusal in the
United States court of appeals for the
appropriate circuit (as provided in
subsection (b)). Such reconsideration
shall not postpone the effectiveness of
the rule. The effectiveness of the rule
may be stayed during such
reconsideration, however, by the
Administrator or the court for a period
not to exceed three months.’’
Thus the requirement to convene a
proceeding to reconsider a rule is based
on the petitioner demonstrating to EPA:
(1) That it was impracticable to raise the
objection during the comment period, or
that the grounds for such objection arose
after the comment period but within the
time specified for judicial review (i.e.,
within 60 days after publication of the
final rulemaking notice in the Federal
Register, see CAA section 307(b)(1); and
(2) that the objection is of central
relevance to the outcome of the rule.
As to the first procedural criterion for
reconsideration, a petitioner must show
why the issue could not have been
presented during the comment period,
either because it was impracticable to
raise the issue during that time or
because the grounds for the issue arose
after the period for public comment (but
within 60 days of publication of the
final action). Thus, CAA section
307(d)(7)(B) does not provide a forum to
request EPA to reconsider issues that
actually were raised, or could have been
raised, prior to promulgation of the final
rule.
In EPA’s view, an objection is of
central relevance to the outcome of the
rule only if it provides substantial
support for the argument that the
regulation should be revised. See Denial
of Petition to Reconsider, 68 FR 63021
(November 7, 2003), Technical Support
Document for Prevention of Significant
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Deterioration (PSD) and Nonattainment
New Source Review (NSR):
Reconsideration at 5 (Oct. 30, 2003)
(EPA–456/R–03–005) (available at
https://www.epa.gov/nsr/documents/
petitionresponses10-30-03.pdf); Denial
of Petition to Reconsider NAAQS for
PM, 53 FR 52698, 52700 (December 29,
1988), citing Denial of Petition to Revise
NSPS for Stationary Gas Turbines, 45
FR 81653–54 (December 11, 1980), and
decisions cited therein.
This interpretation is clearly
appropriate in light of the criteria
adopted by Congress in this and other
provisions in section 307(d). Section
307(d)(4)(B)(i) provides that ‘‘[a]ll
documents which become available
after the proposed rule has been
published and which the Administrator
determines are of central relevance to
the rulemaking shall be placed in the
docket as soon as possible after their
availability.’’ This provision draws a
distinction between comments and
other information submitted during the
comment period, and other documents
which become available after
publication of the proposed rule. The
former are docketed irrespective of their
relevance or merit, while the latter must
be docketed only if a higher hurdle of
central relevance to the rulemaking is
met. Congress also used the phrase
‘‘central relevance’’ in sections
307(d)(7)(B) and (d)(8), and in both
cases Congress set a more stringent
hurdle than in section 307(d)(4). Under
section 307(d)(7)(B), the Administrator
is required to reconsider a rule only if
the objection is ‘‘of central relevance to
the outcome of the rule.’’ Likewise,
section 307(d)(8) authorizes a court to
invalidate a rule for procedural errors
only if the errors were ‘‘so serious and
related to matters of such central
relevance to the rule that there is a
substantial likelihood that the rule
would have been substantially changed
if such errors had not been made.’’ In
both of these provisions, it is not
enough that the objection or error be of
central relevance to the issues involved
in the rulemaking, as in section
307(d)(4). Instead, the objection has to
be of central relevance ‘‘to the outcome
of the rule’’ itself, and the procedural
error has to be of such central relevance
that it presents a ‘‘substantial likelihood
that the rule would have been
substantially changed.’’ Central
relevance to the issues involved in the
rulemaking is not enough to meet the
criteria Congress set under sections
307(d)(7) or (d)(8). Both of those
provisions require that the objection or
error be central to the substantive
decision that is the outcome of the
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49561
rulemaking. This difference is
significant, and indicates that Congress
set a much higher hurdle for disturbing
a final rule that has already been issued,
as compared to the less stringent criteria
for docketing of documents before a
decision has been made and a rule has
been issued.
In this context, EPA’s interpretation of
section 307(d)(7)(B) gives full and
appropriate meaning to the criteria
adopted by Congress. An objection is
considered of central relevance to the
outcome of the rule only if it provides
substantial support for the argument
that the regulation should be revised.
This properly links the criteria to the
outcome of the rulemaking, not just the
issues in the rulemaking. It requires that
the objection be of such substance and
merit that it can be considered central
to the outcome of the rulemaking. This
interpretation is consistent with section
307(d)(8), which also ties central
relevance to the outcome of the
rulemaking, in terms of a ‘‘substantial
likelihood’’ that the rule would be
‘‘substantially changed.’’ This
interpretation gives proper weight to the
approach throughout section 307(b) and
(d) of the importance Congress
attributed to preserving the finality of
agency rulemaking decisions. This
interpretation is also consistent with the
case law, as discussed below.
As discussed in this Decision, EPA is
denying the petitions because they fail
to meet these criteria. In many cases, the
objections raised in the petitions to
reconsider were or could have been
raised during the comment period of the
proposed Findings. In all cases, the
objections are not of central relevance to
the outcome of the rule because they do
not provide substantial support for the
argument that the Endangerment
Finding should be revised.
Pacific Legal Foundation (PLF) argues
that its objections are of central
relevance because the CRU documents
and e-mails ‘‘cast substantial uncertainty
over’’ the final Endangerment Finding,
and that EPA is required to grant the
petition or reconsider ‘‘if information
not available in the rulemaking record
for public comment casts substantial
uncertainty over the final regulation.’’
PLF Pet at 8–9. They argue that this is
the case even if one does not assume or
even argue that the statements in the
CRU documents and e-mails are true.
PLF Pet. at 6. They base this claim on
Kennecott Corp. v. EPA, 684 F.2d 1007,
1017–20 (DC Cir. 1982).
PLF’s view of Kennecott fails to
account for the specific procedural
issues that were central to that case. In
Kennecott, petitioners objected that EPA
had not provided adequate notice and
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an opportunity for comment in the
underlying rulemaking, in violation of
various CAA section 307(d) provisions.
Petitioners had two different notice and
comment objections. First, they objected
to EPA’s failure to include certain
documents in the docket at the time of
the proposal, including various EPA
financial analyses performed prior to
the proposal. The court found that these
documents were part of the basis for the
proposed regulations and needed to be
docketed so comment could be taken on
them during the comment period. The
court found that the failure to submit
these documents to the docket at the
time of the proposal was a procedural
violation of CAA section 307(d)’s notice
and comment requirements, because the
documents EPA failed to docket made
impossible any meaningful comment on
the merits of EPA’s proposal. The
missing documents led to uncertainty
over EPA’s basis for the proposal, which
the documents could clarify. This
procedural violation met the test under
CAA section 307(d)(9) for reversible
error, because it indicated a ‘‘substantial
likelihood’’ that the regulations would
‘‘have been significantly changed.’’
Kennecott, 684 F.2d at 1018–1019.7
Petitioners in Kennecott also objected
to EPA’s submission to the docket, one
week prior to promulgation of the final
rule, of certain economic forecast data
upon which EPA relied for the final
rule, where the forecast data differed
significantly from the forecast data
provided during the pubic comment
period. The court found that this late
submission of important information
relied on by EPA, without an
opportunity to comment, also violated
the notice and comment requirements of
CAA section 307(d). Id. at 1019.
Given these two violations of the
notice and comment requirements of
CAA section 307(d), the court
determined that consideration of a
petition to reconsider after
promulgation of the final rule was not
an adequate substitute for the statutory
required notice and opportunity to
comment prior to promulgation of the
rule. EPA failed to provide adequate
notice and an opportunity to comment
during the rulemaking process, and
could not cure that by later considering
the merits of the petitioner’s comments
post-promulgation, through a petition to
reconsider, where the issues involved
7 It is this discussion of uncertainty that is cited
by PLF. However this concerns the criteria for
reversible error under CAA section 307(d)(9)(D)(iii)
for a procedural violation. The court did not
address this as the test for CAA section 307(d)(7)(B),
and certainly did not do so for cases where there
is no procedural violation.
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were critical to the central issues
involved in the rule. Id. at 1019.
EPA’s failure to provide adequate
notice and an opportunity to comment
in violation of CAA section 307(d) was
the critical underpinning for the court’s
determination that in that case
consideration of the merits of the
objections through a post-promulgation
petition to reconsider was not an
adequate substitute for providing the
required procedural rights prior to
promulgation. That, however, is not the
case here. Petitioners are not claiming
that the CRU e-mails or other
documents show that EPA failed to
provide adequate notice and an
opportunity to comment because EPA
failed to docket any documents or EPA
docketed late any documents used to
support EPA’s final Endangerment
Finding. Instead, petitioners are
claiming that EPA should reopen the
rulemaking and reconsider the
Endangerment Finding based on new
documents and arguments that
petitioners bring to EPA, which they
claim undermine the basis for EPA’s
Endangerment Finding.8 There is no
basis for treating the court’s decision in
Kennecott as precedent here, where
there is no comparable procedural
notice and comment violation by EPA.
There is no reason to limit EPA’s ability
to consider the merits of the petitioners’
objections through a post-promulgation
petition to reconsider, whereas in this
case there is no violation of a statutory
right to notice and comment and EPA’s
consideration of the merits of the
petitioners’ objections is not being used
as an improper substitute or cure for an
EPA failure to provide adequate notice
and an opportunity to comment prior to
promulgation of the final rule. Unlike
the situation in Kennecott, EPA’s
consideration of the petitions to
reconsider is focused on whether the
claimed new evidence and arguments
warrant a reopening of a prior, properly
noticed rulemaking. Absent a
demonstration that the objections raised
by petitioners provide substantial
support for the argument that the
regulation should be revised, such
8 Southeastern Legal Foundation, Inc. (SLF)
inappropriately points to the docketing
requirements under CAA section 307(d)(3) related
to a proposed rule, SLF at 3–5. However, the
documents SLF refers to are not EPA documents,
were not part of the basis for EPA’s proposal, and
arose after the comment period, not prior to
proposal. The provisions for a petition to reconsider
under CAA section 307(d)(7), not the provisions of
CAA section 307(d)(3), apply to the concerns raised
by SLF with respect to the arguments and
documents submitted to the agency after the end of
the comment period, in the petitions to reconsider.
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reopening is not warranted. Nothing in
Kennecott holds otherwise.
Appalachian Power Company et al. v.
EPA, 249 F.3d 1032 (D.C. Cir. 2001)
clearly supports this view. In that case,
petitioners presented comments to EPA
requesting that EPA consider various
materials concerning the issue of
substantial contribution under section
126. Because EPA had already
promulgated a rule that addressed the
issue of significant contribution, EPA
properly treated the request as a petition
to reconsider the prior rule. EPA
evaluated the evidence and its relevance
to the section 126 rule and for a variety
of reasons rejected it on the merits as a
basis for reopening the rule. The court
upheld EPA’s decision, stating that
‘‘[g]iven the deferential standard
employed in this context, the EPA’s
refusal to reopen and reconsider its
significant contribution findings must
be upheld.’’ Id. at 1060.
Part III of this Decision explains why
EPA is denying the petitions with
respect to the objections set forth in
these petitions for reconsideration. With
respect to some of these issues, the
petitioners clearly have not met the
procedural predicate for
reconsideration. That is, the petitioners
have not demonstrated that it was
impracticable to raise these objections
during the comment period, or that the
grounds for these objections arose after
the close of the comment period but
within 60 days after publication of the
final rule. As such, they do not meet the
statutory criteria for administrative
reconsideration under CAA section
307(d)(7)(B).9 For all of the objections,
whether or not the petitions might be
considered to meet the procedural
criterion for reconsideration, the
petitioners’ objections and arguments in
terms of substance are not ‘‘of central
relevance’’ to the outcome of the
rulemaking. Thus, none of the
objections meet the criteria for
reconsideration under the CAA.
As noted in Section I.B.4 of this
Decision, EPA also received two
requests to administratively stay the
final Findings. Two petitioners
requested an administrative stay under
9 The Chamber of Commerce’s petition was based
on grounds that it claims arose after the time period
for seeking judicial review of the underlying
rulemaking. The Chamber argues that EPA should
grant reconsideration in its discretion, even if it is
not required to do so under section 307(d). The
failure of the Chamber to file timely objections or
to demonstrate that the objections it raises provide
substantial support for the argument that the
regulation should be revised are a fully adequate
basis for EPA to deny the Chamber’s petition. In any
case, even if the petition were timely, EPA has
considered the objections raised by the Chamber
and is denying their petition as discussed in more
detail herein.
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CAA section 307(d)(7)(B), tied to the
petitions to reconsider the findings,
requesting that EPA stay the Findings
for three months. Southeastern Legal
Foundation at 8, Chamber of Commerce
at 1. EPA has authority to issue a stay
for up to 3 months if it grants a petition
to reconsider under CAA section
307(d)(7)(B). As described below, EPA is
denying the petitions to reconsider,
hence there is no basis for issuance of
an administrative stay under this
provision.
One of the administrative stay
requests was filed under section 705 of
the Administrative Procedure Act (APA)
as part of the petition for
reconsideration relating to stationary
source concerns, and requested a stay
pending EPA’s completion of its
reconsideration of the final Findings.
Chamber at 23–34. 5 U.S.C. 705
authorizes an agency to postpone the
effective date of an agency action
pending judicial review when the
agency finds that justice so requires. In
this case, the Endangerment Finding
was effective as of January 14, 2010. The
request for an administrative stay was
submitted by petition dated March 15,
2010, after the Endangerment Finding
was effective. Even if EPA believed that
an administrative stay was warranted,
which it does not, it is not clear whether
EPA would have the authority under
APA section 705 to stay an agency
action that has already gone into effect.
Postponing an effective date implies
acting before the effective date occurs.
In any case, an administrative stay of
the Endangerment Finding is not
warranted. In response to the arguments
raised by the Chamber, (1) the Chamber
has not made a strong showing on the
merits, for all of the reasons upon which
EPA is denying the petitions to
reconsider; (2) the Chamber’s arguments
concerning irreparable harm fail to
adequately account for the proposed or
recently issued Final Prevention of
Significant Deterioration (PSD) and Title
V Greenhouse Gas Tailoring Rule (75 FR
31518, 31579–84; June 3, 2010) (Final
Tailoring Rule), and present general,
unspecific, and unsupported arguments;
(3) the Chamber’s arguments that EPA’s
standards for emissions of GHGs from
light-duty vehicles would have no
important benefit because of the related
NHTSA CAFE rule are rejected for the
reasons discussed in Section IV.B of this
Notice, and (4) the Chamber’s arguments
concerning the public interest, which
repeat its prior arguments, are rejected
for the same reasons.
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III. Science Related Issues
A. General Summary of Petitioners’
Arguments
The petitioners generally claim that
the science underlying the
Administrator’s Endangerment Finding
is flawed and/or that EPA did not follow
an appropriate or robust process in
evaluating the underlying science for
purposes of making an endangerment
finding for greenhouse gases. Many of
the 10 petitions present similar
arguments. Some of the petitioners’
arguments were raised during the
60-day public comment period
following the proposed Findings (74 FR
18886, April 24, 2009).
Many of the petitioners critique
specific elements of the underlying
science that support the Findings,
primarily the HadCRUT temperature
record showing increases in global
surface temperatures. There are many
elements of the underlying science that
support the Administrator’s
Endangerment Finding that are not
addressed by the petitioners. Petitioners
assert that the global temperature record
is so central to all greenhouse gas and
climate change science that the
problems with a global surface
temperature record essentially mean all
scientific knowledge linking greenhouse
gases and climate change, and by
extension all public health and welfare
risks associated with human-induced
climate change, must also be called into
question. Petitioners also question the
credibility of the IPCC and, by
extension, EPA’s use of IPCC AR4 as a
significant reference document
supporting the Findings.
The primary information provided by
the petitioners to back their arguments
are:
(1) A set of disclosed private e-mail
communications among some scientists
associated with the HadCRUT
temperature record and associated with
certain sections of IPCC AR4.
(2) A small number of factual
mistakes and claimed factual mistakes
and alleged unsupported statements in
the voluminous, 2,927-page IPCC AR4.
(3) A limited number of new studies
for EPA to consider.
EPA’s responses to the petitioners’
evidence, arguments, and claims are
summarized in this section of this
Decision and provided in fuller
technical detail in the accompanying
three-volume RTP document. More
specifically, the petitioners’ arguments
can generally be grouped into three
broad categories:
• Climate science and data issues,
including (1) the validity of the
reconstructed surface temperature
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49563
record from the distant past and
whether or not recent observations of
global warming are unusual; (2) the
validity of the more recent surface
temperature record and whether recent
temperature changes can be attributed to
human emissions of greenhouse gases;
(3) the validity of the HadCRUT surface
temperature record of the Climatic
Research Unit (CRU); (4) the validity of
the recent surface temperature records
constructed by the National
Oceanographic and Atmospheric
Administration (NOAA) and National
Aeronautics and Space Administration
(NASA); and (5) the implications of new
studies not previously considered.
• Issues raised by EPA’s use of IPCC
reports, including: (1) Claims that
recently found errors and claimed errors
in IPCC AR4 undermine IPCC’s
credibility and therefore EPA’s use of
IPCC AR4 as a primary reference
document; and (2) claims that IPCC has
a policy agenda and is not an objective
scientific body.
• Process and other issues, including
claims that: (1) The USGCRP and the
NRC are not separate and independent
assessments from IPCC; (2) EPA’s
process to develop the scientific support
for the Findings was inappropriate;
(3) there are improper peer-review
processes in the underlying scientific
literature used by the major
assessments; and (4) certain scientists
did not adhere to UK and U.S. Freedom
of Information Act Requests.
B. Summary of the Science Underlying
the Administrator’s Endangerment
Finding in Light of the Petitioners’
Claims
Before addressing the petitioners’
general and specific assertions, this
section briefly describes the major
scientific conclusions and data that
support the Administrator’s
Endangerment Finding that elevated
atmospheric concentrations of the group
of six key greenhouse gases are
reasonably anticipated to endanger the
public health and public welfare of
current and future generations. As noted
above, the petitioners do not take issue
with the large body of scientific
evidence. Rather, they focus most of
their attention on questioning the
validity of the global surface
temperature record—specifically the
HadCRUT temperature record, one of
the three major global surface
temperature records used by climate
researchers—which show that
temperatures are increasing. This
section puts the global temperature
record in the broader context of
greenhouse gas and climate change
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science, and demonstrates the limited
scope of the petitioners’ arguments.
There is a causal chain linking
atmospheric concentrations of
greenhouse gases to impacts and risks to
public health and welfare. The elements
of this causal chain are:
• What effects do greenhouse gases
have on the environment and on climate
in particular?
• Are human activities changing the
amount of greenhouse gases in our
atmosphere?
• What is the evidence indicating that
average temperatures are increasing and
that climate change is occurring,
consistent with the direction one would
expect from increasing greenhouse gases
in our atmosphere?
• What is the evidence linking
observed temperature changes and
climate change to the anthropogenic
increase in greenhouse gases?
• How are public health and welfare
threatened by these changes to climate
and the environment, now and in the
future?
Each element of the causal chain is
discussed below. Evidence related to
each element is based on the underlying
scientific assessments (e.g., IPCC and
USGCRP) that EPA relied on to develop
the TSD to support the Administrator’s
Endangerment Finding, and, where
noted, is also based on the most recent
scientific assessment, published in May
2010, of the NRC.10
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1. What effects do greenhouse gases
have on the environment and on climate
in particular?
The physical effect of greenhouse
gases on climate and the environment
remains a basic scientific fact—
greenhouse gases slow the loss of
Earth’s heat, which would otherwise
escape to space. Much like a blanket
keeps a person warm by preventing heat
loss, greenhouse gases blanket the
planet and warm the Earth by trapping
in heat that would otherwise escape to
space. This is the Earth’s natural
greenhouse effect. An increase in the
amount of greenhouse gases in our
atmosphere intensifies the natural
greenhouse effect and thus exerts a
warming effect on the global climate.
These are well-established physical
properties of greenhouse gases. The six
greenhouse gases grouped together in
the Administrator’s Endangerment
Finding are long-lived in the
atmosphere and, once emitted, can
remain in the atmosphere for decades to
10 National Research Council (2010) Advancing
the Science of Climate Change: America’s Climate
Choices, National Academies Press, Washington,
DC.
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centuries. Carbon dioxide has other
non-climate effects as well. Increases in
atmospheric carbon dioxide
concentrations can affect oceanic acidity
and the growth rates of crops, weeds,
and trees. Petitioners have not presented
information challenging the basic
physical properties of how the six
greenhouse gases affect the climate and
the environment.
2. How are human activities changing
the amount of greenhouse gases in our
atmosphere?
It is a well-documented and
straightforward observation that levels
of carbon dioxide and other greenhouse
gases are increasing in our atmosphere.
The six key greenhouse gases included
in the Administrator’s Findings are at
essentially unprecedented levels
compared to the recent and distant past.
Their concentrations are climbing, and
this is projected to continue well into
this century. The two most important
directly emitted greenhouse gases,
carbon dioxide and methane, are well
above the natural range of atmospheric
concentrations compared to at least the
last 650,000 years (see TSD EPA–HQ–
OAR–2009–0171–11645). The most
recent report of the NRC states that
carbon dioxide levels are now at 388
parts per million and increasing by
almost two parts per million per year.
The fact that greenhouse
concentrations are now at such high
levels is absolutely central to the
Administrator’s Endangerment Finding.
Without such a large and everincreasing buildup of atmospheric
levels of greenhouse gases there would
be less concern about the potential
future warming caused by human
activities. Greenhouse gases are at such
high levels in our atmosphere and
continue to climb because human
activities are adding greenhouse gases to
the atmosphere in larger quantities and
more quickly than the environment can
handle. Our annual emissions from
fossil fuel combustion, deforestation,
and other sources are overwhelming the
natural removal systems in the ocean,
atmosphere, and terrestrial biosphere
(e.g., trees and other vegetation).
Furthermore, human activities are
unambiguously the driver of the
increase in atmospheric levels of
greenhouse gases. The EPA TSD states:
‘‘The global atmospheric CO2
concentration has increased about 38%
from pre-industrial levels to 2009, and
almost all of the increase is due to
anthropogenic emissions.’’ This is
supported by the most recent NRC
report, which states that, ‘‘We know that
this increase is largely the result of
human activities because the chemical
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signature of excess CO2 in the
atmosphere can be linked to the
composition of the CO2 emissions from
fossil fuel burning. Moreover, analyses
of bubbles trapped in ice cores from
Greenland and Antarctica reveal that
atmospheric CO2 levels have been rising
steadily since the start of the Industrial
Revolution.’’ Petitioners do not provide
any evidence that cause EPA to question
this scientific conclusion.
3. What is the evidence indicating that
average temperatures are increasing and
climate change is occurring consistent
with the direction one would expect
with increasing greenhouse gases in our
atmosphere?
The scientific literature is clear that
the heating effect caused by the buildup
of greenhouse gases is warming the
climate system. As summarized in the
TSD:
• The global average net effect of the
increase in atmospheric GHG
concentrations, plus other human
activities (e.g., land-use change and
aerosol emissions), on the global energy
balance since 1750 has been one of
warming. This total net heating effect,
referred to as forcing, is estimated to be
+1.6 (+0.6 to +2.4) watts per square
meter (W/m2), with much of the range
surrounding this estimate due to
uncertainties about the cooling and
warming effects of aerosols.
• Warming of the climate system is
unequivocal, as is now evident from
observations of increases in global
average air and ocean temperatures,
widespread melting of snow and ice,
and rising global average sea level.
Global mean surface temperatures have
risen by 1.3 ± 0.32 °F (0.74 °C ± 0.18 °C)
over the last 100 years. Eight of the 10
warmest years on record have occurred
since 2001. Global mean surface
temperature was higher during the last
few decades of the 20th century than
during any comparable period during
the preceding four centuries.
• U.S. temperatures also warmed
during the 20th and into the 21st
century; temperatures are now
approximately 1.3 °F (0.7 °C) warmer
than at the start of the 20th century,
with an increased rate of warming over
the past 30 years. Both the IPCC and the
USGCRP 11 reports attributed recent
North American warming to elevated
GHG concentrations. In the U.S. Climate
Change Science Program (CCSP)
(2008) 12 report, the authors find that for
11 USGCRP now encompasses the former Climate
Change Science Program (CCSP) under the previous
Administration.
12 CCSP (2008). Reanalysis of Historical Climate
Data for Key Atmospheric Features: Implications for
Attribution of Causes of Observed Change. A Report
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North America, ‘‘more than half of this
warming [for the period 1951–2006] is
likely the result of human-caused GHG
forcing of climate change.’’
• Widespread changes in extreme
temperatures have been observed in the
last 50 years across all world regions,
including the United States. Cold days,
cold nights, and frost have become less
frequent, while hot days, hot nights, and
heat waves have become more frequent.
• There is strong evidence that global
sea level gradually rose in the 20th
century and is currently rising at an
increased rate.
• Satellite data since 1979 show that
annual average Arctic sea ice extent has
shrunk by 4.1% per decade.
• Observational evidence from all
continents and most oceans shows that
many natural systems are being affected
by regional climate change, particularly
temperature increases.
• Observations show that climate
change is currently affecting U.S.
physical and biological systems in
significant ways.
• Ocean CO2 uptake has lowered the
average ocean pH (increased acidity)
level by approximately 0.1 since 1750.
These conclusions are consistent
with, or strengthened by, the most
recent NRC report which states the
following: ‘‘Earth is warming. Detailed
observations of surface temperature
assembled and analyzed by several
different research groups show that the
planet’s average surface temperature
was 1.4 °F (0.8 °C) warmer during the
first decade of the 21st century than
during the first decade of the 20th
century, with the most pronounced
warming over the last three decades.
These data are corroborated by a variety
of independent observations that
indicate warming in other parts of the
Earth system, including the cryosphere
(snow and ice covered regions), the
lower atmosphere, and the oceans.’’
These multiple lines of evidence
highlight a number of things. First, there
is well-documented evidence that the
buildup of greenhouse gases in our
atmosphere is exerting, as expected, a
significant heating effect called radiative
forcing. This is not to be confused with
temperature change or the temperature
data that is the subject of many of the
petitions. This heating effect or radiative
forcing refers to a change in the energy
balance of the planet, and is thus the
driver of temperature change.
by the U.S. Climate Change Science Program and
the Subcommittee on Global Change Research
[Randall Dole, Martin Hoerling, and Siegfried
Schubert (eds.)]. Asheville, NC: National Oceanic
and Atmospheric Administration, National Climatic
Data Center. 156 pp.
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The magnitude of this heating effect
caused by the buildup in atmospheric
greenhouse gases has been quantified in
the scientific literature. The petitioners
do not challenge these estimates and do
not challenge the fact that the observed
buildup of greenhouse gases is having a
clear and quantifiable heating effect on
the planet. This is a fundamental pillar
of climate change science, and is a
fundamental piece of supporting
evidence for the Administrator’s
Endangerment Finding.
Second, the underlying science
indicates that there is significant and
unambiguous warming for the Earth and
for North America. This is the first place
along the causal chain where the
petitioners question the science. Many
petitioners question the validity of the
global temperature evidence by pointing
to the CRU e-mails and their impact on
the scientific assessment reports used by
EPA. This particular critique is
addressed below and in fuller detail in
Volume 1 of the RTP document.
Third, the evidence of climate change
caused by human activities goes beyond
average increases in global and
continental temperatures. There are
well-documented increases in sea level,
declines in sea ice, and changes to
physical and biological systems, all
primarily driven by, and therefore
showing further evidence of, increases
in average temperatures. These changes
are documented by datasets other than
temperature datasets, and bear no
relation to the particular CRU
temperature dataset that is the primary
focus of many of the petitioners.
Similarly, the observation that
elevated levels of carbon dioxide are
increasing the acidity of the world’s
oceans is direct evidence of a large-scale
and significant environmental effect that
does not depend on any evidence from
a temperature dataset. This particular
effect was considered supporting
evidence by the Administrator in the
Endangerment Finding. This
documented effect is not challenged by
any of the petitioners.
4. What is the evidence linking observed
temperature changes and climate change
to the anthropogenic increase in
greenhouse gases?
The underlying science has clearly
attributed the observed warming to the
buildup of greenhouse gases in our
atmosphere. Summarized here is the
underlying science that shows that
increases in average global and
continental temperatures, as well as
other climatic changes, can confidently
be attributed to the increases in
greenhouse gas emissions from human
activities. The extent to which observed
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warming can be attributed to the
human-induced buildup of greenhouse
gases in the atmosphere is the second
area of the causal chain where some
petitioners question the science.
IPCC statements on the linkage
between greenhouse gases and
temperatures have strengthened since
the organization’s early assessments
(Solomon et al., 2007).13 The IPCC’s
First Assessment Report in 1990
contained little observational evidence
of a detectable anthropogenic influence
on climate (IPCC, 1990).14 In its Second
Assessment Report in 1995, the IPCC
stated that the balance of evidence
suggests a discernible human influence
on the climate of the 20th century
(IPCC, 1996).15 The Third Assessment
Report in 2001 concluded that most of
the observed warming over the last 50
years is likely to have been due to the
increase in greenhouse gas
concentrations (IPCC, 2001b).16 The
conclusion in IPCC’s 2007 Fourth
Assessment Report (2007b) 17 is the
strongest yet: ‘‘Most of the observed
increase in global average temperatures
since the mid-20th century is very
likely 18 due to the observed increase in
anthropogenic GHG concentrations.’’
The strength of this statement reflects
our current, much better understanding
13 Solomon, S., D. Qin, M. Manning, R.B. Alley,
T. Berntsen, N.L. Bindoff, Z. Chen, A. Chidthaisong,
J.M. Gregory, G.C. Hegerl, M. Heimann, B.
Hewitson, B.J. Hoskins, F. Joos, J. Jouzel, V. Kattsov,
U. Lohmann, T. Matsuno, M. Molina, N. Nicholls,
J. Overpeck, G. Raga, V. Ramaswamy, J. Ren, M.
Rusticucci, R. Somerville, T.F. Stocker, P. Whetton,
R.A. Wood and D. Wratt (2007). Technical
Summary. In: Climate Change 2007: The Physical
Science Basis. Contribution of Working Group I to
the Fourth Assessment Report of the
Intergovernmental Panel on Climate Change
[Solomon, S., D. Qin, M. Manning, Z. Chen, M.
Marquis, K.B. Averyt, M. Tignor, and H.L. Miller
(eds.)]. Cambridge University Press, Cambridge,
United Kingdom and New York, NY, USA, 996 pp.
14 IPCC (1990). First Assessment Report: Climate
Change 1990. Cambridge University Press,
Cambridge, United Kingdom and New York, NY,
USA.
15 IPCC (1996). Climate Change 1995: The Science
of Climate Change. Intergovernmental Panel on
Climate Change [J.T. Houghton, L.G. Meira Filho,
B.A. Callander, N. Harris, A. Kattenberg, and K.
Maskell (eds)]. Cambridge University Press.
Cambridge, United Kingdom.
16 IPCC (2001b). Summary for Policymakers. In.
Climate Change 2001: The Scientific Basis.
Contribution of Working Group I to the Third
Assessment Report of the Intergovernmental Panel
on Climate Change [J.T. Houghton et al. (eds.)].
Cambridge University Press, Cambridge, United
Kingdom and New York, NY, USA.
17 IPCC (2007b). Climate Change 2007: Synthesis
Report. Contribution of Working Groups I, II and III
to the Fourth Assessment Report of the
Intergovernmental Panel on Climate Change [Core
Writing Team, Pachauri, R.K and Reisinger, A.
(eds.)]. IPCC, Geneva, Switzerland, 104 pp.
18 According to IPCC terminology, ‘‘very likely’’
conveys a 90 to 99% probability of occurrence. See
Box 1.2 of the TSD for a full description of IPCC’s
uncertainty terms.
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of all the factors, not just greenhouse
gases, that influence temperature
fluctuations and other climatic changes.
On this point, EPA’s TSD (citing Hegerl
et al., 2007) 19 listed the major scientific
advances between the Third and Fourth
Assessment Reports of the IPCC that led
to this increased confidence in the
ability to attribute observed temperature
and other climate changes to
anthropogenic greenhouse gases:
• An expanded and improved range
of observations allowing attribution of
warming to be more fully addressed
jointly with other changes in the climate
system.
• Improvements in the simulation of
many aspects of present mean climate
and its variability on seasonal to interdecadal time scales.
• More detailed representations of
processes related to aerosol and other
forcings (i.e., heating and cooling
effects) in models.
• Simulations of 20th-century climate
change that use many more models and
much more complete anthropogenic and
natural forcings.
• Multi-model ensembles that
increase confidence in attribution
results by providing an improved
representation of model uncertainty.
Climate model simulations suggest
that natural heating factors alone cannot
explain the observed warming for the
entire globe, the global land, or the
global ocean. The observed warming can
only be reproduced with models that
contain both natural and anthropogenic
heating and cooling influences.
EPA’s TSD, based on the underlying
assessment literature, states that if the
additional heating effect of elevated
levels of greenhouse gases were the only
external influence on the global climate,
this likely would have resulted in
warming greater than observed. This
statement is made because our
understanding of the climate system is
sophisticated enough to consider and
model multiple and simultaneous
influences on the global climate. For
example, there are known and
quantifiable cooling effects from human
emissions of aerosols and natural
forcings (e.g., volcanic eruptions and
solar variability) that have offset some of
the greenhouse gas-induced warming
during the past half century.
The sophistication of climate models
that examine the influence of human
19 Hegerl, G.C., et al. (2007). Understanding and
Attributing Climate Change. In: Climate Change
2007: The Physical Science Basis. Contribution of
Working Group I to the Fourth Assessment Report
of the Intergovernmental Panel on Climate Change
[Solomon, S., D. Qin, M. Manning, Z. Chen, M.
Marquis, K.B. Averyt, M. Tignor, and H.L. Miller
(eds.)]. Cambridge University Press, Cambridge,
United Kingdom and New York, NY, USA.
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emissions of greenhouse gases has
increased. Confidence in these models
comes from their foundation in accepted
physical principles and from their
ability to reproduce observed features of
current climate and past climate
changes (IPCC, 2007a).20 One petitioner
questions the reliability of the models
by pointing to certain CRU e-mails.
Questions regarding the reliability of
climate models are addressed in Volume
4 of the RTC document and in Volume
1 of the RTP document.
Furthermore, warming of the climate
system has been detected in changes of
surface and atmospheric temperatures,
in the upper several hundred meters of
the ocean (as evident by the observed
increase in ocean heat content), and in
contributions to sea level rise. The
scientific assessments have established
human contributions to all of these
changes.
Not only has an anthropogenic
warming signal been detected for the
surface temperatures, but evidence has
also accumulated of an anthropogenic
influence throughout different layers of
the atmosphere. Some petitioners have
raised one potential inconsistency
between observed warming and
modeled warming higher in the
atmosphere over the tropics. Karl et al.
(2009) 21 state that when uncertainties in
models and observations are properly
accounted for, newer observational
datasets are in agreement with climate
model results. A detailed discussion of
this issue is contained in Volume 1,
section 1.2 of the RTP document.
Lastly, evidence from climates in the
geologic past, going back millions of
years, also supports the conclusion that
elevated levels of greenhouse gases in
the atmosphere are expected to lead to
warmer climates. Measurements show
that climates from the geologic past
have been both warmer and colder than
present, and that warmer periods have
generally coincided with high
atmospheric carbon dioxide levels.
Analyses of these paleoclimate data
have increased confidence in the role of
external influences on climate. Climate
models for predicting future climate
have been used to reproduce key
features of past climates using
20 IPCC (2007a) Climate Change 2007: The
Physical Science Basis. Contribution of Working
Group I to the Fourth Assessment Report of the
Intergovernmental Panel on Climate Change.
[Solomon, S., D. Qin, M. Manning, Z. Chen, M.
Marquis, K.B. Averyt, M. Tignor, and H.L. Miller
(eds.)]. Cambridge University Press, Cambridge,
United Kingdom and New York, NY, USA.
21 Karl, T., J. Melillo, and T. Peterson (Eds.) (2009)
Global Climate Change Impacts in the United
States. Cambridge University Press, Cambridge,
United Kingdom.
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conditions and radiative forcing for
those periods.
Here too, these conclusions are
reinforced by the most recent NRC
report, which states:
‘‘Global warming can be attributed to
human activities. Many lines of evidence
support the conclusion that most of the
observed warming since the start of the 20th
century, and especially the last several
decades, can be attributed to human
activities, including the following:
• Earth’s surface temperature has clearly
risen over the past 100 years, at the same
time that human activities have resulted in
sharp increases in CO2 and other GHGs.
• Both the physics of the greenhouse effect
and more detailed calculations dictate that
increases in atmospheric GHGs should lead
to warming of Earth’s surface and lower
atmosphere.
• The vertical pattern of observed
warming—with warming in the bottommost
layer of the atmosphere and cooling
immediately above—is consistent with
warming caused by GHG increases, and
inconsistent with other possible causes.
• Detailed simulations with state-of-the-art
computer-based models of the climate system
are able to reproduce the observed warming
tend and patterns only when human-induced
GHG emissions are included.
Based on these and other lines of evidence,
the Panel on Advancing the Science of
Climate Change—along with an
overwhelming majority of scientists
(Rosenberg et al., 2010)—conclude that much
of the observed warming since the start of the
20th century, and most of the warming over
the last several decades, can be attributed to
human activities’’ [NRC at 29].
The clear conclusion from all of this
evidence is that the human-induced
buildup of greenhouse gases in the
atmosphere is primarily responsible for
most of the observed warming and other
climate changes occurring now. The
information petitioners present to
challenge this part of the scientific
record is clearly inadequate.
• Petitioners provide no credible
evidence to question the clear
observation that greenhouse gases are
increasing in our atmosphere to
significant levels.
• The petitioners provide no
information to question the quantified
radiative forcing (heating effect) caused
by this greenhouse gas buildup.
• Petitioners’ objections about
paleoclimate temperature
reconstructions focus on one type of
reconstruction (tree ring analysis). The
objections, addressed in Volume 1 of the
RTP document, do not withstand
scrutiny, nor do they undermine our
confidence in the conclusions of the
studies. These conclusions, and the
accompanying limitations and
uncertainties, have been properly
characterized in the assessment reports
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and the Endangerment Finding.
Petitioners do not contest or address the
variety of other aspects of paleoclimate
research supporting the attribution of
recent warming to anthropogenic
greenhouse gases.
• With respect to the variety of
evidence on observed temperature
change, the petitioners focus their
criticism on the validity of one of three
global surface temperature records, the
HadCRUT temperature record.
Petitioners’ objections are addressed in
detail below and in Volume 1 of the
RTP document, as are the petitioners’
related criticisms of the NOAA and
NASA temperature datasets. Their
objections do not withstand scrutiny,
nor do they reduce our confidence in
these temperature records, which have
been properly characterized in the
assessment reports and the
Endangerment Finding. In addition, the
petitioners ignore and do not address
the clear information and observations
showing that other elements of the
climate system are undergoing changes
consistent with these average
temperature increases (e.g., ocean
heating, sea level rise, Arctic ice loss).
Petitioners do not show that these
observations are in error or are the result
of some other, unidentified mechanism.
• Petitioners focus their criticism on
a possible discrepancy between model
predictions and the vertical temperature
structure of the atmosphere in the
tropics; this criticism is not
substantively supported, as discussed
below and in Volume 1 of the RTP
document.
• The petitioners do not attempt to
provide an alternative explanation of
the compellingly strong match between
the observed magnitude and pattern of
warming and the modeled simulations,
which include all known factors,
including the greenhouse gas buildup,
the offsetting cooling influence of
aerosols, and variability in solar output.
• Petitioners’ arguments that a
possible slowdown in the rate of
warming over the last 10 years should
weaken confidence in the fact that
human emissions of greenhouse gases
are the primary driver of recent
warming are not valid. EPA addresses
this issue more fully below and in
Volume 1 of the RTP document.
5. How are public health and welfare
threatened by these changes to climate
and the environment, now and in the
future?
The TSD summarizes a number of
conclusions from the underlying science
on this issue. In addition to
documenting many of the key observed
changes to atmospheric composition
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and climate, such as those outlined
above, the TSD summarizes key findings
about projected increases in greenhouse
gas emissions and the future climate
change associated with these future
scenarios:
• Most future scenarios that assume
no explicit greenhouse gas mitigation
actions (beyond those already enacted)
project increasing global greenhouse gas
emissions over the century, with
climbing greenhouse gas concentrations.
• Future warming over the course of
the 21st century, even under scenarios
of low-emission growth, is very likely to
be greater than observed warming over
the past century.
• All of the United States is very
likely to warm during this century, and
most areas of the United States are
expected to warm by more than the
global average.
• It is very likely that heat waves will
become more intense, more frequent,
and longer-lasting in a future warm
climate, whereas cold episodes are
projected to decrease significantly.
• Increases in the amount of
precipitation are very likely in higher
latitudes, while decreases are likely in
most subtropical latitudes and in the
southwestern United States, continuing
observed patterns.
• Intensity of precipitation events is
projected to increase in the United
States and other regions of the world.
• It is likely that hurricanes will
become more intense, with stronger
peak winds and more heavy
precipitation associated with ongoing
increases of tropical sea surface
temperatures. Frequency changes in
hurricanes are currently too uncertain
for confident projections.
• By the end of the century, global
average sea level is projected by the
IPCC to rise between 7.1 and 23 inches
(18 and 59 centimeter [cm]), relative to
around 1990, in the absence of
increased dynamic ice sheet loss.
• Sea ice extent is projected to shrink
in the Arctic under all IPCC emission
scenarios.
The validity of these future climate
change projections is not addressed by
the petitioners, although some of the
petitioners do call into question the
climate models that are used to conduct
these climate change projections. The
petitioners claim that some of the
models must be calibrated with the
current temperature record, which in
turn they assert appears to be flawed.
EPA addresses this faulty critique of the
models in Volume 1, section 1.2.3 of the
RTP document, and had previously
addressed similar critiques of climate
models in Volume 4 of the RTC
document.
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It is important to note that none of the
petitioners question the conclusion that
atmospheric levels of greenhouse gases
are expected to continue climbing for
the foreseeable future, given the longlived physical properties of the
greenhouse gases themselves and the
plausible pathways of human-emitting
activities over the next few decades.
Climate models aside, it is difficult to
imagine a world where the heating
effect of climbing greenhouse gas
concentrations does not increase for the
foreseeable future.
With regard to the impacts and risks
to public health and welfare, the TSD
and the Administrator’s Findings stated
the following:
• Severe heat waves are projected to
intensify in magnitude and duration
over the portions of the United States
where these events already occur, with
potential increases in mortality and
morbidity, especially among the elderly,
young, and frail.
• Some reduction in the risk of death
related to extreme cold is expected. It is
not clear whether reduced mortality
from cold will be greater or less than
increased heat-related mortality in the
United States due to climate change. In
addition, the latest USGCRP report
refers to a study that analyzed daily
mortality and weather data in 50 U.S.
cities from 1989 to 2000 and found that,
on average, cold snaps in the United
States increased death rates by 1.6
percent, while heat waves triggered a
5.7 percent increase in death rates. The
study concludes that increases in heatrelated mortality due to global warming
in the United States are unlikely to be
compensated for by decreases in coldrelated mortality.
• Increases in regional ozone
pollution relative to ozone levels
without climate change are expected
due to higher temperatures and weaker
circulation in the United States and
other world cities relative to air quality
levels without climate change.
• CCSP concludes that, with
increased CO2 and temperature, the life
cycle of grain and oilseed crops will
likely progress more rapidly. But, as
temperature rises, these crops will
increasingly begin to experience failure,
especially if climate variability
increases and precipitation lessens or
becomes more variable.
• Higher temperatures will very likely
reduce livestock production during the
summer season in some areas, but these
losses will very likely be partially offset
by warmer temperatures during the
winter season.
• Cold-water fisheries will likely be
negatively affected; warm-water
fisheries will generally benefit; and the
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results for cool-water fisheries will be
mixed, with gains in the northern and
losses in the southern portions of
ranges.
• Climate change has very likely
increased the size and number of forest
fires, insect outbreaks, and tree
mortality in the interior West, the
Southwest, and Alaska, and will
continue to do so.
• Coastal communities and habitats
will be increasingly stressed by climate
change impacts interacting with
development and pollution.
• Climate change will likely further
constrain already overallocated water
resources in some regions of the United
States, increasing competition among
agricultural, municipal, industrial, and
ecological uses.
• Higher water temperatures,
increased precipitation intensity, and
longer periods of low flows will
exacerbate many forms of water
pollution, potentially making
attainment of water quality goals more
difficult.
• Ocean acidification is projected to
continue, resulting in the reduced
biological production of marine
calcifiers, including corals.
• Climate change is likely to affect
U.S. energy use and energy production
and physical and institutional
infrastructures.
Furthermore, the most recent NRC
report from 2010 states that: ‘‘Global
warming is closely associated with a
broad spectrum of other climate
changes, such as increases in the
frequency of intense rainfall, decreases
in snow cover and sea ice, more and
increasingly intense heat waves, rising
sea levels, and widespread ocean
acidification. Individually and
collectively, and in combination with
the effects of other human activities,
these changes pose risks for a wide
range of human and environmental
systems, including freshwater resources,
the coastal environment, ecosystems,
agriculture, fisheries, human health, and
national security, among others.’’
The petitioners have not raised any
objections to EPA’s analysis and
judgments concerning these risks and
impacts to public health and welfare,
which were the foundation of the
Administrator’s Endangerment Finding.
C. Review of the Administrator’s
Findings
Throughout this Decision, EPA
explains why the petitioners’ arguments
and information fail to show that the
scientific underpinnings of the
Endangerment Finding are flawed. EPA
remains convinced that the underlying
science is robust, and that the
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Administrator appropriately interpreted
the science to make the Endangerment
Finding. This section summarizes the
Administrator’s December 2009
rationale and judgment based on the
underlying science.
The Administrator exercised her
judgment under CAA section 202(a) by
evaluating what the body of scientific
evidence indicates with respect to how
greenhouse gases affect the climate, and
the degree of scientific consensus about
the appropriate conclusions to draw
from this evidence. Based on this
consideration, the Administrator
proposed and took comment on her
preliminary judgment of endangerment
to public health and welfare. The
Administrator found the case to be
compelling that greenhouse gas air
pollution endangers both public health
and welfare within the United States.
The underlying science that EPA relied
on included careful qualifications and
characterizations about the degree of
certainty regarding the scientific
conclusions that were germane to the
Administrator’s Findings. The
Administrator’s reasoning and decisionmaking process to reach the Findings
make clear that there was full
acknowledgement that certain elements
of the science are known with virtual
certainty and others are currently more
uncertain.
A robust and comprehensive
opportunity for comment allowed any
and all objections regarding her
judgment to be raised. After carefully
reviewing the comments, the
Administrator confirmed her judgment
on endangerment and provided
responses to the scientific, legal, and
policy issues raised by commenters. The
final rule explains in detail the basis for
the Administrator’s Endangerment
Finding. Key elements of the
Administrator’s justification and
decision process are summarized in the
following 10 paragraphs from the
December 15, 2009 Findings (74 FR
66523–24).
‘‘As described in Section II of these
Findings, the endangerment test under CAA
section 202(a) does not require the
Administrator to identify a bright line,
quantitative threshold above which a positive
endangerment finding can be made. The
statutory language explicitly calls upon the
Administrator to use her judgment. This
section describes the general approach used
by the Administrator in reaching the
judgment that a positive endangerment
finding should be made, as well as the
specific rationale for finding that the
greenhouse gas air pollution may reasonably
be anticipated to endanger both public health
and welfare.
First, the Administrator finds the scientific
evidence linking human emissions and
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resulting elevated atmospheric
concentrations of the six well-mixed
greenhouse gases to observed global and
regional temperature increases and other
climate changes to be sufficiently robust and
compelling. This evidence is briefly
explained in more detail in Section V of
these Findings. The Administrator recognizes
that the climate change associated with
elevated atmospheric concentrations of
carbon dioxide and the other well-mixed
greenhouse gases have the potential to affect
essentially every aspect of human health,
society, and the natural environment.
The Administrator is therefore not limiting
her consideration of potential risks and
impacts associated with human emissions of
greenhouse gases to any one particular
element of human health, sector of the
economy, region of the country, or to any one
particular aspect of the natural environment.
Rather, the Administrator is basing her
finding on the total weight of scientific
evidence, and what the science has to say
regarding the nature and potential magnitude
of the risks and impacts across all climatesensitive elements of public health and
welfare, now and projected out into the
foreseeable future. The Administrator has
considered the state of the science on how
human emissions and the resulting elevated
atmospheric concentrations of well-mixed
greenhouse gases may affect each of the
major risk categories, i.e., those that are
described in the TSD, which include human
health, air quality, food production and
agriculture, forestry, water resources, sea
level rise and coastal areas, the energy sector,
infrastructure and settlements, and
ecosystems and wildlife. The Administrator
understands that the nature and potential
severity of impacts can vary across these
different elements of public health and
welfare, and that they can vary by region, as
well as over time.
The Administrator is therefore aware that,
because human-induced climate change has
the potential to be far-reaching and multidimensional, not all risks and potential
impacts can be characterized with a uniform
level of quantification or understanding, nor
can they be characterized with uniform
metrics. Given this variety in not only the
nature and potential magnitude of risks and
impacts, but also in our ability to
characterize, quantify and project into the
future such impacts, the Administrator must
use her judgment to weigh the threat in each
of the risk categories, weigh the potential
benefits where relevant, and ultimately judge
whether these risks and benefits, when
viewed in total, are judged to be
endangerment to public health and/or
welfare.
This has a number of implications for the
Administrator’s approach in assessing the
nature and magnitude of risk and impacts
across each of the risk categories. First, the
Administrator has not established a specific
threshold metric for each category of risk and
impacts. Also, the Administrator is not
necessarily placing the greatest weight on
those risks and impacts, which have been the
subject of the most study or quantification.
Part of the variation in risks and impacts
is the fact that climbing atmospheric
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concentrations of greenhouse gases and
associated temperature increases can bring
about some potential benefits to public
health and welfare in addition to adverse
risks. The current understanding of any
potential benefits associated with humaninduced climate change is described in the
TSD and is taken into consideration here.
The potential for both adverse and beneficial
effects are considered, as well as the relative
magnitude of such effects, to the extent that
the relative magnitudes can be quantified or
characterized. Furthermore, given the
multiple ways in which the buildup of
atmospheric greenhouse gases can cause
effects (e.g., via elevated carbon dioxide
concentrations, via temperature increases, via
precipitation increases, via sea level rise, and
via changes in extreme events), these
multiple pathways are considered. For
example, elevated carbon dioxide
concentrations may be beneficial to crop
yields, but changes in temperature and
precipitation may be adverse and must also
be considered. Likewise, modest temperature
increases may have some public health
benefits as well as harms, and other
pathways such as changes in air quality and
extreme events must also be considered.
The Administrator has balanced and
weighed the varying risks and effects for each
sector. She has judged whether there is a
pattern across the sector that supports or
does not support an endangerment finding,
and if so, whether the support is of more or
less weight. In cases where there is both a
potential for benefits and risks of harm, the
Administrator has balanced these factors by
determining whether there appears to be any
directional trend in the overall evidence that
would support placing more weight on one
than the other, taking into consideration all
that is known about the likelihood of the
various risks and effects and their
seriousness. In all of these cases, the
judgment is largely qualitative in nature, and
is not reducible to precise metrics or
quantification.
Regarding the timeframe for the
endangerment test, it is the Administrator’s
view that both current and future conditions
must be considered. The Administrator is
thus taking the view that the endangerment
period of analysis extend from the current
time to the next several decades, and in some
cases to the end of this century. This
consideration is also consistent with the
timeframes used in the underlying scientific
assessments. The future timeframe under
consideration is consistent with the
atmospheric lifetime and climate effects of
the six well-mixed greenhouse gases, and
also with our ability to make reasonable and
plausible projections of future conditions.
The Administrator acknowledges that some
aspects of climate change science and the
projected impacts are more certain than
others. Our state of knowledge is strongest for
recently observed, large-scale changes.
Uncertainty tends to increase in
characterizing changes at smaller (regional)
scales relative to large (global) scales.
Uncertainty also increases as the temporal
scales move away from present, either
backward, but more importantly, forward in
time. Nonetheless, the current state of
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knowledge of observed and past climate
changes and their causes enables projections
of plausible future changes under different
scenarios of anthropogenic forcing for a range
of spatial and temporal scales.
In some cases, where the level of
sensitivity to climate of a particular sector
has been extensively studied, future impacts
can be quantified whereas in other instances
only a qualitative description of a directional
change, if that, may be possible. The inherent
uncertainty in the direction, magnitude, and/
or rate of certain future climate change
impacts opens up the possibility that some
changes could be more or less severe than
expected, and the possibility of
unanticipated outcomes. In some cases, low
probability, high impact outcomes (i.e.,
known unknowns) are possibilities but
cannot be explicitly assessed.’’
The Findings show that the
Administrator took a measured,
balanced and systematic approach in
judging the body of scientific evidence
for the Endangerment Finding. The
Administrator did not take a narrow
view of the science, nor consider only
those pieces of evidence that would
support a positive endangerment
finding.
In taking this approach, the
Administrator determined that the body
of scientific evidence compellingly
supports a positive endangerment
finding. The major assessments by the
USGCRP, IPCC, and the NRC (published
before 2010) served as the primary
scientific basis supporting the
Administrator’s endangerment finding.
The Administrator reached her
determination by considering both
observed and projected effects of
greenhouse gases in the atmosphere,
their effect on climate, and the public
health and welfare risks and impacts
associated with such climate change.
The Administrator’s assessment focused
on public health and public welfare
impacts within the United States. She
also examined the evidence with respect
to impacts in other world regions, and
she concluded that these impacts
strengthen the case for endangerment to
public health and welfare because
impacts in other world regions can in
turn adversely affect the United States.
The Administrator considered how
elevated concentrations of the wellmixed greenhouse gases and associated
climate change affect public health by
evaluating the risks associated with
changes in air quality, increases in
temperatures, changes in extreme
weather events, increases in food- and
water-borne pathogens, and changes in
aeroallergens. The Administrator placed
weight on the fact that certain groups,
including children, the elderly, and the
poor, are most vulnerable to these
climate-related health effects.
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The Administrator considered how
elevated concentrations of the wellmixed greenhouse gases and associated
climate change affect public welfare by
evaluating numerous and far-ranging
risks to food production and agriculture,
forestry, water resources, sea level rise
and coastal areas, energy, infrastructure,
and settlements, and ecosystems and
wildlife. For each of these sectors, the
evidence provides support for a finding
of endangerment to public welfare. The
evidence concerning adverse impacts in
the areas of water resources and sea
level rise and coastal areas provides the
clearest and strongest support for an
endangerment finding, both for current
and future generations. Strong support
is also found in the evidence concerning
infrastructure and settlements, as well
as ecosystems and wildlife. Across the
sectors, the potential serious adverse
impacts of extreme events, such as
wildfires, flooding, drought, and
extreme weather conditions, provide
strong support for such a finding.
The petitioners have not provided
information that would lead EPA to
believe that the Administrator’s
approach, briefly summarized here and
explained in full in the December 2009
Findings, was flawed, should have been
carried out differently, or should have
led to a different conclusion.
D. General Response to the Petitioners’
Scientific Arguments in Light of the Full
Body of Scientific Evidence
EPA’s overarching conclusion is that
there is no material or reliable basis to
question the validity and credibility of
the body of science underlying the
Administrator’s Endangerment Finding
or the Administrator’s decision process
articulated in the Findings themselves.
The large body of scientific evidence
and the Administrator’s conclusions
drawn from this evidence, including the
appropriate characterizations as to the
degrees of certainty and uncertainty in
the underlying science, has not been
changed by the arguments presented by
the petitioners. While the petitioners
largely rely on making broad assertions
about the science based on private
communications, EPA’s focus is on the
actual science itself, and the petitioners
have not presented a valid basis
supporting the view that the credibility
or reliability of either the science or the
scientific conclusions that petitioners
contest have been undermined or
changed in any material way.
The petitioners present very little
scientific evidence or scientific
arguments to support their views. As
demonstrated above, they do not rely on
an in-depth and comprehensive analysis
of the science and make arguments on
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that basis. Instead they largely rely on
a small number of statements from the
CRU e-mails in which certain scientists
expressed various thoughts and feelings,
such as frustration and disrespect for
other scientists, along with strong views
on scientific issues and what constitutes
good science. From this evidence, the
petitioners conclude that the scientists
acted together to distort the review and
presentation of the body of science, and
presented false, inaccurate, or
misleading conclusions about what the
body of scientific studies tells us about
various aspects of climate change.
Petitioners do not argue their case by
marshalling and synthesizing the
breadth of the body of scientific
evidence and demonstrating why it
leads to a different conclusion than that
presented in the underlying science
supporting the Findings. Instead, they
largely argue that the state of mind of
these scientists and their private
remarks must lead to the conclusions
drawn by the petitioners. They also
conclude, based on a selective reading
of the CRU e-mails, that the state of the
science must be much more uncertain
than how it is characterized in the
underlying assessment reports used by
EPA and the Endangerment Finding.
Other than the conduct of sending
e-mails that evidence strong emotions or
unprofessional language, the petitioners
present almost no evidence of any
actual conduct by the scientists that
support their conclusion that the
science was assessed inaccurately. Most
of the conduct that is identified, such as
statements about the professional
challenges of working as an IPCC lead
author or the discussion with a journal
editor to delay the paper publication
(but not the online publication) of a
study, is of no relevance to the
evaluation of the science involved in the
assessment reports and the EPA
rulemaking.
Petitioners’ claims of distortion of
data, withholding of temperature data,
or abuses in data analysis also do not
withstand scrutiny. These issues are
addressed in fuller detail in volumes 1
and 3 of the RTP document. In addition,
some of these issues were raised and
addressed by EPA during the public
comment period, and thus fail to meet
the test in CAA 307(d). Petitioners have
shown no evidence that the HadCRUT
temperature record based on the
underlying raw temperature data was
flawed in any way, or that CRU’s lack
of possession of a small portion of the
raw temperature data impedes the
ability of other researchers to check the
publically available data, or that it
changes the scientific validity of the
analyses performed by CRU. The
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HadCRUT temperature record remains
consistent with all of the other evidence
of warming, including other surface
temperature analyses as well as other
evidence of warming, such as satellite
data, ocean temperature data, and
physical and biological evidence of the
effects of warming.
The petitioners ask EPA to reject the
comprehensive and well-documented
views reflecting a synthesis of the body
of scientific evidence produced by the
U.S. and the world’s climate science
community, and instead accept
assertions and three profound leaps in
logic, based on a very limited discussion
of the underlying science. The first leap
is that petitioners’ objections to the
HadCRUT surface temperature record
and objections to reconstructions of past
global temperatures are correct, and that
as a result all other elements of
greenhouse gas and climate change
science indicating temperatures are
increasing and that anthropogenic
greenhouse gases are the primary driver
should be called into question. The
second leap is that some errors found in
the IPCC AR4—errors that are both
minor and tangential to EPA’s
Endangerment Finding—mean that any
and all information from that report
should be called into question. The
third is that any other assessment report
that relies on or references the IPCC
AR4 in any way is also suspect and
cannot serve as a foundation for the
Endangerment Finding. EPA’s review,
discussed in the following sections and
in fuller detail in the three volumes of
the RTP document, plus the latest
conclusions of the May 2010 NRC
scientific assessment, lead us to the firm
conclusion that the petitioners’ specific
arguments and broad claims must be
rejected for their lack of supporting
evidence and absence of comprehensive
and clear scientific reasoning.
As stated in one of the findings of the
Independent Climate Change E-mails
Review, ‘‘In particular, we did not find
any evidence of behaviour that might
undermine the conclusions of the IPCC
assessments.’’ EPA’s review and analysis
leads to this same conclusion.
E. Specific Responses to the Claims and
Arguments Raised by Petitioners
EPA’s responses to the petitioners’
specific claims and arguments are
summarized here, and provided in more
detail in the RTP document. The more
general conclusions provided in this
Decision, articulated above, are based
on EPA’s detailed analysis of and
responses to the petitioners’ issues
contained in the RTP document. As
stated previously, the science-based
objections raised by petitioners fall into
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three categories: Climate science and
data issues; issues raised by EPA’s use
of IPCC AR4; and process issues. This
section and the three volumes of the
RTP document are organized around
these three categories.
1. Climate Science and Data Issues
Raised by the Petitioners
The climate science and data issues
raised by the petitioners include (a) the
validity of the temperature record from
the distant past and whether or not
recent observations of global warming
are unusual; (b) the validity of the more
recent surface temperature record; (c)
the validity of the HadCRUT surface
temperature record and other CRU
datasets; (d) the validity of the recent
surface temperature record as
constructed by the National
Oceanographic and Atmospheric
Administration (NOAA) and National
Aeronautics and Space Administration
(NASA); and (e) the implications of new
studies not previously considered. Each
of these issues is addressed in general
here and in fuller detail in the Volume
1 of the RTP document.
a. Validity of Paleoclimate Temperature
Reconstructions and Attribution of
Observed Temperature Trends to
Greenhouse Gases
Petitioners raise various claims about
the comparisons of current temperatures
with historic temperatures of the distant
past (called paleoclimate temperature
reconstructions). Petitioners use these
claims to contest the view that current
warming is unusual and argue that EPA
should not rely on this evidence to
support the statement in the
Endangerment Finding that recent
warming can be primarily attributed to
increased atmospheric concentrations of
greenhouse gases caused by human
emissions. EPA addresses these claims
in Volume 1, section 1.1 of the RTP
document, and summarizes the
responses here.
As background, surface temperature
records based on observation have
global coverage over approximately the
last 150 years. To determine
temperatures in time periods before the
instrumental record, climate scientists
use indirect methods called ‘‘proxies.’’
These indirect methods include
examining tree rings, pollen, plankton
records in sediment cores, and other
proxies such as atomic isotope ratios in
corals and other marine organisms. The
statistical relationships found between
the proxy and regional temperatures
over the past 150 years (i.e., the period
when the datasets overlap) are then
used to extrapolate over the hundreds or
thousands of years before instrumental
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records. Researchers combine a number
of different proxies from around the
world to develop their temperature
reconstructions of the past. The further
back in the past, the fewer proxies that
exist and the greater the uncertainty
becomes about estimating past
temperatures. These reconstructions
contribute to our understanding of
historical temperatures and variability
and enable comparison of present
changes to changes in the past. They
also allow testing of climate models and
our understanding of how the climate
system responded to historical
conditions. The term ‘‘divergence’’ refers
to a certain subset of the tree ring
records whose growth in recent decades
no longer correlates with (i.e., it
‘‘diverges’’ from) temperature change in
recent decades.
Petitioners claim the CRU e-mails
provide new reason to highlight this
divergence issue as it may undermine
the use of historical temperature
reconstructions. EPA disagrees, and
finds that the CRU e-mails demonstrate
that the scientists were well aware of
the divergence issue and addressed it
appropriately in their research and
publications. A cursory examination of
this literature and the assessment
reports makes clear that the science
community has long been aware of the
tree ring divergence issue, as well as
other issues concerning the certainty of
proxy reconstructions. The uncertainties
in the proxy reconstructions were fully
presented in the assessment literature,
and were considered by EPA in making
the Endangerment Finding. In fact,
during public comment on the proposed
Finding, EPA evaluated and responded
to these issues (See EPA RTC, Volume
2, comments 2–64 and 2–67). A recent
NRC assessment (2006) 22 focused
specifically on surface temperature
reconstructions and it found that
divergence is not an issue with all tree
ring proxies, much less the many nontree ring proxies used in the
temperature reconstructions. The
petitioners cite some studies 23 in
support of their views that the
divergence issue was hidden and not
appropriately acknowledged. These
studies do not support the petitioners’
arguments, instead stating that the
divergence problem is neither new nor
22 National Research Council (NRC) (2006).
Surface Temperature Reconstructions For the Last
2,000 Years. National Academy Press. Washington,
DC.
23 D’Arrigo, R. et al. (2008). On the ‘‘divergence
problem’’ in northern forests: a review of the treering evidence and possible causes, 60 Glob. Planet.
Chng. 289. Esper, J. and D. Frank (2009). Divergence
pitfalls in tree-ring research. Clim. Chng. 94: 261,
262.
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hidden, that it is actually ‘‘widely
perceived’’ and that the ‘‘potential
consequences [are] discussed (e.g.,
IPCC, 2007).’’
Nonetheless, petitioners allege that a
number of the CRU e-mails suggest that
these temperature reconstructions were
manipulated and that data has been
hidden. Several petitioners refer to an
e-mail including the phrase ‘‘Mike’s
Nature trick’’, claiming that this quote is
evidence of deception. However, this
e-mail about how to connect tree ring
data and thermometer data was written
in 1999, prior to the publication of the
IPCC Third Assessment Report from
2001. The e-mail refers to a graph
prepared for the front cover of World
Meteorological Organization (WMO)
report, unrelated to IPCC, published in
2000. This graph and underlying
analysis that is being objected to by
petitioners has no relevance to the
discussion in either IPCC AR4 or EPA’s
TSD, and therefore did not enter into
the Administrator’s consideration for
the Endangerment Finding. The IPCC
AR4 and other assessment literature
very transparently document, illustrate,
and discuss the divergence issue, as did
EPA in the TSD and RTC document. See
Figure 4.3, TSD. Other quotes provided
by the petitioners do not support a
claim of ‘‘deliberate manipulation’’ or
‘‘artificial adjustments’’ when
considered in context. This issue of
historic temperature reconstructions is
discussed in detail in Volume 1 of the
RTP document. The UK Independent
Climate Change E-Mails Review reached
a similar conclusion to EPA’s, stating
that they ‘‘do not find that the way that
data derived from tree rings is described
and presented in IPCC AR4 and shown
in its Figure 6.10 is misleading’’ and
regarding the phenomenon of
divergence that they ‘‘are satisfied that it
is not hidden and that the subject is
openly and extensively discussed in the
literature, including CRU papers.’’
Petitioners also claim that the
Medieval Warming Period may have
been warmer than present temperatures,
undermining the conclusion that
greenhouse gases are a primary cause of
current warming. Issues involving the
Medieval Warming Period were
addressed during the public comment
period (see Response 2–62 of the RTC
document). Petitioners raise this issue
again because of their assertion that the
CRU e-mails indicate that the current
temperature record may be faulty,
which to them gives the Medieval
Warming Period new significance. In
making their case, petitioners cite a
temperature reconstruction without tree
rings, notably a study that could have
been submitted during the public
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comment period.24 However, that paper
uses an improper methodology, a
straight average of 18 proxies,
apparently without weighting them to
account for geographic distribution or
the strength of the data to detect
temperature changes. In contrast,
another study using a more
sophisticated methodology 25 found that
recent Northern Hemispheric warmth
was anomalous regardless of whether
tree ring data were included.
Petitioners argue that if the current
warming is not ‘‘unprecedented,’’ our
ability to attribute the current warming
to greenhouse gases is undermined, and
that EPA has not provided ‘‘compelling’’
evidence that the current temperatures
are unusual compared to the last 1,000
years. Petitioners misstate EPA’s
conclusions and overstate the role of
this line of evidence. EPA has not
claimed that current warming is
‘‘unprecedented’’; the Administrator’s
Endangerment Finding stated that ‘‘The
second line of evidence arises from
indirect, historical estimates of past
climate changes that suggest that the
changes in global surface temperature
over the last several decades are
unusual.’’ (74 FR 66518) EPA found the
scientific evidence ‘‘supports’’ this
conclusion (see for example section 4 of
the TSD), not that it compels it, as
petitioners incorrectly assert. EPA
clearly characterized the uncertainty in
this line of the evidence, properly
stating that there is significant
uncertainty in the temperature record
prior to 1600 A.D. (see section 4(b) of
the TSD).
This comparison to past temperature
estimates is also only one part of the
paleoclimate evidence. Other parts, not
contested by petitioners, include (1) the
correlation and interactions over time
between periods of higher greenhouse
gas concentrations and higher
temperatures, and (2) the use of
temperature reconstructions to evaluate
and improve climate models. Overall,
this comparison of current to past
temperatures is but one part of one line
of evidence in attributing current
warming to greenhouse gases; it is not
the primary line of evidence. The
petitioners have not shown that EPA
failed to properly characterize this
evidence, and the petitioners’ assertions
regarding EPA’s treatment and reliance
24 Loehle, C. and J. H. McCulloch, 2008.
Correction to: A 200-year global temperature
reconstruction based on non-tree proxies. Energy &
Environment. 19(1): 93–100.
25 Mann, M.E. et al. (2008). Proxy-based
reconstructions of hemispheric and global surface
temperature variations over the past two millennia.
PNAS. 105:36.
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on this evidence are inaccurate and
misleading.
Petitioners claim that characteristics
of trends in the vertical temperature
profile of the atmosphere should present
a ‘‘fingerprint’’ of human-induced
warming, and that this expected
fingerprint has not been observed in the
tropics, and that therefore the
attribution of recent warming to human
causes is placed into doubt. However,
EPA recognized and already addressed
this issue in the TSD (see section 5(a) of
the TSD) which notes newer data sets
are in general agreement with climate
models in the tropics and therefore
there is no longer an inconsistency. In
addition, petitioners do not contest any
of the other important pieces of
evidence that link current warming to
greenhouse gases, such as rates of sea
level rise and Arctic ice loss.
Petitioners claim that the projections
from climate models do not support
attribution to greenhouse gases because
the models have not explained why
there may have been a slowdown in the
rate of warming over the last 10 or so
years. First, according to the latest
NOAA (2010) data,26 the decade
spanning 2000–2009 was substantially
warmer than the prior decade (1990–
1999) (see also the figure in Response 1–
22 in Volume 1 of the RTP document).
The exact rate of warming in the past
decade depends on one’s choice of
temperature record and the start and
stop date chosen for computing a trend
in that record. Second, whether models
can reproduce a short-term slowdown in
the warming in no way invalidates their
use for attributing or projecting longterm changes in global climate from
anthropogenic forcing of the climate
system. The latter long-term projections
are their primary purpose, not year-toyear projections of changes over a
period of around a decade or less. In
addition, recent studies indicate that
short-term trends can run counter to
overall long term trends, and the climate
models can reproduce this.
The IPCC, NRC, and EPA’s TSD
appropriately reflect the state of the
science and discussed the areas of
uncertainty in temperature
reconstructions. They fully considered
the entire body of evidence, including
the kinds of evidence and arguments
presented by petitioners. In contrast,
petitioners generally have not
considered the breadth of evidence on
these issues, and they fail to
acknowledge the comprehensive
treatment of these issues in the
26 https://www.ncdc.noaa.gov/sotc/
?report=global&year=2009&month=13&submitted=
Get+Report#gtemp.
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assessment reports. They have instead
relied upon a limited selection of
information that does not warrant the
broad conclusions they draw.
Petitioners’ evidence does not
materially change or warrant any less
reliance on the other important lines of
evidence linking greenhouse gases and
climate change: Our basic physical
understanding of the effects of changing
greenhouse gas concentrations and other
factors; the broad, qualitative
consistency between observed changes
in climate and the computer model
simulations of how climate would be
expected to change in response to
anthropogenic emissions of greenhouse
gases (and aerosols); as well as other
important evidence of an anthropogenic
fingerprint in the observed warming.
b. Validity of the HadCRUT Surface
Temperature Record
Petitioners present five major
arguments regarding the validity and
use of the HadCRUT temperature
record. In particular, they claim that: (1)
Alleged destruction of raw data for the
HadCRUT temperature record renders
the scientific data on surface
temperature worthless and makes
replication of temperature trends
impossible; (2) comments within code
and log files are evidence of
manipulation that ‘‘undercuts the
credibility of CRU databases;’’ (3) a
report allegedly claims to show that the
Russian stations used in the HadCRUT
temperature record were selectively
chosen to show increased warming; (4)
the IPCC improperly relied on Jones et
al. (1990) 27 for its conclusions about the
magnitude of the urban heat island
effect; and (5) the allegedly faulty
HadCRUT temperature record is the
primary basis for the conclusion of
‘‘unprecedented’’ warming and the
foundation of anthropogenic global
warming analyses. In effect petitioners
use these claims to contest the existence
or amount of recent warming.
As background, monitoring the
changes in the Earth’s surface
temperature is only one of several key
components of studying climate change.
Other indicators of climate change
include receding glaciers, shrinking
Arctic sea ice, and sea level rise, as well
as a number of other temperaturesensitive physical and biological
changes, such as bird migration patterns
and changes in the length of the growing
season.
27 Jones, P.D., P.Y. Groisman, M. Coughlan, N.
Plummer, W.-C. Wang, and T.R. Karl (1990).
Assessment of urbanization effects in time series of
surface air temperature over land. Nature 347:169–
172.
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Surface temperature records are built
on data collected from thousands of
weather stations around the world, as
well as sea surface temperature records
taken by ships crossing the ocean on
different routes, with some data going
back more than 100 years. Because the
data originates from many international
sources, some quality control is required
such as checking for and deleting data
that are shown to be duplicate, or
adjusting to account for inconsistent
reporting methodologies. Additionally,
these weather stations and their data
were not originally intended to be used
for long-term climate monitoring, and
sometimes adjustments are necessary to
avoid confusing a local artificial
temperature change (e.g., due to a shift
in the elevation of a monitoring station)
with large-scale or global temperature
patterns.
The three major temperature record
developers, CRU, NOAA, and NASA, all
use different approaches for these
adjustments. The approach by CRU is
the only one of the three that relies on
a substantial set of manual adjustments
globally. NOAA uses an automated
algorithm to adjust for discontinuities
such as might be expected from station
moves, with additional corrections in
the U.S. because a large number of
stations changed measurement
instrumentation as well as the time of
day of temperature readings. NASA uses
NOAA’s adjustments for the U.S. as an
input, but uses an algorithm that
identifies urban centers based on
satellite observations and adjusts those
urban centers to have trends that are
consistent with nearby rural stations. In
addition, the data are not evenly
situated around the planet, and need to
be extrapolated and averaged so that
areas with many stations are not
overrepresented and areas with few
stations are not underrepresented. The
kinds of adjustments made to the
underlying raw data are designed so that
the surface temperature analyses reflect
as much as possible the actual direction
and magnitude of any change in surface
temperature and do not reflect other
changes, such as changes in
measurement devices.
The temperature reconstructions
generally do not evaluate the average
actual surface temperature, but rather
determine the changes in temperature,
both regionally and globally. The
emphasis on changes in temperature is
important, because they are better
correlated with large regional changes.
For example, two nearby stations—one
on top of a mountain and one in the
valley—will likely have different
absolute temperatures, but are likely to
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have similar changes in temperature
over time.
CRU also maintains a dataset known
as TS3.0, with TS2.1 as an older
version. This dataset is different from
HadCRUT, and includes various climate
metrics and data information not in
HadCRUT. TS2.1 is referred to in IPCC
AR4 only twice in relation to historical
precipitation data. Almost all of the
references to global temperatures over
time that refer to CRU data refer to the
HadCRUT temperature record, and not
the TS3.0 or 2.1 datasets.
(i) Raw Data.
Several petitioners claim that CRU
has not kept all of the raw data from the
surface weather stations, only the
adjusted data, e.g. corrected for station
moves and measurement changes, and
therefore the evidence for warming in
the past century is questionable and
cannot be independently replicated.
CRU acknowledges that it did not
keep a small percent of the raw weather
station data collected since the 1980s
and that it cannot release other raw data
because of agreements with national
meteorological organizations. CRU has
provided a detailed explanation for its
handling of the data, and EPA already
addressed this issue at length in
Response 2–39 of the RTC. Not retaining
a small amount of the raw data does not
interfere in a material way with
replication or development of
independent estimates of global or
regional surface temperature history.
The vast majority of the raw weather
station data is indeed publicly available
from the Global Historical Climate
Network (GHCN) and other public data
sources, contrary to the petitioners’
assertions. An independent estimate of
global temperatures can be generated, as
NASA/GISS, NOAA/NCDC, and other
groups have done. The separate NASA
and NOAA analyses of global surface
temperature records find similar
temperature increases and strongly
support the conclusion that the
HadCRUT surface temperature record
accurately reflects the changes in
temperature. The UK Independent
Climate Change E-Mails Review was
able to download raw data and produce
global temperature trend results similar
to the other analyses in less than two
days. In addition, the major conclusions
about warming based on the HadCRUT
temperature record have remained
robust, even as CRU integrated more
data and refined its methodologies over
two decades.
The petitioners do not provide any
global analysis of the available data
from temperature stations that yields a
different result. Further, they have
provided no evidence that an additional
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or different analysis using the publicly
available temperature data would yield
a different result from the warming
reflected in the HadCRUT, NOAA and
NASA analyses of global surface
temperature. It is an unwarranted leap
in logic to assume these analyses have
no merit because a small percentage of
the underlying raw data is no longer in
CRU’s possession.
(ii) Biased Methods.
Petitioners claim the various methods
that CRU used to integrate and adjust
the surface temperature data introduce
biases in the temperature record that
were designed to support the view that
global surface temperatures are
increasing faster than they actually are.
The petitioners refer to this as
‘‘manipulation’’ and cite several CRU emails and other documents as support.
A couple of fragments of code and a
debugging log (HARRY_READ_ME.txt)
are quoted extensively as support for
these claims.
EPA has thoroughly reviewed all of
the disclosed CRU e-mails in light of the
petitioners’ claims, and EPA responds to
all of the petitioners arguments in detail
in Volume 1 of the RTP document. Here,
EPA focuses on two of the most wellknown CRU documents:
BRIFFA_SEPT98_.PRO and
HARRY_READ_ME.txt.
The code fragment
BRIFFA_SEPT98_E.PRO that includes a
comment in the header for the code that
states that the code ‘‘APPLIES A VERY
ARTIFICIAL CORRECTION FOR
DECLINE’’ is over a decade old and
appears to be provisional test code. The
comments in capital letters are to
remind the programmer to replace the
temporary fudge factors with more valid
adjustments before the code is used for
public products. It further appears that
the ‘‘fudge’’ factor highlighted by
petitioners is not related to the
HadCRUT temperature record, but
instead refers to the divergence issue
discussed above and the unrelated
WMO report. The petitioners do not
show that the BRIFFA_SEPT98_E.PRO
code has any relationship to the
HadCRUT temperature record or that it
was actually used for any public final
product.
The HARRY_READ_ME.txt debugging
notes are a record of attempts to update
the CRU TS product by merging six
years of additional data to an old data
set and migrating the code to a new
computer system at the same time. The
petitioners fail to acknowledge that the
CRU TS products are different from the
HadCRUT temperature record that is
referred to in the assessment reports and
the EPA TSD, and they improperly
assert that issues with the TS products
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directly call into question the HadCRUT
temperature record. The file referred to
by petitioners does indicate that there
were a number of difficult quality
control issues that had to be addressed
concerning new data, the code written
for the updating process, and the old
code for producing TS2.1. The full
debugging log demonstrates that a
number of the identified problems were
successfully fixed. Many of the quotes
highlighted by petitioners were
expressions of frustration that were not
related to the quality of the product. A
number of the problems were related to
inconsistencies involving reported
WMO codes used to identify weather
stations. These inconsistencies have
previously been highlighted in the
literature, and the approach to address
them as related in the log file was
similar to the approaches detailed in
previous papers. In sum, the
HARRY_READ_ME.txt file is focused on
issues that do not relate to the
HadCRUT temperature record and
contains no evidence of any attempts to
bias any output data.
(iii) Biased Dataset.
Petitioners claim that CRU scientists
selectively chose Russian data stations
to create a biased dataset that would
show more warming than would the full
dataset. To support this argument, they
provide a link to a translation (hosted at
a blog) of a report written in Russian by
the Institute for Economic Analysis in
Moscow (Pivovarova, 2009).28
Examination of this document
indicates that the Moscow Institute for
Economic Analysis temperature record
using the full set of Russian stations
agrees well after 1955 with the
temperature record that the Institute
derived from the set of stations used in
the HadCRUT temperature record, and
that the difference between temperature
records derived from the two datasets is
mainly in the 1850 to 1950 portion.
However, the method used by the
Institute for Economic Analysis to
compare the two temperature datasets
was an improper comparison of apples
and oranges (i.e., the HadCRUT
temperature record uses a different
geographic weighting approach than did
the Institute for Economic Analysis,
which is more important when the data
is sparse as it is before 1955).
Petitioners also do not support their
claim that CRU selectively picked
stations. EPA has found no evidence in
28 Pivovarova, N. (2009). Institute for Economic
Analysis (IEA): How warming is made. The case of
Russia. (December 15, 2009). Available at: https://
www.iea.ru/article/kioto_order/15.12.2009.pdf;
translation at: https://
climateaudit.files.wordpress.com/2009/12/iea1.pdf.
Last accessed on April 26, 2010.
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the CRU e-mails or the information
provided by petitioners to indicate that
stations were chosen by CRU scientists.
CRU uses a number of data sources and
the petitioners did not assess whether
these data sources included the missing
Russian stations, or whether the stations
met criteria discussed in published
papers (see volume 1 of the RTP
document).
(iv) Urban Heat Island Corrections.
Petitioners criticize the urban heat
island corrections as another alleged
example of temperature data
manipulation.
This issue is not new. EPA addressed
urban heat island issues in responses 2–
28 through 2–30 of the RTC document.
Referencing Jones et al. (1990) 29 and
other studies, IPCC AR4 concludes that
‘‘urban heat island effects are real but
local, and have not biased the largescale trends.’’ In addition, satellite
records are not susceptible to urban heat
island effects and globally show similar
trends to land-based measurements over
their overlapping time period. EPA
summarized this information in the
TSD. EPA’s specific responses to the
petitioners’ arguments are provided in
Volume 1 of the RTP document.
(v) Faulty Temperature Record Used
by IPCC.
Petitioners claim the allegedly faulty
HadCRUT temperature record is the
primary or core support for IPCC
conclusions on current warming,
attribution, and projections of future
warming, thus calling into question the
fundamental conclusions of IPCC AR4
and EPA’s use of IPCC AR4 as a primary
reference to support the Endangerment
Finding.
First, for reasons stated above and
detailed further in Volume 1 of the RTP
document, EPA disagrees with the
petitioners’ claims that the HadCRUT
temperature record is faulty. Second, as
noted previously, multiple independent
assessments of climate change science
by not only the IPCC but also USGCRP
and NRC have concluded that warming
of the climate system in recent decades
is ‘‘unequivocal.’’ This conclusion is not
drawn from any one source of data, but
is based on a review of multiple sources
of data and information, which includes
the HadCRUT temperature record,
additional temperature records from
other sources, and numerous other
independent indicators of global
warming (see section 4 of EPA’s TSD).
NOAA and NASA surface
temperature records show nearly
29 Jones, P.D., P.Y. Groisman, M. Coughlan, N.
Plummer, W.-C. Wang, and T.R. Karl (1990).
Assessment of urbanization effects in time series of
surface air temperature over land. Nature 347:169–
172.
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identical warming trends to the
HadCRUT temperature record, despite
different analysis methodologies.
Moreover, entirely independent records
of lower tropospheric temperature
measured by both weather balloons and
satellites demonstrate strong agreement
with the surface temperature records of
all three organizations. The TSD also
discussed the following additional
indicators of global warming:
• Increasing global ocean heat content
(Section 4(f) of the TSD).
• Rising global sea levels (Section 4(f)
of the TSD).
• Shrinking glaciers worldwide
(Section 4(i) of the TSD).
Changes in biological systems,
including poleward and elevational
range shifts of flora and fauna; the
earlier onset of spring events, migration,
and lengthening of the growing season;
and changes in abundance of certain
species (Section 4(i) of the TSD).
It is this entire body of evidence that
supports the conclusion that there is an
unambiguous warming trend over the
last 100 years, with the greatest
warming occurring over the past 30
years. Contrary to petitioners’ claims,
the models used to generate projections
of future warming described in IPCC
AR4 do not directly rely on the
HadCRUT or other surface temperature
records. These models are driven by
physical equations describing the
radiative properties and dynamics of the
atmosphere and oceans and
parameterizations of small-scale
processes, not observed temperature
data.
In summary, EPA disagrees with the
premise of this claim—that the
HadCRUT temperature record is
faulty—and therefore disagrees that use
of the HadCRUT temperature record
within IPCC AR4 has somehow
corrupted the IPCC’s conclusions. In
addition, the petitioners’ claim that the
HadCRUT temperature record is such a
central thread to the entire IPCC AR4
that this would then invalidate all IPCC
AR4 conclusions is unsupported and
exaggerated.
c. Validity of NOAA and NASA
Temperature Records
A number of petitioners question the
validity of NOAA and NASA surface
temperature records, raising claims
concerning station ‘‘drop-out,’’ flawed or
manipulative adjustments to data, and a
lack of independence between the three
major surface temperature records.
EPA’s response clearly shows that (1)
petitioners rely on a questionable, nonpeer-reviewed source which contains a
number of inaccurate statements and
relies on a scientifically flawed analysis;
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(2) petitioners demonstrate a
fundamental scientific
misunderstanding of what issues
actually would lead to either a warming
or cooling bias in the temperature
record; and (3) petitioners fail to
acknowledge that climatic records other
than land surface temperature records
also show clear warming trends.
As background, one of the sources of
data for the HadCRUT temperature
record is the GHCN, which was
developed and is maintained by NOAA.
The GCHN dataset is also used by both
NOAA and NASA in their surface
temperature records. NOAA, NASA, and
CRU each calculate global surface
temperature trends from a combination
of GHCN data and other data sources.
Each group performs different
adjustments and corrections to the data,
and in some cases uses different subsets
of the GHCN data or includes other
outside datasets.
Petitioners contest certain individual
aspects or details of the surface
temperature evidence, and in general
raise objections that fail to recognize the
various approaches used to develop the
global surface temperature record. Many
of the issues raised by the petitioners
are not new, and have been addressed
previously within the TSD and RTC
document. Some objections fail to
recognize that the change in
temperature is being evaluated, not the
absolute temperature level. Other
objections misconstrue the underlying
studies cited by the petitioners. In
several cases, petitioners object that
various adjustments to the raw data
have the effect of changing the data, but
they fail to consider that adjustments
are appropriately performed, for
example, to account for circumstances
that otherwise would interfere with
accurately isolating and determining a
real trend in surface temperature.
Petitioners fail to address the reasons
behind the adjustments and fail to
explain or show that the types of
adjustments made in developing such
datasets from multiple sources of data
are not appropriate. Likewise,
petitioners fail to account for the valid
data-driven reasons that have led to a
reduction over time in the number of
weather stations used for the surface
temperature analysis, fail to explain or
show that the reductions have biased
the temperature record, and overstate
the magnitude of the temperature
station reductions in some cases.
Consistency between all three
separate surface temperature records
(NASA, NOAA, CRU), as well as
consistency between the three surface
temperature records and other evidence
of warming, such as satellite data, ocean
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temperature data, and physical evidence
of the effects of warming, should be
seen as confirmation of the evidence of
warming. Petitioners appear to assume
that all of this evidence must be wrong
because they, incorrectly (see above),
allege that some of it is.
(i) Station Drop-out.
Petitioners raise a number of issues
regarding the alleged ‘‘drop-out’’ of
stations after 1990, and the
extrapolation of data from ‘‘warmer’’
areas to ‘‘colder’’ areas due to this dropout or for other reasons. They claim this
leads to bias in the global surface
temperature record. Volume 1, section
1.4.3.1 of the RTP document addresses
these claims in detail, and EPA’s
summary of the issue follows.
Many of the petitioners’ arguments
rely on a non-peer-reviewed document
by D’Aleo and Watts (2010).30 However,
the study and the source upon which it
relies do not support petitioners’ claims
and conclusions. D’Aleo and Watts
(2010) provide no evidence that there
was a systematic and purposeful
‘‘weeding out’’ process. Peterson and
Vose (1997),31 the paper describing the
GHCN dataset, describes the procedures
for updating the GHCN database and
explains that there are fewer measuring
stations post-1992 than during the 1980s
because only three of the data sources
were being be updated on a regular
basis.
The D’Aleo and Watts study assumed
that dropping stations at higher
latitudes and in colder climates would
result in a biased, warmer temperature
trend. This unfounded assumption is a
misunderstanding of the basic
methodology used in analyzing surface
temperature data. The surface
temperature record sets evaluate the
change in temperature over time at the
various stations, not the absolute
temperature level. The change in
temperature over time is what indicates
whether warming is occurring, not just
the absolute temperature itself; for
example, the Arctic region has been
experiencing the highest rates of
warming in the world, yet average
Arctic temperatures are obviously still
considerably colder than temperatures
in most other world regions where
average temperatures may not have
increased as much. Petitioners
incorrectly assume and do not explain
30 D’Aleo and Watts (2010). Surface Temperature
Records: Policy Driven Deception? Available at:
https://scienceandpublicpolicy.org/originals/
policy_driven_deception.html. Accessed: April 8,
2010.
31 Peterson, T. C. and R. S. Vose (1997). An
overview of the global historical climatology
network temperature data base. Bull. Am. Met. Soc.,
78: 2837–2849.
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why dropping these stations would bias
the trend in the change in temperature
toward greater warmth. In fact,
petitioners fail to acknowledge that
colder, high latitude areas are the
regions of the world where the most
warming is occurring, and is expected to
continue occurring. If one were to
accept this line of the petitioners’
original argument, there should have
been concern about a bias towards less
warming, not more warming.
Moreover, the D’Aleo and Watts study
used simple averages of absolute
temperatures at the stations—without,
apparently, taking into account their
geographic distribution, much less
calculating the change in temperature at
the stations. This improper
methodology is a significant error that
undermines the petitioners’ critique of
the temperature records.
Furthermore, satellite data is available
for the time periods of land-based
station ‘‘drop-out’’, and the satellite
temperature record is broadly consistent
with surface temperature trends
throughout the period when the ‘‘drop
out’’ was occurring, confirming that the
reduction in the number of data stations
has not created a warming bias.
Additionally, analyses using only
stations with continuous records are
almost identical to analyses using only
stations which were ‘‘dropped’’ over the
decades before the ‘‘drop-out’’, further
undermining the petitioners’ claim that
a warming bias was introduced by the
station ‘‘drop-out’’.
(ii) Improper Heat Island
Adjustments.
Petitioners assert that the urban heat
island adjustments performed by NASA
are insufficient or improperly applied,
both globally and in the U.S.
Southeastern Legal Foundation points to
the study Long (2010) 32 as support for
this assertion. These assertions are
addressed in detail in volume 1, section
1.4.3.2 of the RTP document, and EPA’s
general response is summarized here.
The Long (2010) study found that the
net effect of NOAA adjustments to the
raw data led to more warming in rural
stations (the NOAA adjustments for the
U.S. are also used in developing the
NASA temperature record). Neither the
petitioners nor Long show, however,
that the adjustments to rural stations
were inappropriate. (As stated above,
adjustments are sometimes necessary to
ensure a real, and not artificial,
32 Long, E.R. (2010). Contiguous U.S.
Temperature Trends Using NCDC Raw and
Adjusted Data for One-Per-State Rural and Urban
Station Sets. Available at https://
scienceandpublicpolicy.org/images/stories/papers/
originals/Rate_of_Temp_Change_Raw_and_
Adjusted_NCDC_Data.pdf. Accessed April 8, 2010.
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temperature change is being recorded
when, for example, there might be a
change in the elevation of the station or
the daily timing of temperature
readings.) Importantly, Long does not
take into account either the changes in
the time of observation or the changes
in instrumentation at many rural
stations, both of which led to
temperature discontinuities that must be
accounted for (e.g., through
adjustments) in order to accurately
portray the actual long-term temperature
trend.
With respect to the claimed failure to
account for the urban heat island effect
(where metropolitan areas tend to be
warmer than surrounding areas due to
built up land surfaces and building
materials that retain heat), this issue
was raised previously during the public
comment period and EPA has addressed
this in the RTC document. Response 2–
28 of the RTC document makes clear
that all of the different surface
temperature datasets shown or cited in
the TSD account for the urban heat
island effect, either directly and/or
indirectly. The TSD, citing IPCC
(Trenberth et al., 2007), summarized
this issue as the following: ‘‘ * * *
urban heat island effects are real but
local, and have not biased the largescale trends.’’ Note also that the oceans
are warming and that the most rapid
land-based warming is occurring in the
Arctic, two areas where urban heat
island effects are obviously not an issue.
(iii) Data Adjustments.
Petitioners cite the records of some
individual stations that they claim show
inappropriate manipulation, referring to
stations in Australia and New Zealand.
The evidence and arguments about
data adjustments in New Zealand do not
support the claim that these adjustments
were invalid, after taking into account
station history and neighboring station
records. While there is some evidence
that the automated algorithm may have
introduced a spurious trend in one
station in Australia in the NOAA
temperature record (but not in the CRU
or NASA temperature records), there
was at least one valid reason for
adjustment, and there is no evidence
that this error in one station biases the
large-scale global temperature trends.
There is certainly no evidence of
‘‘chicanery’’ involved in these
adjustments, as one petitioner claimed.
Petitioners focus on individual
stations or limited areas. It is not
surprising that data from one station or
one region would show a large
difference between adjusted and
unadjusted data. The important point is
that when the stations and regions are
combined for a global analysis, these
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kinds of effects are balanced out and do
not produce a bias in the overall result.
EPA addresses these issues for the
specific station data at issue in New
Zealand and Australia in greater detail
in Volume 1, section 1.4.3.4 of the RTP
document.
(iv) Independence of the NOAA and
NASA Temperature Records. Some
petitioners claim that the NOAA and
NASA temperature records are not
independent from the HadCRUT
temperature record, developed by CRU,
because they share some of the same
raw data, and thus are assumed to also
share some of the same alleged
problems. EPA addresses these claims
in volume 1, section 1.4.3.5 of the RTP
document, and summarizes the
response here.
The three major temperature records
do rely on a large amount of raw data
obtained from GHCN, though the
HadCRUT temperature record in
particular integrates additional data
obtained from other, independent
sources. As discussed above and
throughout volume 1 of the RTP
document, petitioners have not
demonstrated any major flaws in the
raw data. In addition, the processing of
the GHCN data by the three groups is
carried out independently from one
another; therefore the similarities of the
final temperature trends among the
three groups provide additional
confidence in those independent
processing methodologies, and
additional confidence in the consistent
result that average global temperatures
are increasing.
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d. Implications of New Studies and Data
Submitted by the Petitioners
Several petitioners identify scientific
studies most (but not all) of which were
published around the time of or shortly
after the Administrator’s December 2009
Endangerment Finding, as well as data
not previously considered as part of the
scientific record for the Endangerment
Finding. Petitioners argue these studies
and data have the potential to alter our
understanding of key aspects of the
science and therefore warrant
reconsideration of the Findings.
Petitioners also argue that EPA ignored
or misinterpreted scientific data that
were significant and available when the
Finding was made. These studies and
data issues involve:
• Implications of a new study on
stratospheric water vapor.
• Implications of material concerning
whether carbon dioxide is well-mixed
in the atmosphere and whether the
airborne fraction of carbon dioxide has
changed.
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• Implications of new tropical
cyclone studies.
• Implications of new data on
observational snow cover trends.
• A claim that EPA ignored a satellite
dataset.
Though some of these studies are
new, they do not raise new issues that
had not already been accounted for in
the assessment literature used by EPA.
Furthermore, petitioners misinterpret
the findings of these new studies, make
unsupportable claims, rely on
incomplete and biased analyses, do not
acknowledge important results, and, at
times, ignore EPA’s record. Contrary to
the petitioners’ claims, the new science
cited by the petitioners does not
undermine the key findings and
conclusions that were reached in the
assessment literature and the scientific
foundation for the Administrator’s
Findings. EPA’s study-by-study
responses to the petitioners’ assertions
can be found in volume 1, section 1.5
of the RTP document.
2. Issues Raised by EPA’s Use of the
IPCC AR4 Assessment
The objections raised by petitioners
involving EPA’s use of IPCC AR4
include (a) claims that recently found
errors in IPCC AR4 undermine the
IPCC’s credibility and therefore EPA’s
use of IPCC AR4 as a primary reference
document to support the Findings; and
(b) claims that the IPCC has a policy
agenda and is not an objective scientific
body. These issues are addressed here
and in greater detail in volume 2 of the
RTP document.
a. Claims That Errors Undermine the
IPCC AR4 Findings and Technical
Support for Endangerment
The petitioners allege certain errors
and unsupported statements in IPCC
AR4 show that the science EPA relied
upon is uncertain and/or not credible.
Petitioners focus on the errors found
regarding the timing of future projected
melting of Himalayan glaciers, the
percentage of the Netherlands below sea
level, and a few more minor issues
highlighted in the petitions. Each of
these identified and alleged errors in
IPCC AR4 has been examined in detail
by EPA in Volume 2 of the RTP
document; the general response is
provided here.
EPA has reviewed these IPCC AR4
issues in the context of the key IPCC
AR4 conclusions that were germane to
the Administrator’s Endangerment
Finding. The small number of errors and
alleged errors in the IPCC AR4 report
are not materially relevant for EPA’s
Endangerment Finding. Neither of the
two errors that are verifiable
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(Netherlands sea level and Himalayan
glaciers) are relevant to impacts in the
United States and neither are part of the
basis for the Endangerment Finding.
Furthermore, there is no evidence that
these two confirmed minor errors are an
indication of a more serious problem
with the quality and reliability of any
other findings and conclusions from the
IPCC AR4, including those that are
relevant for the Endangerment Finding.
The remaining alleged errors, taken
from non-peer-reviewed (‘‘gray’’)
literature, do not appear to be errors
according to EPA’s review. The IPCC
provides guidance on how and when to
use gray literature, and petitioners do
not demonstrate that the guidance was
not followed. Gray literature is not
automatically incorrect or suspect, and
an examination of the particular gray
literature sources demonstrates that the
petitioners’ allegations regarding these
alleged errors are unfounded.
Furthermore, the IPCC AR4 statements
at issue have no material relevance to
EPA’s Findings. Below are brief
responses as to why the petitioners’
assertions based on these known and
alleged errors are unfounded and
exaggerated. Additional detail on these
issues is contained in Section 2.1,
Volume 2 of the RTP document.
(i) Percent of the Netherlands Below Sea
Level
The IPCC AR4 erroneously stated that
55 percent of the Netherlands is below
sea level, whereas the actual number is
only 26 percent. The statistic quoted in
the AR4 was inaccurate, and a
correction was published by the
Netherlands Environmental Assessment
Agency. What should have been stated
is that 55 percent of the Netherlands is
at risk of flooding; 26 percent of the
country is below sea level, and 29
percent is susceptible to river flooding.
The error originated with the
Netherlands Environmental Assessment
Agency, not the IPCC. The IPCC
published an official erratum (IPCC,
2010b) 33 correcting the mistake, and
noted ‘‘The sea level statistic was used
for background information only, and
the updated information remains
consistent with the overall conclusions.’’
EPA does not refer to or rely on this
statistic in the Findings and the
percentage of the Netherlands below sea
level does not pertain to the
endangerment of public health and
welfare in the United States. This error
is very minor and has no impact on the
33 IPCC (2010b). Fourth Assessment Report:
Working Group II Erratum. Intergovernmental Panel
on Climate Change (IPCC). 26 Jan. 2010. https://
www.ipcc.ch/publications_and_data/ar4/wg2/en/
errataserrata-errata.html.
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climate science and health and welfare
impacts supporting EPA’s
Endangerment Finding. Furthermore,
there is no evidence that this minor
error is somehow, as the petitioner
would allege, an indication of flawed
science and poor quality control
practices sweeping across all
conclusions of IPCC AR4.
(ii) Himalayan Glacier Projection
Several petitioners state that the IPCC
AR4 erred in projecting that glaciers in
the Himalayas would disappear by
2035, and that EPA relied on this
projection.
The IPCC did inaccurately state the
year 2035 in that particular statement.
The IPCC issued a correction concerning
the melting of Himalayan glaciers (IPCC,
2010c) 34 which also found that its
general conclusion (provided below) on
this issue remains robust and ‘‘entirely
consistent with the underlying science.’’
Widespread mass losses from glaciers
and reductions in snow cover over
recent decades are projected to
accelerate throughout the 21st century,
reducing water availability, hydropower
potential, and changing seasonality of
flows in regions supplied by meltwater
from major mountain ranges (e.g.,
Hindu-Kush, Himalaya, Andes), where
more than one-sixth of the world
population currently lives.
EPA did not refer to the original IPCC
projection in either its TSD or in the
Administrator’s Endangerment Finding.
It does not impact climate change
science findings or have any meaningful
implication for the issue of
endangerment in the United States.
Furthermore, Volume 2, section 2.1.3 of
the RTP document shows that EPA
reviewed the entire discussion of glacial
effects in IPCC AR4 and concludes that
this single faulty projection does not
compromise the IPCC’s overall
assessment of observed glacier loss,
projected glacier loss, and the impacts
of glacier loss on water resources in the
Himalayas.
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(iii) Characterization of Climate Change
and Disaster Losses
The Southeastern Legal Foundation
asserts that the IPCC AR4
mischaracterized the findings of a study
on climate change and historic disaster
losses. EPA addresses the specific study
at issue in Volume 2, section 2.1.4 of the
RTP document and provides its more
general response to this study and this
issue here.
34 IPCC, 2010c. IPCC Statement on the Melting of
Himalayan Glaciers, January 20, 2010. https://
www.ipcc.ch/pdf/presentations/himalayastatement-20january2010.pdf.
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First, EPA never cited or relied on the
study at issue in its TSD. EPA did not
discuss the link between climate change
and the historic trends in the economic
magnitude of disaster losses in the TSD.
To support the Endangerment Finding,
EPA cited the potential future impacts
of climate change on the number and
severity of extreme weather events, for
which the Southeastern Legal
Foundation levels no criticism. There
are many different factors influencing
the economic losses from a disaster,
making it difficult to determine the
impact of climate change from historic
data on trends in economic disaster loss.
Therefore, contrary to petitioners’
claims, EPA did not rely on historic
trends of economic disaster losses (the
subject of the study at issue) to evaluate
the likelihood that climate change
would lead to an increase in the number
or frequency of such weather events.
EPA instead focused on the physical
and environmental (not the economic)
impacts associated with climate change.
The Administrator’s Endangerment
Finding was clear that it was more
forward-looking on this issue, stating:
The evidence concerning how humaninduced climate change may alter extreme
weather events also clearly supports a
finding of endangerment, given the serious
adverse impacts that can result from such
events and the increase in risk, even if small,
of the occurrence and intensity of events
such as hurricanes and floods. (74 FR 66526)
Furthermore, EPA’s review of the
particular study at issue in Volume 2,
section 2.1.4 of the RTP document
shows that IPCC did not mischaracterize
this study (e.g., IPCC included the
appropriate caveats that were also stated
in the underlying study), and that there
were valid reasons for IPCC to use the
study (e.g., as the most recent study of
its kind at the time).
(iv) Validity of Alps, Andes, and African
Mountain Snow Impacts
Several petitioners argue that IPCC
claims of glacier melt in the Andes, the
Alps, and parts of Africa arise from a
magazine article and a Master’s thesis,
and thus should not be viewed as
credible. This particular issue is
addressed in Volume 2, section 2.1.5 of
the RTP document, and EPA’s response
is summarized here.
First, the extent to which snow and
glaciers in the Andes, Alps and parts of
Africa are melting or are projected to
melt is an issue that is tangential to the
Administrator’s decision that public
health and welfare are endangered
within the United States. Second, the
petitioners mischaracterize these
references within IPCC AR4, as these are
actually references to ‘‘loss of ice
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climbs,’’ not reductions in mountain
glaciers. Loss of ice climbs is an
indicator of warming over ice-covered
areas. EPA acknowledges that these
references come from gray literature but
these citations are appropriate and
within the IPCC’s guidelines for use of
gray literature. They provide additional
evidence consistent with the peerreview-supported conclusion that in
most places snowpack is declining and
glaciers are melting worldwide.
Furthermore, EPA did not rely on these
references or refer to ‘‘loss of ice climbs’’
as an indicator of climate change.
(v) Validity of Amazon Rainforest
Dieback Projection
Petitioners challenge the IPCC’s
statement that ‘‘[U]p to 40 percent of the
Amazonian forests could react
drastically to even a slight reduction in
precipitation,’’ alleging that it is
unsubstantiated gray literature. EPA
reviews this issue in Volume 2, section
2.1.6 of the RTP document and provides
its general response here.
The IPCC AR4 statement in question
about the Amazon appears to have been
inadequately referenced but the content
of the statement is correct according to
the underlying literature. For this
statement, the IPCC did cite gray
literature 35, which itself cited a peerreviewed study 36 and relied on other
peer-reviewed literature. It is worth
noting that a newspaper that originally
reported this alleged problem with the
IPCC’s representation of this Amazon
issue recently reversed itself and
printed a correction on June 20, 2010.37
Morever, this issue is not discussed in
the TSD and is of no relevance to the
Findings.
(vi) Validity of African Rain-Fed
Agriculture Projection
Some petitioners object that a
statement in EPA’s TSD based on a
statement in IPCC AR4 concerning
reduction of yields from rain-fed
agriculture in some countries in Africa
was from gray literature and is therefore
not credible. EPA reviews this issue in
Volume 2, section 2.1.7 of the RTP
document and provides its general
response here.
There is no evidence that the IPCC
statement in question regarding African
35 Rowell, A. and P.F. Moore (2000). Global
Review of Forest Fires. World Wildlife Federation
and The World Conservation Union. available at:
https://data.iucn.org/dbtw-wpd/edocs/2000-047.pdf.
(last accessed April 12, 2010).
36 Nepstad, D. C., et al. (1999). Large-scale
impoverishment of Amazonian forests by logging
and fire. Nature 398:505–508.
37 Sunday Times correction. https://
www.thesundaytimes.co.uk/sto/news/uk_news/
Environment/article322890.ece.
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rain-fed agricultural yields is not
credible, based on the underlying
studies, nor is there any evidence that
IPCC authors acted inappropriately by
citing the material on which this
statement is based. The IPCC statement
cites a report 38 published by the
International Institute for Sustainable
Development funded by Canada, U.S.
AID, and other public and private
institutions. The percent reduction
number was obtained from vulnerability
studies prepared under the UN
Environmental Programme Global
Environment Fund and National
Communications of three African
countries to the UNFCCC. This study
was included due to the paucity of peerreviewed material relating to some parts
of the world, particularly Africa. This is
consistent with the IPCC’s guidance on
the use of gray literature. Furthermore,
the statement relates to impacts outside
the United States, and it did not
materially impact the Administrator’s
determination of endangerment of
public health and welfare in the United
States.
b. Response to Claims That the IPCC
Has a Policy Agenda and is Not
Objective and Impartial
Several petitioners raise various
arguments to support their allegation
that IPCC AR4 is advancing a policy
agenda and is not an objective and
impartial scientific body, thus
questioning EPA’s use of IPCC AR4 as
a significant reference document to
support the Administrator’s Findings.
EPA reviews and responds to each of
these claims in Volume 2, section 2.2 of
the RTP document, and provides the
more general responses here. EPA also
previously responded to public
comments about IPCC’s report
development procedures in the RTC
document (see Volume 1, section 1 and
Appendix A, ‘‘IPCC Principles and
Procedures’’).
The petitioners submit four objections
along with excerpts from the CRU emails related to: (1) Authorship and
reviewer roles among IPCC personnel;
(2) a CRU e-mail allegedly showing that
IPCC authors were aware that citing
their own papers could be seen as using
the IPCC process to advance their own
views rather than to present a neutral
overview of the science; (3) allegations
that the IPCC is a biased organization,
including claims that IPCC lead authors
encouraged other authors to focus on
38 Agoumi,
A. (2003). Vulnerability of North
African Countries to Climatic Changes.
International Institute for Sustainable Development
and the Climate Change Knowledge Network.
(2003). Available at: https://www.cckn.net//pdf/
north_africa.pdf. Accessed April 12, 2010.
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policy-prescriptive science; and (4)
allegations that IPCC authors forced
consensus and altered the contents of
the assessment reports to eliminate any
suggestion of non-consensus.
After reviewing the petitioners’
arguments, EPA finds that the evidence
and arguments provided by petitioners
do not support their serious allegation
that the peer-review and assessment
report processes employed by the IPCC
were ‘‘fundamentally corrupt’’ and
policy prescriptive. The petitioners’
arguments, which heavily rely on the
selective use and narrow reading of CRU
e-mails, as well as some newspaper
articles, do not demonstrate that the
IPCC peer-review and report
development processes were
inadequately designed or that they were
not properly implemented. These
allegations by the petitioners are devoid
of any scientific evidence or scientific
argument that would cause EPA to find
that the key conclusions of IPCC AR4
are inaccurate or that they do not
appropriately reflect the degree of
scientific consensus on the scientific
issues germane to the Administrator’s
Endangerment Finding. Therefore,
petitioners’ evidence and arguments do
not support changing EPA’s position, as
stated in the Endangerment Finding,
that the assessment literature, including
IPCC AR4, represents the ‘‘best reference
materials for determining the general
state of knowledge on the scientific and
technical issues before the agency in
making an endangerment decision.’’
Volume 2, section 2.2.3.1 of the RTP
document, for example, demonstrates
that, contrary to petitioners’ assertions,
a few scientists that were not named as
contributing authors for Chapter 6 of
IPCC AR4, Working Group I 39 did not
contribute significantly to the writing
and editorial decisions of that chapter.
Given their very limited role in the
chapter (e.g., providing input on a single
figure), it is entirely reasonable that they
were not named contributing authors,
who are charged with writing parts of
the report. Therefore, EPA finds that
there is no basis for the claim that IPCC
reviewer and author procedures were
circumvented. EPA’s review of this
issue is consistent with the finding of
the Independent Climate Change
E-mails Review 40 which stated, among
other things, that ‘‘There is no
proscription in the IPCC rules to prevent
the author team seeking expert advice
when and where needed.’’
Petitioners appear concerned about
the contributing author designation
because these few scientists were expert
39 Jansen
et al., 2007.
2010.
40 Russell,
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reviewers of the IPCC AR4, and the
petitioners believe that the act of
providing even a limited amount of
information, in addition to their
reviewer roles, would have given them
undo power to shape the report. This
argument is baseless. EPA notes that
although the expert review comments
are available to the public 41, petitioners
did not provide a single example from
the comments of these individuals to
support their claim of undo influence or
abuse of their purported ‘‘power’’ over
IPCC AR4 conclusions.
Volume 2, section 2.2.3.2 of the RTP
document examines the allegation by
petitioners that the frequency with
which IPCC authors cite their own
studies should be viewed as
unacceptable and seen as evidence that
IPCC AR4 lacks objectivity. First, it
should come as no surprise that for
some of these fairly specialized fields of
climate change science authors who
publish the most on these topics would
in turn be selected by IPCC to author
chapters on those same topics. EPA
finds the frequency with which IPCC
authors cite their own peer-reviewed
studies to be entirely acceptable and
reasonable. Again, petitioners
completely fail to show why this
underlying cited literature itself is
flawed or why the IPCC AR4
conclusions, based on this underlying
literature, are flawed. Importantly, one
of the CRU e-mails that petititioners use
as purported evidence of IPCC authors
engaged in foul play to cite their own
work actually shows an IPCC
coordinating lead author explicitly
encouraging his IPCC co-authors to
minimize citations to their own work,
and to do so only ‘‘unless they are
absolutely needed.’’
Volume 2, section 2.2.3.3 of the RTP
document examines the petitioners’
assertion that IPCC is biased and that
IPCC authors worked to produce policyprescriptive science and to reach
preconceived conclusions. Here too, the
petitioners do not address any of the
IPCC AR4 science directly. Rather,
petitioners refer to a selection of CRU emails by IPCC authors who wrote to
other IPCC co-authors to urge them, for
example, to focus on ‘‘policy relevant’’
science. First, ‘‘policy relevant’’ by no
means implies ‘‘policy prescriptive’’ or
scientifically biased. It is, in fact, policy
informative and neutral, in direct
contrast to the goal of policy
41 Reviewer comments and author responses for
draft chapters of IPCC AR4 Working Group I and
II volumes (the primary volumes at issue for the
Endangerment Finding) are publically available at
the following Web sites, respectively: https://
hcl.harvard.edu/collections/ipcc/ and https://
ipcc-wg2.gov/publications/AR4/ar4review.html.
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prescriptive statements. Second,
petitioners do not identify how specific
information in IPCC AR4 should be
considered biased as a result of the
private e-mail exchanges. Petitioners do
not highlight the specific statements in
the IPCC AR4 that are supposedly
‘‘policy prescriptive,’’ never explain
what policy agenda was being
advanced, and never describe how the
CRU e-mails support their claim that the
science was actually manipulated in
service of this unspecified agenda. The
IPCC’s own guidelines 42 state that its
mission is to produce information that
is ‘‘policy relevant and policy neutral,
never policy prescriptive.’’ There is no
evidence provided by petitioners that
IPCC authors deviated from this
practice.
In another example in Volume 2,
section 2.2.3.3 of the RTP document,
petitioners claim that a CRU e-mail
exchange demonstrates that IPCC
authors were colluding to make a strong
case about a certain scientific
conclusion rather than working to
produce neutral science. EPA’s review
shows that there is no support for this
claim. EPA’s review shows that the CRU
e-mails, in their full context, speak for
themselves and simply show a small
group of scientists working on various
alternative ways to present a figure that
was comprehensive and offered key
contextual information on temperature
trends over the past several centuries.
Petitioners do not show that these
alternatives—which are discussed in the
e-mails—are biased, or explain why the
option that was selected is not ‘‘neutral.’’
If fact, the e-mail record shows that the
alternative selected was the most
comprehensive and transparent of the
options.
In Volume 2, section 2.2.3.4 of the
RTP document, EPA reviews
petitioners’ claim that certain IPCC
authors kept out some studies with the
goal of hiding any non-consensus on
key issues. The CRU e-mail exchanges
among some IPCC authors are the only
pieces of evidence offered by petitioners
to support this allegation. EPA’s review
of this issue demonstrates that the CRU
e-mails simply do not show that the
contents of the IPCC chapter in
question, let alone the contents of the
entire IPCC AR4, were altered to
eliminate a suggestion of nonconsensus, or IPCC authors actively
tried to suppress (or were successful in
suppressing) external challenges to
consensus. It is not uncommon for
scientists to critique the work of others,
and the e-mails do not provide evidence
that the IPCC authors acted unethically.
42 IPCC,
2010c.
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Section 2.2.3.4 of the RTP document
also addresses the now oft-cited e-mail
where an IPCC author states, ‘‘I tried
hard to balance the needs of the science
and the IPCC, which were not always
the same.’’ Petitioners claim this e-mail
demonstrates a biased IPCC process. A
simple reading of the entire e-mail
exchange reveals a different story. In
fact, this IPCC author gets
complimented from another for his
objectivity and even-handedness in
handling the challenges of working on
IPCC AR4. This IPCC author also
expressed frustration with the time
spent away from doing new science,
which is not the primary job of an IPCC
chapter author or of the IPCC in general;
the primary role of the IPCC is to assess
existing science already published in
the literature, i.e., in this author’s
words, ‘‘the needs of the science and the
IPCC’’ are not always the same. In
context, it is clear that the needs of the
IPCC in this case are the requirements
of doing assessments of existing
literature rather than producing
‘‘original and substantive’’ work. EPA’s
review demonstrates that when the emails are read in their full context, it is
clear that the authors of these e-mails
sought to convey the science accurately
and address disagreements in a fair and
even-handed way. Again, petitioners
have selectively picked excerpts from
these e-mails to make assertions
attacking the underlying science of the
Endangerment Finding, but these
assertions simply have no support.
3. Process and Other Issues Raised by
the Petitioners
The process and other issues raised by
the petitioners include claims that (a)
the USGCRP and the NRC are not
separate and independent assessments
from IPCC; (b) EPA’s process to develop
the scientific support for the Findings is
flawed; (c) there are improper peerreview processes in the underlying
scientific literature used by the major
assessments; and (d) certain scientists
did not adhere to Freedom of
Information Act requests. Each of these
issues is addressed below and in more
detail in Volume 3 of the RTP
document.
a. Claims That the Assessments by the
USGCRP and NRC Are Not Separate and
Independent Assessments
Two petitioners argue that the
assessment reports upon which EPA
relied are not from three separate,
independent groups. They claim that
the USGCRP and NRC assessment
reports are not separate and
independent because they are based on
the findings of IPCC AR4. Petitioners
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claim the USGCRP and NRC reports
regularly cite and rely on data,
resources, and conclusions in the IPCC
reports, contradicting arguments that all
three of the assessments are separate
and independent. The petitioners argue
that because of this the USGCRP and
NRC assessments must be flawed in the
same way that IPCC AR4 is purported to
be flawed by the petitioners. Volume 3,
section 3.2 of the RTP document
addresses this claim and EPA
summarizes its response here.
EPA finds no merit to this argument.
The organizational and personnel
differences, and the detailed and robust
report development procedures
employed by the IPCC, USGCRP, and
NRC demonstrate that these assessment
reports are separate and independent.
Petitioners’ claims to the contrary are
insufficient and unsubstantiated.
The similarity of the conclusions
among the assessment reports from the
three bodies, for example, provides
evidence of the strength of the science
in that it consistently points different
scientific reviewers in the same
direction. The fact that each of these
bodies referenced many of the same
studies and IPCC AR4 or arrived at
consistent conclusions is not evidence
that these reports are not independent
assessments of the available science
related to climate change. The test of
separation and independence is not
whether an assessment reaches a
different result or conclusion, it is
whether independent discretion and
judgment were exercised. To assert, as
the petitioners do, that consistency of
results represents a weakness rather
than a strength of the underlying
science is an unwarranted argument that
assumes fundamental flaws in the IPCC
and a resulting grand ripple effect across
all the major assessments used by EPA.
EPA discusses above and further
demonstrates throughout the RTP
document that there is no material or
reliable basis to question the validity
and credibility of the body of science
underlying the Administrator’s
Endangerment Finding, including the
IPCC AR4 conclusions and its
underlying studies, and therefore EPA
rejects the premise of this argument.
Furthermore, the USGCRP, the IPCC,
and NRC have their own, separate report
development procedures. These
separate processes have already been
described in the TSD and in the RTC
document, Volume 1. The differences in
the organizations, the groups of
scientists who developed the
assessments, and scope of the
assessments produced by each body is
discussed in detail in Volume 1 of the
RTC document.
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• The IPCC, created in 1988 by the
United Nations Environment
Programme and the World
Meteorological Organization (WMO), is
open to all member countries of the
United Nations and the WMO. At
regular intervals, the IPCC prepares
comprehensive assessments of
scientific, technical, and socioeconomic information relevant for the
understanding of human-induced
climate change, potential impacts of
climate change, and options for
mitigation and adaptation all at global
and regional scales. The most recent
assessment—the AR4—included
thousands of scientists from all over the
world, who participated on a voluntary
basis as authors, contributors, and
reviewers (IPCC, 2007a). While many
federal and nonfederal scientists from
the United States were involved in the
development of the AR4, the United
States is just one of 194 countries that
contribute to the assessments.
• The USGCRP is part of the United
States Executive Branch. Thirteen
departments and agencies participate in
the USGCRP, including EPA. A critical
role of the interagency program is to
coordinate research and integrate and
synthesize information to achieve
results that no single agency, or small
group of agencies, could attain. Between
2004 and 2009, the USGCRP produced
21 synthesis and assessment reports on
a wide range of topics (e.g., temperature
trends in the lower atmosphere; weather
and climate extremes in a changing
climate; and the effects of climate
change on agriculture, land resources,
water resources, and biodiversity). The
USGCRP assessment reports are
developed to enhance understanding of
natural and human-induced changes in
the Earth’s global environmental system;
to monitor, understand, and predict
global change in the United States; and
to provide a sound scientific basis for
national and international decisionmaking. Each of these reports had a
unique team of authors, drawn from
relevant disciplines. Many authors were
federal scientists, and in some cases,
nonfederal scientists contributed their
expertise to the process. While some of
the USGCRP authors participated in the
development of the IPCC AR4, most did
not.
• The NRC is an independent
scientific organization that is not
affiliated with either the IPCC or
USGCRP. As described in Appendix C
of Volume 1 of the RTC document, the
NRC:
enlist(s) the nation’s foremost scientists,
engineers, health professionals, and other
experts to address the scientific and technical
aspects of society’s most pressing problems.
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Each year, more than 6,000 of these experts
are selected to serve on hundreds of study
committees that are convened to answer
specific sets of questions. All serve without
pay. Federal agencies are the primary
financial sponsors of the Academies’ work.
Additional studies are funded by state
agencies, foundations, other private sponsors,
and the National Academies endowment.
The Academies provide independent advice;
the external sponsors have no control over
the conduct of a study once the statement of
task and budget are finalized. Study
committees gather information from many
sources in public meetings but they carry out
their deliberations in private in order to
avoid political, special interest, and sponsor
influence.
Ten NRC reports are cited in the
Endangerment Finding and TSD. Each
of these reports has a unique author
committee, selected based on their areas
of expertise. While some of the NRC
study committee members have
participated in either the IPCC or
USGCRP report development processes,
many have not.
The USGCRP and NRC reports on
which EPA relied were the result of an
objective review and assessment of the
scientific literature available at the time
of their development (including any
previously published assessments),
related to the effects of greenhouse gas
emissions on the climate system and the
impacts of these changes on ecosystems
and society. The organizations
conducting the reviews were distinct
and separate, and neither organization
had control or supervision over the
other. The groups of scientists involved
in the reviews overlapped to some
degree, but significant numbers of
scientists were involved with one but
not other reports. In all cases, personnel
at NRC who supervised the review and
preparation of the final reports were
different from those who performed
these functions for USGCRP.
Like the IPCC, the USGCRP and NRC
provide public opportunities to provide
input and comment during report
development (see RTC document,
Volume 1). In addition, the NRC reports
undergo a rigorous, independent
external review by experts whose
comments are provided anonymously to
the committee members.
Separate and apart from the issue of
the independence of these assessment
reports, the petitioners provide no
information to demonstrate that the key
scientific conclusions of the IPCC,
USGCRP, and NRC are wrong or that
EPA erred in relying upon them. The
specific science issues raised by
petitioners are discussed throughout
this Decision and in the RTP document.
Thus, whether or not the various
assessment reports are separate and
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independent, EPA reasonably relied
upon them as reflecting the current state
of the science and the degree of broad
consensus within the science
community on these issues.
Bolstering the case that the IPCC,
USGCRP and NRC assessments available
at the time of the final Endangerment
Finding in December 2009 were robust
and appropriate for EPA to use, the May
2010 assessment of the NRC,
‘‘Advancing the Science of Climate
Change,’’ states that its major scientific
conclusion is ‘‘consistent with the
conclusions’’ of those previous
assessments. Note also that this May
2010 NRC assessment was able to
incorporate scientific literature
published since EPA completed its
scientific record to finalize the 2009
Endangerment Finding.
b. Approaches and Processes Used To
Develop the Scientific Support for the
Findings
Several petitioners object to the
process and approach EPA used in
developing the scientific support for the
Endangerment Finding. One of these
specific arguments is new whereby the
petitioners allege that EPA ignored
public concerns about the implications
of the e-mails involving scientists at the
CRU, and instead ‘‘plowed ahead with
compromised data, undermining its core
conclusions in the process.’’ EPA
discusses and responds to this issue in
section (i) below and in section 3.1.2 of
the RTP document. The petitioners also
raise issues that EPA already responded
to in Volume 1 of the RTC document.
Some of the concerns submitted are
supported with ‘‘new information’’ and
some are not. In (ii) below, EPA
summarizes the response to the claim
that EPA did not independently judge
the underlying science, and in (iii)
below EPA concludes that the Agency
did not violate the Information Quality
Act (IQA, or the Data Quality Act), as
alleged by petitioners. Section 3.1.3 of
the RTP document more fully responds
to these three allegations and other
related concerns raised by the
petitioners regarding the process and
approach EPA used in developing the
scientific support for the Endangerment
Finding.
(i) Issues Regarding Consideration of the
CRU E-mails
The sole new argument raised by
petitioners regarding the approach and
process EPA used into develop the
Findings is that EPA ignored public
concerns about the implications of the
e-mails involving scientists at CRU, and
instead ‘‘plowed ahead with
compromised data, undermining its core
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conclusions in the process.’’ EPA
responds to this issue in Volume 3,
section 3.1.2 of the RTP document and
summarizes its response here.
Prior to finalizing the Endangerment
Finding, EPA carefully reviewed many
of the CRU e-mails, and determined that
many of the issues raised therein had
also been raised through the public
comments on the proposed Findings.
EPA reviewed the underlying scientific
issues that were presented to EPA at the
time (see, for example, RTC Volume 2).
Based on that initial review, EPA
concluded that the fundamental
conclusions of the assessment literature
remained sound as to the state of the
science on greenhouse gases and climate
change. EPA did not inappropriately
‘‘plow ahead;’’ EPA assessed the issues
raised by commenters and the CRU
e-mails in light of our comprehensive
review of climate science and all of the
objections to the science raised by
commenters, and concluded that our
review of the science and the
conclusions based on it were sound.
Petitioners have now raised more
specific concerns with respect to the
CRU e-mails. EPA has reviewed all of
the CRU e-mails, and our responses to
the particular science issues raised by
petitioners in light of these e-mails are
provided in other sections of this
Decision and in the RTP document. As
discussed there, petitioners have
routinely misunderstood or
mischaracterized the scientific issues,
drawn faulty scientific conclusions,
resorted to hyperbole, impugned the
ethics of climate scientists in general,
characterized actions as ‘‘falsification’’
and ‘‘manipulation’’ with no basis or
support, and placed an inordinate
reliance on blogs, news stories, and
literature that is often neither peer
reviewed nor accurately summarized in
their petitions. Petitioners often ‘‘cherrypick’’ language that creates the
suggestion or appearance of
impropriety, without looking deeper
into the issues or providing
corroborating evidence that improper
action actually occurred.
(ii) Claims That EPA Did Not
Independently Judge the Underlying
Science
Several petitioners argue that the
Administrator did not independently
judge the primary scientific literature
and data. Instead, they claim that she
improperly relied on summary scientific
reports produced by third parties or
‘‘foreign entities.’’ This is not a new
issue brought to EPA, but was raised
and addressed during the public
comment period. Section III.A of the
Findings responds to comments that
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EPA should have conducted its own
independent assessment of the primary
scientific literature and not relied on
scientific reports produced by third
parties such as the USGCRP, NRC or
IPCC. See also Volume 1 of RTC
document, particularly Response 1–1.
It is useful to describe the process
EPA followed in exercising its scientific
judgment in making the Endangerment
Finding. EPA did not passively and
uncritically accept a scientific judgment
and finding of endangerment supplied
to it by outsiders. Instead, EPA
evaluated all of the scientific
information before it, determined the
current state of the science on
greenhouse gases, the extent to which
they cause climate change, how climate
change can impact public health and
public welfare, and the degree of
scientific consensus on this science.
EPA applied this science to the legal
criteria for determining endangerment,
i.e., whether greenhouses gases cause, or
contribute to, air pollution that may
reasonably be anticipated to endanger
public health or welfare. EPA did this
after presenting its scientific views
before the public for comment and
evaluating and considering all
comments received, as well as
documenting responses to all significant
public comments (see volumes 1–11 of
the RTC document). EPA properly and
carefully exercised its own judgment in
all matters related to the Endangerment
Finding.
The core of petitioners’ objection is
that they do not agree with important
parts of the scientific information upon
which EPA relied. They frame this as a
failure of EPA to exercise its own
judgment, or as EPA ceding to an
outside body its responsibility to
exercise independent judgment. It is
clear from the record for the Findings
that EPA exercised its own judgment
and did not cede its authority or
judgment to anyone. The fact that
petitioners disagree with the
information EPA relied upon and EPA’s
conclusions is not evidence of a lack of
exercise of discretion or judgment.
EPA relied on the existing assessment
reports of the USGCRP, IPCC, and NRC
as a primary source for determining the
current state of the science relating to
greenhouse gases and climate change,
and for determining the degree of
scientific consensus on these issues.
EPA’s view then and now is that these
assessment reports represent the best
primary references to provide the
scientific underpinnings to inform the
Administrator’s judgment regarding
endangerment. These assessment
reports provide exactly the kind of
information that is required, i.e., they
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demonstrate how greenhouse gases are
affecting the climate now, are projected
to affect climate in the future, and how
these current and projected climate
changes impact public health and
welfare. These assessment reports also
bring together and synthesize the
numerous individual studies in the
scientific literature to draw overarching
conclusions about the state of the
science. Finally, each of these
assessment reports go through rigorous
and transparent peer-review processes,
such that the conclusions carry
significant weight in a way that is
typically not possible for one individual
study in a scientific journal. EPA’s
review of the objections raised by
petitioners to the process and the
substance of the various assessment
reports does not support changing this
view.
The petitioners appear to imply that
EPA would have drawn different
conclusions had it conducted its own
separate assessment. After examining
the breadth and quality of the USGCRP,
IPCC, and NRC assessments, EPA
disagrees. These reports already reflect
the body of underlying scientific
literature that EPA itself would have
had to synthesize had it decided to
conduct yet another assessment,
independent from USGCRP, IPCC and
NRC. These assessments have been
reviewed and formally accepted by,
commissioned by, and in some cases
authored by U.S. government agencies
and individual government scientists.
By relying on the assessment literature,
EPA is benefitting from the confidence
and strength of an entire federal
research enterprise. There is no reason
to think that these assessments do not
represent the best primary source
material to determine the state of
science on the relevant issues.
Petitioners disagree with some of the
conclusions of the assessment literature
and believe that not all scientific points
of view were fully considered therein.
However, there was a robust public
comment process on EPA’s proposed
Endangerment Finding, which provided
an opportunity for the public to evaluate
and comment on EPA’s preliminary
scientific conclusions. Many
commenters provided literature and/or
arguments to support their views and
EPA reviewed such literature and
arguments in the Agency’s responses.
EPA’s final judgment was based on
EPA’s evaluation of both the assessment
literature and the additional information
and views provided through public
comment. EPA has no reason to believe
that putting this significant body of
work aside and attempting to develop a
new and separate assessment would
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provide any better scientific basis for
making the endangerment decision.
(iii) Claims That EPA Violated the
Information Quality Act
EPA already provided a detailed
response to arguments of alleged IQA
violations in RTC Volume 1. The
petitioners now make essentially the
same general argument that EPA’s use of
third-party assessment reports violates
the IQA. EPA notes that the petitioners
are re-raising this issue in the petitions
for reconsideration because they believe
that the CRU e-mails show that ‘‘IPCC
authors deleted information and hid
behind foreign laws to avoid disclosure
of key data’’ and that EPA would not
have been able to obtain the data
anyway. EPA responds to allegations
involving the behavior of CRU
scientists, including the allegation that
data was destroyed, in (c) below,
Volume 1 of the RTP document and
Sections 3.3 and 3.4 of the RTP
document. As stated in these sections,
the evidence submitted by the
petitioners in the form of the CRU
e-mails does not support their allegation
that data were destroyed. Therefore, the
‘‘new’’ information presented by the
petitioners does not call into question
the overall integrity of the science, nor
does it call into question the process
EPA used in developing the Findings.
As noted in RTC Volume 1, the IQA
requires that an agency issue guidelines
regarding data quality and ensure their
implementation. EPA complied with the
IQA by issuing its Guidelines for
Ensuring and Maximizing the Quality,
Objectivity, Utility and Integrity of
Information Disseminated by the
Environmental Protection Agency
(U.S. EPA, 2002) 43 and has acted
consistently with these guidelines in
developing the Findings. As stated in
RTC Volume 1, EPA’s use of the
assessment literature ‘‘is consistent with
these guidelines because we thoroughly
reviewed and evaluated the author
selection, report preparation, expert
review, public review, information
quality, and approval procedures of
IPCC, USGCRP/CCSP, and NRC to
ensure the information adhered to a
basic standard of quality, including
objectivity, utility, and integrity.’’
The CRU e-mails cited by the
petitioners do not undermine this view.
EPA’s responses on the science issues
raised by petitioners concerning these
e-mails are discussed in detail in several
43 U.S. EPA (2002). Guidelines for Ensuring and
Maximizing the Quality, Objectivity, Utility, and
Integrity of Information Disseminated by the
Environmental Protection Agency. Washington, DC:
U.S. Environmental Protection Agency. EPA/260/R–
02/008.
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other sections of this Decision as well as
in the RTP document. As our detailed
responses show, petitioners’ sciencebased claims do not support the
conclusion that the IPCC or other
assessment reports were biased,
inaccurate, or scientifically incorrect.
c. Freedom of Information Act Issues
Several petitioners claim that the CRU
e-mails provide evidence that leading
climate scientists deliberately withheld
key data and computer codes and
attempted to obstruct or avoid UK
Freedom of Information (FOI) and
U.S. Freedom of Information Act (FOIA)
requests from ‘‘climate skeptics.’’ These
claims are addressed in Volume 3,
section 3.4 of the RTP document and
EPA’s response is summarized here.
EPA’s review of the CRU e-mails
indicates that in many cases, the data at
issue were in fact released by the
scientists, including data concerning a
human ‘‘fingerprint’’ in the tropics, data
underlying the HadCRUT temperature
record, and data concerning historic
temperature reconstructions. In
addition, significant data were publicly
available. Petitioners have not explained
or shown why the amount of data and
other information that was available was
not adequate for researchers to replicate
or otherwise evaluate key findings, or to
conduct other research. In addition,
there was a robust and public process to
submit, review, and publicly respond to
comments on the scientific issues
involved in all parts of the IPCC AR4.
Petitioners do not rely on science or
science based arguments to support
their claim that the assessment report
resulting from this robust process
should not be relied upon by EPA.
Instead, they rely on unsupported
conclusions drawn from e-mails
concerning a FOI request for personal
communications between various
scientists, where it appears that the
appropriate University FOI officers had
determined that these e-mails were
exempt from release. This evidence does
not support petitioners’ claims that the
IPCC AR4 should not be considered as
part of the scientific basis for the
Endangerment Finding.
EPA agrees with the results of the
various investigations, which found that
the scientists at issue conducted their
research with scientific integrity and
rigor, the research utilized methods
which are fair and satisfactory, and that
their actions were consistent with the
common practice in climate research at
that time. EPA also agrees with the
recommendations of the Independent
Climate Change E-mails Review
supporting greater transparency in the
future in this area of climate research.
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Petitioners’ evidence, however, does not
support their conclusions that the
research produced by these scientists
was suspect, flawed, or biased, or that
IPCC AR4 or other assessment reports
were suspect, flawed, or biased. Their
evidence does not support the
conclusion that the science at issue
should not be relied upon by EPA.
EPA has reviewed the petitioners’
claims and the e-mails and finds that in
many cases, the petitioners make overly
broad generalizations based on
suggestions of inappropriate actions that
are not supported by the evidence
provided by the petitioners. Regarding
the quote from the UK Information
Commissioner’s Office, the recent
inquiry by the UK House of Commons
Science and Technology Committee
(2010) 44 concluded that this statement
was the personal opinion of the Deputy
Information Commissioner and was not
based on the results of a formal
government investigation.
EPA finds that most of the language
in the CRU e-mails that petitioners
allege shows impropriety is taken out of
context. Petitioners do not provide
corroborating evidence that improper
action actually occurred, let alone
evidence that any alleged improper
action led to biased or inaccurate
science that was ultimately used by EPA
to support the Findings. Based on our
review of the e-mails, the authors were
dismayed at what they viewed as
frivolous requests that were wasting
their time, not that the requestors were
going to uncover ‘‘fraud’’ or
‘‘wrongdoing’’ with regard to their
research, as has been alleged by the
petitioners.
EPA finds from its review that the
e-mail authors expressed significant
frustration at repeated requests for
specific explanations and computer
codes when the basic data had already
been made available and the
methodology for replicating particular
studies had already been published in
the literature. This type of approach was
considered to be common practice at the
time, as the UK House of Commons
Science and Technology Committee
(2010) 45 also found in their analysis of
the CRU e-mails: ‘‘In the context of the
sharing of data and methodologies, we
consider that Professor Jones’s actions
44 UK Parliamentary (2010). House of Commons,
Science and Technology Memoranda. Available at:
https://www.publications.parliament.uk/pa/
cm200910/cmselect/cmsctech/memo/climatedata/
contents.htm.
45 UK Parliamentary (2010). House of Commons,
Science and Technology Memoranda. Available at:
https://www.publications.parliament.uk/pa/
cm200910/cmselect/cmsctech/memo/climatedata/
contents.htm.
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were in line with common practice in
the climate science community. It is not
standard practice in climate science to
publish the raw data and the computer
code in academic papers.’’ EPA finds
that the petitioners’ evidence does not
provide a basis to question the scientific
integrity or conclusions of the climate
change research conducted by CRU
researchers.
d. Integrity of Peer-Reviewed Literature
Several petitioners claim that the CRU
e-mails provide evidence that leading
climate scientists engaged in actions to
suppress dissenting views about
anthropogenic global warming.
Specifically, petitioners claim that these
scientists unfairly gave favorable
reviews of each other’s manuscripts
while providing negative reviews of
manuscripts authored by ‘‘climate
skeptics,’’ made efforts to unfairly
expedite publication of their responses
to papers by ‘‘climate skeptics,’’
conspired to remove editors of
prominent journals that had published
dissenting views of climate change, and
boycotted the journals in reprisal. The
petitioners argue that the cumulative
effect of these alleged actions with
regard to peer-reviewed literature has
been to create an artificial consensus
about anthropogenic climate change that
has ‘‘tainted [climate change literature]
in favor of desired papers.’’ Some
petitioners conclude that EPA has lost
the basis for its Findings because the
Agency assumed a ‘‘legitimate, objective
‘consensus’ regarding anthropogenic
global warming’’ existed among
scientists and disregarded any contrary
views or contrary evidence. EPA
responds to these claims in Volume 3,
section 3.3 and summarizes its response
here.
Petitioners’ claims are not based on
scientific analysis or arguments, and
their evidence does not support
changing or revising EPA’s use of the
major assessments of peer-reviewed
literature or the overall scientific
conclusions about climate change
reached from the thousands of papers
considered in the assessments. The
objections raised by the petitioners have
not called into question or changed
EPA’s conclusion that the science
supporting the Endangerment Findings
is robust, compelling, and has been
appropriately characterized by EPA.
EPA disagrees with the petitioners’
argument that the Findings were based
on a false consensus regarding
anthropogenic climate change, and that
EPA disregarded contrary views or
evidence including those not
represented in the peer-reviewed
literature. For reasons stated throughout
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this Decision and section 3.3 of the RTP
document, EPA’s view is that the state
of the science has been carefully and
appropriately characterized by EPA and
properly interpreted by the
Administrator in the Endangerment
Finding.
Many diverging viewpoints and a
variety of findings are represented in the
scientific literature on climate change.
The assessment reports routinely
identified the degree of certainty around
any conclusion and recognized the
existence of ongoing debate within the
scientific community on all of these
issues, as is the norm in all science
endeavors. The Administrator’s
Endangerment Finding relied on a
careful consideration of the full weight
of scientific evidence and a thorough
review of hundreds of thousands of
public comments, which contained
many different opinions and
interpretations of the science. Therefore,
to claim, as the petitioners do, that these
e-mails demonstrate that EPA did not
take into account any dissenting views
on the subject of climate change science
is a gross mischaracterization of the
total record that supports the
Administrator’s Findings.
The petitioners rely upon some CRU
e-mails (typically taken out of context),
a small number of papers, and both
actual and alleged events regarding
scientific journals to claim that leading
climate scientists conspired to keep
dissenting views of climate change out
of the broad body of peer-reviewed
literature and create an artificial
consensus about anthropogenic climate
change. In all cases presented by the
petitioners it appears the scientists
involved were making their scientific
objections known, and were basing their
objections on the science and not on
assumptions or speculation. The
evidence presented by petitioners does
not support their claims of bias, either
for the specific papers and individuals
at issue, or for the much broader and
sweeping challenges made concerning
the integrity of all peer-reviewed
climate literature.
For the few papers at issue, the
petitioners do not argue based on
scientific merits, and instead assume
that the few papers they cite received
unjustified unfavorable reviews and
were unfairly rejected for publication
without providing supporting evidence.
Petitioners do not address the
possibility that these papers were
scientifically inadequate and that the
scientists were justified in
recommending that they not be
published. EPA notes that there is no
evidence presented beyond these few
papers of the claimed general effort to
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manipulate the peer-reviewed journal
publication process.
The evidence provided by the
petitioners also does not show that the
scientists engaged in improper behavior
or sabotage of the two journals that are
discussed in the e-mails, or their
editors, nor is there evidence to
conclude that any action on the part of
these scientists involved in the e-mail
correspondence resulted in the
replacement of the journal editors. Our
review of the full discussion of the emails indicates, again, that petitioners
have exaggerated the significance of
actual or purported events in an attempt
to cast doubt on the underlying science
and the processes relied upon to
produce the science.
F. Petitioners’ Arguments Do Not Meet
the Standard for Reconsideration
As discussed above, petitioners must
demonstrate that their objections are of
central relevance to the outcome of the
underlying decision, and must
demonstrate either that it was
impracticable to raise the objections
during the public comment period or
that the grounds for raising such
objections arose after the close of the
comment period (but within the time
specified for judicial review). The above
analysis shows that science-based and
other objections discussed in this
Section III and the accompanying
support document are not of central
relevance to the Administrator’s
decision on endangerment and thus
reconsideration is properly denied.
An objection is of central relevance if
it provides substantial support for the
argument that the underlying decision
should be revised. As shown above,
none of the petitioners’ arguments
related to climate science and data
issues, issues raised by EPA’s use of
IPCC AR4, and process issues provide
substantial support for the argument
that the Administrator’s Endangerment
Finding should be revised. The
petitioners’ arguments and evidence are
inadequate, generally unscientific, and
do not show that the underlying science
supporting the Endangerment Finding is
flawed, misinterpreted by EPA, or
inappropriately applied by EPA.
Importantly, petitioners’ claims and the
information they submit do not change
or undermine our understanding of how
human emissions of greenhouse gases
cause climate change and how humaninduced climate change generates risks
and impacts to public health and
welfare. The information provided by
petitioners does not change any of the
scientific conclusions that underlie the
Administrator’s Findings, nor do the
petitions lower the degrees of
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confidence associated with each of these
major scientific conclusions.
A petition for reconsideration cannot
merely cite to new information and
claim that is sufficient to require
initiating a reconsideration process,
attendant with the same procedures as
the original decision. Mere allegations
that information is of central relevance
will not suffice. New information, even
new information related to an agency
decision, does not by itself warrant
undermining the finality of agency
decision making. To justify
reconsideration a petitioner must show
why the new information demonstrates
that the agency’s decision should be
changed.
Petitioners fail to do this. The core
defect in petitioners’ arguments is that
these arguments are not based on
consideration of the body of scientific
evidence. Petitioners fail to address the
breadth and depth of the scientific
evidence and instead rely on an
assumption of inaccuracy in the science
that they extend even to the body of
science that is not directly addressed by
information they provide or by
arguments they make. Petitioners
routinely take private e-mail
communications out of context and
assert they are ‘‘smoking gun’’ evidence
of wrongdoing and scientific
manipulation of data. In contrast, EPA’s
careful examination of the e-mails and
their full context shows that the
petitioners’ claims are exaggerated and
are not a material or reliable basis to
question the validity and credibility of
the body of science underlying the
Administrator’s Endangerment Finding
or the Administrator’s decision process
articulated in the Findings themselves.
Petitioners’ assumptions and subjective
assertions regarding what the e-mails
purport to show about the state of
climate change science are woefully
inadequate pieces of evidence to
challenge the voluminous and well
documented body of science that is the
technical foundation of the
Administrator’s Endangerment Finding.
Petitioners’ objections that a limited
number of factual mistakes now
identified in the IPCC AR4, as well as
other claimed mistakes, call into
question the climate science supporting
the Administrator’s Endangerment
Finding, are similarly flawed. The two
factual mistakes in IPCC AR4 confirmed
by EPA’s review are tangential and
minor and do not change the key IPCC
AR4 conclusions that are central to the
Administrator’s Endangerment Finding.
Finally, as shown above, regarding
objections based on allegedly new
scientific studies and data, EPA’s review
of these claims shows that in many
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cases the issues raised by the petitioners
are not new, but were in fact considered
prior to issuing the Endangerment
Finding. In other cases, the petitioners
have misinterpreted or misrepresented
the meaning and significance of recent
scientific literature, findings, and data.
Finally, there are instances where the
petitioners have failed to acknowledge
other new studies in making their
arguments. Thus, petitioners have failed
to demonstrate that their objections
related to climate science and data
issues, issues raised by EPA’s use of
IPCC AR4, and process issues provide
substantial support for the argument
that the Administrator’s decision on
endangerment should be revised.
Moreover, regarding many of their
objections, petitioners also fail to
demonstrate that it was impracticable to
raise the objections during the public
comment period or that the grounds for
raising such objections arose after the
close of the comment period (but within
the time specified for judicial review).
In many but not all cases EPA has
identified instances where petitioners
fail to base an objection on such new
information. Given the volume of
individualized comments and
objections, EPA is identifying some of
the types of situations where the
objection, or grounds for the objection,
raised by a petitioner does not satisfy
this requirement for reconsideration.
Several types of objections are premised
on studies and other information that
were available before the close of the
comment period. In some cases
petitioners basically repeat or raise the
same arguments that were raised and
responded to in the rulemaking. In other
cases, petitioners raise allegedly new
grounds, such as CRU e-mails, that they
claim should cause EPA to reconsider a
prior comment, or that justifies
petitioners’ raising a new issue for the
first time in the reconsideration
petition. But as explained above and
throughout this Denial and supporting
documents, the allegedly new
information is not of central relevance,
and therefore, EPA essentially is left
with arguments that either were made
previously during the comment period,
or could have been raised during the
comment period. Thus, many of the
petitioners’ objections not only are not
of central relevance, but they also fail to
meet the temporal requirement for a
petition for reconsideration.
IV. Other Issues
In this section, EPA responds to
various objections to the Endangerment
Finding based on concerns raised with
respect to the impact of stationary
source permitting requirements, the
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relationship of the Findings to NHTSA’s
recent CAFE rule, the effects of the
Findings and subsequent rulemakings
on states and businesses, the need for a
Formal Rulemaking Process, and EPA’s
justification for its exercise of discretion
in making the Endangerment Finding.
A. The Tailoring Rule/Impacts of PSD
and Title V Permitting Are Not of
Central Relevance to the Findings
Several petitioners raise objections
based on EPA’s proposed rule to tailor
the Prevention of Significant
Deterioration (PSD) and title V permit
programs for greenhouse gases.
Proposed Prevention of Significant
Deterioration (PSD) and Title V
Greenhouse Gas Tailoring Rule, 74 FR
55292 (Oct. 27, 2009) (Proposed
Tailoring Rule).46 Specifically,
petitioners argue that EPA’s statements
in the Proposed Tailoring Rule
demonstrate that the Findings are
contrary to law and/or arbitrary and
capricious. Because the Proposed
Tailoring Rule was issued after the close
of the comment period, but before the
period for judicial review ran,
petitioners argue that it presents reasons
for EPA to reconsider the Findings in
general.
Petitioners argue that the Proposed
Tailoring Rule is of central relevance to
the Findings because it involves the
PSD and title V permitting requirements
that flow as an inevitable result of the
Findings, and the impacts of such
permitting are relevant to the Findings.
e.g., SLF 5th Supp. at 15; Ohio Coal
Assn. at 4. They point to the fact that
the Tailoring Rule was proposed, and
comments thereon were received, after
the close of the comment period for the
Findings, and request that EPA grant
reconsideration and re-open the
Findings docket ‘‘to allow the public to
comment on the implications of the
Tailoring Rule[sic] to the form and
content of the Endangerment Finding,’’
SLF 5th Supp. at 15, and to ‘‘further
explore the extent to which
implementation of the Endangerment
Finding is practically impossible * * *
since impossibility calls into question
all justification for the Endangerment
Finding.’’ Ohio Coal Assn. at 4.
At least one petitioner points to the
alleged implementation problems
identified in the Proposed Tailoring
Rule and comments received thereon as
a basis for reconsidering the
appropriateness of the Findings. Ohio
Coal Assn. at 6–9. The petitioner argues
46 The Final Prevention of Significant
Deterioration (PSD) and Title V Greenhouse Gas
Tailoring Rule was signed on May 13, 2010, and
published June 3, 2010. 75 FR 31514 (June 3, 2010).
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that despite statements in the final
Findings that EPA did not consider, and
indeed could not have considered,
policy concerns about the repercussions
of impact of the finding when making
the endangerment finding, EPA did
‘‘give credence and expression’’ and ‘‘did
in fact consider the widespread and
economically crippling’’ PSD permitting
implementation issues. Ohio Coal Supp.
at 15, 18. Therefore, the petitioner
continues, new information about EPA’s
ability to tailor the PSD program
justifies granting reconsideration.
Specifically, the petitioner cites to
comments filed by state permitting
authorities that they allege call into
question the approach EPA proposed in
the Tailoring Rule to address the
negative impacts that EPA
acknowledges ‘‘would inexorably flow
from the Endangerment Finding—that
is, triggering the PSD and Title V
permitting requirements at the low
applicability levels provided under the
Clean Air Act.’’ Ohio Coal Supp. at 16–
18. They claim that statements made by
state permitting agencies about the
ability of the proposal to address state
law concerns, and the remaining burden
even at the higher thresholds all
undermine EPA’s claim that it can
fashion a reasonable and common-sense
solution to the perceived problem.
Thus, petitioners conclude, the ‘‘most
viable and sensible option’’ would be
instead for EPA to withdraw the
Findings until the impacts of the PSD
and title V permitting programs can be
fully assessed and resolved. Ohio Coal
Assn. at 8; Ohio Coal Supp. at 22.
Another petitioner provides slightly
different reasons for claiming the
Proposed Tailoring Rule necessitates
granting reconsideration and re-opening
the Findings for comment.47 This
petitioner argues that the Proposed
Tailoring Rule reflects an
acknowledgement by EPA that
regulating GHG under the CAA is
absurd. Chamber at 3. The petitioner
also argues that new information
demonstrates that some of the public
health and welfare effects from
stationary source emission reductions
that EPA expected when issuing the
Findings will be legally unavailable. Id.
at 9–10. The petitioner alleges that EPA
recognized the ‘‘ill-fit’’ between
47 This petitioner also stated in its petition that
if EPA had neither ‘‘granted the petition nor
contacted the [petitioner] to establish a mutually
agreeable schedule for reconsideration by April 14,
2010, such inaction will be deemed a denial of the
petition.’’ Chamber at 1. No EPA action, or inaction,
other than this Decision and supporting material
constitutes a denial of the petitions. See, e.g., Final
LDVR, 75 FR at 25402; EPA’s Combined Opposition
to Remand (filed April 29, 2010 in DC Cir. No. 09–
1322).
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pollutants like greenhouse gases, which
become well-mixed in the atmosphere
and cause global problems, and the
existing structure of the CAA. The
petitioner further claims that it was
because of this ill-fit that EPA crafted
the Tailoring Rule in order to avoid the
absurd result of trying to regulate GHGs
under part of the CAA. Petitioner’s
suggested solution is for EPA to
reconsider the Findings in light of EPA’s
recognition that regulation of GHGs
under the CAA is ‘‘absurd.’’ In so doing,
the petitioner reiterates comments it,
and others, submitted during the public
comment period arguing that EPA
retains discretion under Massachusetts
to consider, among other things, the
impacts of an endangerment finding
when deciding whether to issue an
endangerment findings. Chamber at
10–12.
More specifically, the petitioners
argue that the Supreme Court decision
did not address the issue of whether
GHGs could be regulated under the CAA
consistent with Congress’ intent and
without triggering absurd results.
Chamber at 11. Rather, they contend,
the Supreme Court decision was about
the narrow issue of whether GHGs were
air pollutants under CAA section 202(a).
Chamber at 11. Some petitioners argue
that EPA should have informed the
Supreme Court of the impact of a
positive endangerment finding under
CAA section 202(a) on stationary source
permitting, and the fact that it may
require EPA to resort to the absurdity
doctrine; if EPA had, they continue, the
Court may have issued a different
opinion. CEI Supp. at 4–5. Another
petitioner argues that the Supreme
Court left open the option of EPA
declining to make an endangerment
finding, and that in making its decision
EPA must adhere to the customary
mode of statutory interpretation in
Chevron v. NRDC, 467 U.S. 837 (1984),
considering all relevant statutory
language, legislative history and absurd
results that may apply when regulating
GHGs under the CAA. Chamber at 12.
Based on this alleged premise, the
petition then turns to EPA’s statements
in the Proposed Tailoring Rule
concerning the potential absurd results
that could result from applying the
statutory permitting thresholds of 100
and 250 tons per year (tpy) to GHGs,
and the additional administrative
impossibility that would result from
applying these statutory thresholds
immediately when GHGs are regulated
under CAA section 202(a). Petitioner
submits additional evidence it alleges
demonstrates the absurdity of regulating
GHGs from stationary sources: (1) The
PSD program is designed to address
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pollutants with localized impacts in
specific geographic areas (e.g., the
NAAQS), and not global pollutants like
GHGs; (2) the statutory thresholds
would require burdensome, expensive,
individualized emissions controls at
hundreds of thousands of small
emissions sources, contrary to
Congressional intent; and (3) the
application of permitting to GHGs
would jeopardize economic growth,
which would be particularly absurd in
the current economic situation.
Chamber at 15–17.
Thus, according to this and other
petitioners, EPA must reconsider the
Findings in light of the absurd results
that would result from GHGs being
regulated pollutants under the PSD and
title V permitting programs. See, e.g.,
Chamber at 18; CEI Supp. at 5.
Specifically, petitioners argue that the
absurdity doctrine demands that EPA
consider whether regulating GHGs
under the CAA as a whole is absurd or
not, but that EPA completely ignored
this possibility when developing the
Findings. Rather than relying on the
absurd results doctrine to merely
‘‘tailor’’ the PSD and title V permitting
programs, petitioners argue that EPA
should rely on it to avoid creating the
permitting program dilemma in the first
place, or at the very least take comment
on that option. Chamber at 18–19; CEI
Supp. at 5. At least one petitioner
contends that case law regarding the
absurd results doctrine requires
adopting the narrowest, most restrictive
interpretation of the statute, and that
there may be an interpretation that
authorizes EPA to avoid making the
endangerment finding in the first place,
not one that merely addresses the PSD
and title V statutory thresholds (e.g., by
interpreting ‘‘emissions’’ or ‘‘major
emitting facility’’ narrowly). Chamber at
18–19. Petitioners argue that given
EPA’s failure to consider this
alternative, coupled with the alleged
acknowledgement that the CAA motor
vehicle rules are not necessary to
achieve public health and welfare
advantages in light of the NHTSA CAFE
rule (see below), EPA must reconsider
the Findings. See, e.g., Chamber at 23.
Finally, other petitioners argue that
the Proposed Tailoring Rule itself is
illegal, pointing to numerous industry
comments filed on the proposal. They
contend that since the Tailoring Rule is
illegal, it is ‘‘a patently unconstitutional
attempt by the Executive Branch to
unilaterally amend a statute.’’ SLF 5th
Supp. at 16. In summary, they conclude
that since EPA cannot regulate GHGs
under the CAA without ignoring part of
the statute, it cannot regulate GHGs in
a manner consistent with the CAA and
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any attempt to do so is beyond EPA’s
legal authority, arbitrary and capricious,
and an abuse of discretion. Id. at 17–19.
The petitioners also contend that EPA’s
Endangerment Finding is arbitrary and
capricious and an abuse of discretion
because, they allege, it is climatically
pointless as well. They state that rather
than undertake a course of illegal action,
especially one that they allege does not
have any detectable effect, EPA should
start over and reconsider the Findings.
Id.
EPA is denying the petitions for
reconsideration that raise objections
based on the Proposed Tailoring Rule
because these objections are not of
central relevance to the outcome of the
final Findings and/or could have been
raised during the public comment
period.
These objections are not of central
relevance to the Findings for three
primary reasons discussed in more
detail below. First, as EPA noted in the
Findings, the impact of regulations that
may flow from a positive endangerment
finding, even if absurd, is not a relevant
consideration to the science based
question of whether air pollution may
reasonably be anticipated to
endangerment public health or welfare.
See, 74 FR at 66501, 66515–16; RTC
volume 11 at 4–5. Thus, EPA disagrees
with a fundamental basis for petitioners’
objections based on the Proposed
Tailoring Rule—i.e., that EPA could or
must decline to issue an endangerment
finding under CAA section 202(a),
regardless of the scientific evidence
relevant to determining endangerment,
based on concerns with implementing
stationary source permitting. Second,
even if the absurd results doctrine could
influence EPA’s interpretation of CAA
section 202(a) after the Supreme Court’s
decision in Massachusetts, EPA’s
approach to resolving the absurdity is
reasonable because it focuses narrowly
on that part of the CAA where the
absurdity originates while giving effect
to other statutory provisions, in order to
balance the goal of improving public
health and the environment with the
goal of avoiding absurd results. Third,
EPA disagrees with the petitioners who
argue that because EPA is relying on the
absurd results doctrine as a result of the
Findings, the Findings themselves must
therefore be illegal. Reliance on a
doctrine of administrative law when
interpreting a statute is not an
indication of the illegality of agency
action; indeed, it shows just the
opposite. By applying, inter alia, the
doctrines of absurd results and
administrative necessity, EPA has been
able to issue effective regulations
addressing greenhouse gases while
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avoiding the absurd results that could
arise from immediately applying the
statutory thresholds for PSD and title V
to greenhouse gases. Thus, petitioners’
objections do not provide substantial
support for the argument that the final
Findings should be revised.
More specifically, EPA stated the
following in the Findings in response to
comments urging EPA to delay making
an endangerment finding based on,
among other things, concerns about the
impact of the PSD program:
‘‘EPA agrees with the commenters who
argue that the Supreme Court decision held
that EPA is limited to consideration of
science when undertaking an endangerment
finding, and that EPA cannot delay issuing a
finding due to policy concerns if the science
is sufficiently certain (as it is here). The
Supreme Court stated that ‘‘EPA can avoid
taking further action only if it determines
that greenhouse gases do not contribute to
climate change or if it provides some
reasonable explanation as to why it cannot or
will not exercise its discretion to determine
whether they do’’ 549 U.S. at 533. Some
commenters point to this last provision,
arguing that the policy reasons they provide
are a ‘‘reasonable explanation’’ for not moving
forward at this time. However, this ignores
other language in the decision that clearly
indicates that the Court interprets the statute
to allow for the consideration only of science.
For example, in rejecting the policy concerns
expressed by EPA in its 2003 denial of the
rulemaking petition, the Court noted that ‘‘it
is evident [the policy considerations] have
nothing to do with whether greenhouse gas
emissions contribute to climate change. Still
less do they amount to a reasoned
justification for declining to form a scientific
judgment. Id. at 533–34 (emphasis added).
Moreover, the Court also held that
‘‘[t]he statutory question is whether
sufficient information exists to make an
endangerment finding’’ Id. at 534. 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
question here’’ (74 FR 66501, December
15, 2009).
Furthermore, EPA noted the following
when responding to comments arguing
that EPA should consider the impact of
regulating GHGs when determining
whether they endanger public health
and welfare:
‘‘At their core, these comments are not
about whether commenters believe
greenhouse gases may reasonably be
anticipated to endanger public health or
welfare, but rather about commenters’
dissatisfaction with the decisions that
Congress made regarding the response to any
endangerment finding that EPA makes under
CAA section 202(a). * * *
What these comments object to is that
Congress has already made some decisions
about next steps after a finding of
endangerment, and the commenters are
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displeased with the results. But if this is the
case, commenters should take up their
concerns with Congress, not EPA. EPA’s
charge is to issue new motor vehicle
standards under CAA section 202(a)
applicable to emissions of air pollutants that
cause or contribute to air pollution which
may reasonably be anticipated to endanger
public health or welfare. It is not to find that
there is no endangerment in order to avoid
issuing those standards, and dealing with any
additional regulatory impact.
Indeed, commenters’ argument would
insert policy considerations into the
endangerment decision, an approach already
rejected by the Supreme Court. First, as
discussed in Section I.B of these Findings, in
Massachusetts v. EPA, the court clearly
indicated that the Administrator’s decision
must be a ‘‘scientific judgment.’’ 549 U.S. at
534. She must base her decision about
endangerment on the science, and not on
policy considerations about the
repercussions or impact of such a finding’’
74 FR at 66515; December 15, 2009).
Thus, petitioners are wrong in their
claim that either EPA statements in the
Proposed Tailoring Rule, or comments
received thereon, regarding potential
implementation difficulties in the PSD
or title V permitting programs are
legally relevant at all, let alone of
central relevance, to EPA’s
Endangerment Findings.48 The agency’s
statements in the Findings that it ‘‘does
not believe that the impact of regulation
under the CAA as a whole * * * will
lead to the panoply of adverse
consequences that commenters predict,’’
and that ‘‘EPA has and will continue to
take a measured approach to address
greenhouse gas emissions’’ do not mean
that EPA gave ‘‘credence and expression
to one key negative impact’’ as one
petitioner alleges. Ohio Coal Supp. at
15. These statements, which
immediately follow EPA’s explanation
of how the Administrator must look at
the science and not policy
consideration, are merely EPA’s
response to the dire predictions
submitted by commenters. EPA did not
and could not consider such impacts in
making its science based judgment on
endangerment.
EPA further disagrees with the
arguments that it must grant
48 We note that EPA has addressed the concerns
about the approach set forth in the Proposed
Tailoring Rule raised by state permitting
authorities. In response to the very comments raised
by petitioners here, as well as other comments, EPA
revised its approach for implementing its tailoring
rule approach to allow for faster state adoption of
the solution. Final Prevention of Significant
Deterioration (PSD) and Title V Greenhouse Gas
Tailoring Rule 75 FR at 31518, 31579–84 (June 3,
2010) (Final Tailoring Rule). Moreover, EPA also
finalized applicability thresholds that are higher
than those proposed, and otherwise refined the
phase-in of permitting for GHGs to better
accommodate the workload. Id. at 31523–25.
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reconsideration and reopen the Findings
because since the close of the comment
period EPA has recognized that the
Findings would lead to the LDVR,
which triggers the PSD and title V
requirements, which in turn would give
rise to ‘‘absurd results’’ in the permitting
provisions applicable to some stationary
sources. The fact that the impacts from
PSD and title V permitting may be
absurd does not mean that EPA can
reinterpret section 202(a) to allow the
consideration of those absurd results,
and then find no endangerment or avoid
making a determination on
endangerment.
What petitioners fail to analyze is
how, given the overwhelming science
supporting the endangerment finding
(see above), EPA could decline to issue
the Findings because of policy/
implementation concerns unrelated to
the science and unrelated to the
question of whether there is
endangerment, and not violate the
Supreme Court’s decision in
Massachusetts v. EPA. As discussed
above, EPA disagrees with petitioners
who argue that ‘‘Massachusetts requires
EPA to carefully consider [the absurdity
doctrine] implications for the Agency’s
overall statutory interpretation.’’
Chamber at 13. The Supreme Court was
clear that GHG fit within the definition
of ‘‘air pollutant’’ under the CAA, and
that when considering the question of
endangerment the Administrator may
consider only the science. EPA ‘‘must
ground its reasons for action or inaction
in the statute,’’ and the statutory
endangerment provision in section
202(a) required that EPA’s ‘‘exercise of
judgment must relate to whether an air
pollutant ‘cause[s], or contribute[s] to,
endangerment.’’ This was a ‘‘direction to
exercise discretion within defined
statutory limits,’’ and the Court
explicitly rejected EPA’s authority to
exercise its judgment for policy reasons
not related to ‘‘compl[iance] with this
clear statutory command.’’
Massachusetts at 532–533. Petitioners
would have us ignore the clear mandate
of the Court’s decision on the premise
that if the case had been argued
differently, the Court would have
rendered a different opinion. EPA
reasonably followed the instructions
from the Supreme Court as provided in
Massachusetts.
Even if EPA had the authority and
could reconsider its statutory authority
under CAA section 202(a) in light of the
absurdity doctrine, rather than follow
petitioners’ implied approach, EPA
would follow the approach set out in
the Final Tailoring Rule—a narrow
solution that focuses on that part of the
CAA where the absurdity originates.
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EPA’s approach balances the goal of
improving public health and the
environment by tackling air pollution
problems with the goal of avoiding
absurd results.49 Petitioners would
apply the absurd results doctrine too
broadly, undertaking a sweeping
approach that negates any and all
regulation of GHGs under the CAA in
order to avoid problems that have arisen
in specific programs. EPA’s targeted use
of the absurd results doctrine in the
Tailoring Rule is the better approach to
reconciling all its obligations under the
CAA. EPA has interpreted the statute as
a whole, and interpreted it in a manner
that does not allow difficulties in one
program to nullify the various other
Congressional provisions that may be
relevant to climate change under the
CAA.
Applying the Chevron two step test,
EPA must, at Step 1, determine
Congressional intent. Chevron U.S.A. v.
NRDC, 467 U.S. 837 (1984). 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.’’ Final Tailoring
Rule, 75 FR at 31517. Looking at section
202(a) of the CAA, congressional intent
appears clear, under Chevron Step 1,
that Congress intended the
Administrator to regulate emissions of
air pollutants from new motor vehicles
if the Administrator found that such
emissions cause or contribute to air
pollution which endangered public
health or welfare. The Supreme Court
stated that ‘‘[i]f EPA makes a finding of
endangerment, the Clean Air Act
requires the agency to regulate
emissions of the deleterious pollutant
from new motor vehicles.’’
Massachusetts at 533. Moreover, the
49 In response to objections which are based in
part on allegations that EPA must reconsider its
final decision because new evidence allegedly
shows that the LDVR will not get meaningful
reductions, EPA has already stated in the final
Findings that it does not need to find that any
attendant regulations flowing from an
endangerment finding would ‘‘fruitfully attack’’ or
prevent at least a substantial part of the danger in
order to find endangerment. 74 FR at 66507–08.
Moreover, contrary to one petitioner’s implied
allegation, EPA did not consider the benefits
resulting from stationary source emissions
reductions when issuing the Findings, and the
petitioner did not point to any evidence that EPA
did base the Findings on such considerations.
Finally, to the extent petitioners are arguing that
EPA should reevaluate its approach to absurd
results because there is little environment or public
health benefit from the LDVR which followed the
Findings, EPA disagrees. See Section IV.B
responding to comments regarding NHTSA rules.
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Supreme Court has held that when
making the endangerment finding the
Administrator must look only at the
science. There are no absurd results in
the specific actions under section 202(a)
of either issuing an endangerment
finding itself or in issuing standards
applicable to GHG emissions from new
motor vehicles. The absurd results stem
from the contents of other statutory
provisions, the PSD and Title V
provisions discussed in the Tailoring
Rule, not section 202(a). Even for those
provisions, in the Final Tailoring Rule
EPA specifically determined that the
PSD and title V provisions indicate a
clear congressional intent to cover at
least the largest sources of GHGs under
these programs. Id. at 31517. Taking all
of these facts together, EPA’s approach
to utilization of the absurdity doctrine
gives the greatest effect to the various
provisions of the CAA and the overall
congressional intent under the CAA, by
minimizing the scope of limitation on
statutory provisions in the application
of the absurd results doctrine.
As EPA discussed in the Tailoring
Rule:
‘‘[i]n determining and implementing
congressional intent, it is important that the
statutory provisions at issue be considered
together—(1) The obligation to make a
determination on endangerment and
contribution under CAA section 202(a); (2) if
affirmative endangerment/cause or contribute
findings are made, the obligation to
promulgate standards applicable to the
emissions of any such air pollutant from new
motor vehicles or new motor vehicle engines
under CAA section 202(a); and (3) the PSD
and title V applicability provisions. The most
appropriate reading, and certainly a
reasonable reading, is that we are required to
take the action we have taken, that is to issue
the findings, promulgate the LDVR, and
promulgate the Tailoring Rule. Our approach
gives effect to as much of Congress’s intent
for each of these provisions, and the CAA as
whole, as possible.
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, as discussed above,
EPA determined that the Agency was
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 66515–16, December 9,
2009) (The Administrator ‘‘must base her
decision about endangerment on the science,
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and not on the policy considerations about
the repercussions or impact of such a
finding.’’). 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.’’ (75 FR 31574, June
3, 2010)(footnote omitted).50
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The petitioners merely continue to
disagree with EPA’s interpretation of the
Supreme Court decision and question
EPA’s ability to address permitting
concerns, rather than provide anything
new in their petitions on this topic.
To the extent the petitioners are
requesting that EPA reconsider and
defer or forego issuance of the Findings
to avoid causing an absurd result from
implementation of the separate PSD and
title V programs until such time as EPA
could fully implement these programs
without an absurd result, underlying
this claim is the assumption that this
approach would allow EPA to avoid the
‘‘absurd results’’ that are discussed in the
Tailoring Rule, which states:
‘‘* * * 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
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
50 This reasonable and common-sense approach
includes the kind of step by step approach that
includes regulation of GHG emissions from new
motor vehicles, as described by Justice Stevens in
Massachusetts, when discussing the issue of
standing. Id. at 524.
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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 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
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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 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 CAA 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.’’ (75 FR 31575–56; June 3, 2010).
As explained above, EPA is resolving
the absurdity caused by the statutory
thresholds in the PSD and title V
permitting programs not by avoiding an
endangerment finding or avoiding all
regulation under the CAA, but rather by
interpreting the statute in a way that
gives effect to the greatest extent
possible to both section 202(a) and the
applicable permitting provisions. This
gives the greatest effect possible to the
congressional intent about addressing
air pollutant problems that endanger
public health and welfare, while also
focusing the permitting programs, at
least initially, on large stationary
sources. EPA’s targeted use of the
absurd results doctrine in the Tailoring
Rule is a reasonable approach to
reconcile the various statutory
obligations under the CAA at issue here.
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EPA also disagrees with petitioners
who argue either implicitly or explicitly
that EPA has admitted, through its
invocation of the absurd results doctrine
in the Proposed Tailoring Rule, that it
cannot regulate GHGs under the CAA
without violating the statute. While, in
the Tailoring Rule, EPA has noted that
applying the statutory thresholds in the
PSD and title V programs to greenhouse
gases immediately for all sources would
present problems, and may indeed lead
to absurd results even in the long run,
EPA did not and does not take the
position that all regulation of GHGs
under the CAA leads to absurd results
or is illegal. In fact, just the opposite is
true. EPA has issued reasonable,
effective GHG emissions standards for
light duty vehicles, and has announced
plans for further GHG emissions
standards for later model year light-duty
vehicles. EPA also plans to propose the
same for heavy-duty motor vehicles.
Moreover, by applying, inter alia, the
doctrines of absurd results and
administrative necessity, EPA has been
able to avoid the absurd results that
could arise from applying the statutory
thresholds for PSD and title V to
greenhouse gases.51 The concept behind
the absurd results doctrine is that an
agency can (if not must) ignore the
literal meaning of a statute in order to
effectuate congressional intent. That is
exactly what EPA’s approach does—
ignore only the statutory thresholds for
PSD and title V in order to effectuate
congressional intent under the CAA as
a whole. EPA’s reliance on one or more
doctrines of administrative law when
interpreting the statute is not evidence
of the illegality of EPA’s actions; rather
it is evidence of the reasonable
approach EPA took to interpreting and
implementing the statute.
Finally, EPA is also denying the
petitions because, while the Tailoring
Rule was proposed after the close of the
comment period for the Findings, EPA
discussed the impact of applying the
PSD and title V statutory thresholds to
GHGs, and the potential need to tailor
those programs as appropriate, in the
July 2008 ANPR. 73 FR 44354, 44497–
514, 44503 (‘‘we have identified two
51 Contrary to one petitioner’s argument, EPA did
not craft the Tailoring Rule in response to the global
nature of greenhouse gas concentrations and
climate change. Rather, it is the much higher
amounts at which greenhouse gases are emitted by
stationary sources, compared to existing criteria and
other regulated air pollutants, that necessitated
EPA’s reasonable approach to permitting. The
absurdity that EPA was trying to avoid was
permitting stationary sources much smaller than
Congress intended when writing the permitting
provisions of the CAA. The global nature of
greenhouse gases and climate change was not the
reason for the Tailoring Rule.
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legal doctrines that may provide EPA
with discretion to tailor the PSD
program to GHGs: Absurd results and
administrative necessity.’’), 44512
(discussing same legal theories in
context of title V). Indeed, EPA received
comments from some of the same
entities that are petitioning for
reconsideration now regarding the
Agency’s position about its ability to
craft a reasonable approach to
addressing GHGs under the CAA,
including the CAA permitting programs.
See, e.g., Comments submitted by Marlo
Lewis for the Competitive Enterprise
Institute (EPA–HQ–OAR–2009–0171–
2898.1). Thus, while EPA itself may
have elaborated regarding the potential
for absurd results from GHG permitting
at the statutory thresholds in the
Proposed Tailoring Rule, the issue was
not raised for the first time in the
Tailoring Rule; it had already been
raised in the ANPR, and there was
nothing preventing petitioners from
commenting on the issue in their
comments on the proposed Findings (as
indeed some did). Commenters on the
proposed Findings also argued that the
Supreme Court was unaware of the
impacts of the permitting programs
when deciding Massachusetts. RTC
Volume 11 at 5. Thus, objections based
on the need to apply the absurd results
doctrine to the PSD and title V
programs, and on arguments related to
how EPA defended its actions in
Massachusetts, could have been (and
indeed were) raised during the comment
period on the Findings and are not
appropriately raised in petitions for
reconsideration.
B. NHTSA Rule
The Chamber of Commerce raised
objections based on the authority of the
National Highway Traffic Safety
Administration (NHTSA) to issue
Corporate Average Fuel Economy
(CAFE) standards for new motor
vehicles. Specifically, the Chamber
argued that the federal government must
choose between two alternative
regulatory approaches: Seeking to
regulate GHG emissions using NHTSA’s
authority, under EPCA as revised by
EISA or, alternatively, regulating such
emissions on authority of Title II of the
CAA. According to the Chamber,
NHTSA has recently acknowledged it
has adequate legal authority under
EPCA and EISA to regulate greenhouse
gas emissions, independent from EPA’s
authority under CAA section 202(a),
therefore EPA must reconsider the
Endangerment Finding because it
cannot claim to generate the public
health benefits from CAA mobile source
GHG emissions reductions. The
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49589
Chamber argues that according to EPA,
the Endangerment Finding, standing
alone, produces no current public
health or welfare benefits but will
instead produce such benefits in the
future, but only if it effectively serves as
a precondition for the regulation of GHG
emissions from new motor vehicles or
some other category of emission
sources. Thus, the Chamber concludes,
EPA has justified the Endangerment
Finding as a means to the end of new
motor vehicle regulation.
The Chamber claims that this core
rationale for EPA’s Endangerment
Finding and regulatory program can no
longer bear scrutiny. It argues that if
EPA affirmatively wishes to pursue an
Endangerment Finding to regulate
emissions from new motor vehicles, it
must explain what it can add to a
NHTSA-only rulemaking. According to
the Chamber, EPA may not rely on a
presumed need for motor vehicle
regulations that could be accomplished
through NHTSA regulations alone.
(Chamber, 19–23)
Petitioner claims that EPA issued and
justified the Endangerment Finding
based on the need for emissions
reductions from EPA regulation of new
motor vehicles, and the expectation that
such EPA regulation would achieve the
expected emissions reductions. That
argument mischaracterizes EPA’s
position.
Consistent with the statutory
language, legislative history and
Supreme Court case law, EPA
determined whether atmospheric
concentrations of greenhouse gases are
reasonably anticipated to endanger
public health or welfare, and based that
determination on the scientific and
other evidence relevant to the issues of
endangerment. As EPA made clear, CAA
section 202(a) limited the issues EPA
could consider in making a
determination concerning
endangerment, and they did not include
consideration of the degree of
reductions that would reasonably be
achieved by regulations to control
emissions from new motor vehicles.
EPA clearly stated that:
‘‘As the Supreme Court made clear in
Massachusetts v. EPA, EPA’s judgment in
making the endangerment and contribution
findings is constrained by the statute, and
EPA is to decide these issues based solely on
the scientific and other evidence relevant to
that decision. EPA may not ‘‘rest[] on
reasoning divorced from the statutory text,’’
and instead EPA’s exercise of judgment must
relate to whether an air pollutant causes or
contributes to air pollution that endangers.
Massachusetts v. EPA, 549 U.S. at 532. As
the Supreme Court noted, EPA must
‘‘exercise discretion within defined statutory
limits.’’ Id. at 533. EPA’s belief one way or
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the other regarding whether regulation of
greenhouse gases from new motor vehicles
would be ‘‘effective’’ is irrelevant in making
the endangerment and contribution decisions
before EPA. Id. Instead ‘‘[t]he statutory
question is whether sufficient information
exists to make an endangerment finding’’ Id.
at 534.
The effectiveness of a potential future
control strategy is not relevant to deciding
whether air pollution levels in the
atmosphere endanger. It is also not relevant
to deciding whether emissions of greenhouse
gases from new motor vehicles contribute to
such air pollution. Commenters argue that
Congress implicitly imposed a third
requirement, that the future control strategy
have a certain degree of effectiveness in
reducing the endangerment before EPA could
make the affirmative findings that would
authorize such regulation. There is no
statutory text that supports such an
interpretation, and the Supreme Court makes
it clear that EPA has no discretion to read
this kind of additional factor into CAA
section 202(a)’s endangerment and
contribution criteria. In fact, the Supreme
Court rejected similar arguments that EPA
had the discretion to consider various other
factors besides endangerment and
contribution in deciding whether to deny a
petition. Massachusetts v. EPA, 549 U.S. at
532–35.’’ (74 FR 66496, 66507–8; December
15, 2009).
This excerpt was in response to
comments arguing that EPA should take
into account the emissions impacts of
EPA’s then upcoming rule to control
emissions of greenhouse gases from
light-duty vehicles and trucks, and
consider that the CAFE standards issued
by NHTSA would effectively achieve
the same reductions. Id. at 66501,
66507. Just as the effectiveness of future
motor vehicle regulations was not
relevant to determining endangerment,
EPA made it clear that CAA section
202(a) did not allow EPA to consider
issues such as future adaptation and
mitigation, which reflected how society
responded to the issue of endangerment,
not whether endangerment existed. Id.
at 66512–514.
Thus, it is clear that EPA did not
justify or base its Endangerment Finding
on either the need for emissions
reductions from EPA regulations of new
motor vehicles, or the expectation that
such an EPA regulation would achieve
emissions reductions. EPA rejected
suggestions during the rulemaking that
EPA refrain from issuing and
Endangerment Finding because NHTSA
has the authority to issue CAFE
standards that also reduce greenhouse
gases, as discussed above. The Chamber
is raising basically the same issue raised
in the rulemaking, and has presented no
reason that would support any different
response. EPA is rejecting Chamber’s
request for the same reasons it rejected
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these same kinds of requests in the
rulemaking.
It is also clear that it was eminently
practicable for the Chamber to raise this
issue in the comment period. As
described above, various commenters
pointed to NHTSA’s separate authority,
and argued that NHTSA would
effectively achieve the same reductions
as EPA, undermining the basis for EPA’s
Endangerment Finding. Id. at 66507.
Also see 66544, in the context of the
Contribution Finding. The Chamber
raises the same kind of objection here,
and could have raised it during the
comment period. While they point to a
subsequent statement by NHTSA
indicating that NHTSA’s statutory
authority is separate from EPA’s, that is
not new or different information
concerning NHTSA’s authority and does
not change the nature of the Chamber’s
objection. Their failure to raise their
objection in a timely manner is another
reason to reject their request to
reconsider on these grounds.
As part of their argument, the
Chamber claims that EPA must explain
what it can add to a NHTSA-only
rulemaking. This is one part of the
argument raised above, and is rejected
for the same reasons. As with the
arguments discussed above, the
Chamber could have raised this
argument during the comment period,
and the failure to do so is another
reason to reject their request to
reconsider on these grounds.
In any case, EPA has explained in
detail how the recently issued
regulations under CAA section 202(a) to
control emission of greenhouse gases
from light-duty vehicles and trucks
differ from NHTSA’s CAFE program for
the same vehicles, and why it was
important for EPA to issue its rule. In
the final rule issuing greenhouse gas
emissions standards for new motor
vehicles, EPA responded to comments
that it should delay issuance of the
motor vehicle standards until a later
time, to avoid concerns over stationary
source permitting impacts. EPA stated:
‘‘[The Supreme Court in Massachusetts]
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
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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
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. 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’’ (75 FR 25314, 25402; May
7, 2010).
EPA also noted that the greenhouse
gas standards issued by EPA achieved
greater overall reductions in greenhouse
gases than NHTSA’s CAFE standards. Id
at n.165, 25402; also see 25397, 25549–
50. Thus, EPA has explained in full the
reasons for refusing to delay issuance of
EPA’s motor vehicle emissions
standards, and what EPA’s rule adds to
NHTSA’s CAFE rule. As noted above,
these issues are not relevant to the
issues EPA considers in making a
determination on endangerment under
CAA section 202(a).
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C. Other Issues
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1. Effects of the Findings and
Subsequent Rulemakings on States and
Businesses
Many of the petitioners provide
detailed information regarding the
impact that they allege would flow from
the Findings; these discussions are in
addition to arguments based on the
Proposed Tailoring Rule (see Section
IV.A of this Notice for the response to
the arguments based on the Proposed
Tailoring Rule). For example, the State
of Texas, in addition to providing
information regarding efforts the State
has made to address GHGs, details harm
it predicted could occur to the State
through allegedly adverse impacts to its
farming and ranching, mineral interest
revenue stream, and oil and gas sector.
Texas at 5–7, 32–34. The State also
discusses what it describes as the
‘‘fallout’’ from the Findings. Id. at 34–38.
More specifically, the State of Texas
discusses resolutions and bills that have
been introduced in the U.S. House of
Representatives and the U.S. Senate,
comments from the Small Business
Administration’s Office of Advocacy on
the Proposed Tailoring Rule,52 and
various inquiries into, or statements
about, the CRU e-mails and IPCC.
The State of Virginia, while not
providing any additional information
regarding the alleged impacts of the
Findings, states that ‘‘EPA’s remote
finding of endangerment to health and
welfare fail to consider and properly
weigh the offsetting harms to health and
welfare necessarily flowing from
economically destructive regulation.’’
Virginia at 3.
The petitioners’ information regarding
the impact to petitioners and others
often follows sections of the petitions in
which petitioners raise allegedly new
concerns with the science underlying
the Findings. The information regarding
the impact from the Findings is most
often provided in order to emphasize to
EPA the necessity of reconsidering the
Findings based on those earlier
concerns.53 See, e.g., Texas at 35 (‘‘In
light of these * * * concerns * * * the
Administrator’s improper handling of
the scientific assessment process takes
on an even greater meaning.’’); Letter
from WV Coal Assn. at 1 (‘‘EPA’s
findings would have a grave impact on
52 The State of Texas stated that this letter was
provided to the endangerment docket (EPA–HQ–
OAR–2009–0171), but it was actually submitted to
the docket for the Proposed Tailoring Rule (EPA–
HQ–OAR–2009–0571).
53 Petitioners also provide this information in the
context of requesting an administrative stay of the
Findings from EPA. See Section II for a discussion
of EPA’s denial of these stay requests.
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our industry and the thousands of West
Virginians who depend on the
production and use of our high quality
coal everyday * * *. This makes it all
the more important that EPA suspend
its decision and reconsider it in light of
these important new developments.’’).
The objections based either explicitly
or implicitly on EPA’s decision to not
consider the impacts of greenhouse gas
regulations when making the Findings
could have been, and indeed were,
raised during the public comment
period on the Findings. Thus, they are
not properly raised in CAA section
307(d) petition for reconsideration and
are therefore denied.
Moreover, as discussed elsewhere in
this Decision and supporting material,
this information is essentially irrelevant
to the scientific based questions before
EPA when making the endangerment
and contribution findings. EPA already
explained in the Findings how the
potential impacts from the regulations
that may follow an endangerment
finding are not proper considerations
when determining whether GHGs may
reasonably be anticipated to endanger
public health or welfare. See generally,
74 FR at 66515–16; see also id. at 66515
(The Administrator ‘‘must base her
decision about endangerment on the
science, and not on policy
considerations about the repercussions
or impact of such a finding.’’); id. at
66516 (‘‘Therefore, it is reasonable to
interpret the endangerment test as not
requiring the consideration of the
impacts of implementing the statute in
the event of an endangerment finding as
part of the endangerment finding
itself.’’).
Finally, as detailed elsewhere in this
Decision and RTP document, the CRU emails and other scientific information
provided by the petitioners do not call
into question the underlying science,
EPA’s reliance on it, or the
Administrator’s final determination.
2. A Formal Rulemaking Process Is Not
Required
One petitioner discusses why EPA
should not only reconsider the
Findings, but also utilize the formal
rulemaking process in the
reconsideration proceedings. Peabody
Energy at IX–9 to IX–18. Essentially, the
petitioner believes that the questions
raised by the CRU e-mails and errors in
IPCC AR4 are so serious that EPA’s
responsibilities to address them can be
discharged only through granting
reconsideration, and undertaking a
formal rulemaking process. More
specifically, the petitioner states that
‘‘[a]n on-the-record proceeding is
necessary to rectify the substantial flaws
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in the process that EPA has employed,
flaws that stem from the abuses
infecting the studies on which the
Endangerment Finding is principally
based.’’ Peabody Energy at IX–9.
In support of its argument, petitioner
first notes that while EPA may not be
required by the CAA to undertake an
on-the-record proceeding, nothing
prohibits EPA from undertaking more
process than is required by statute. Id.
at IX–9 to IX–10. The petitioner then
argues that case law and ‘‘other
authoritative guidance,’’ specifically
guidance from the Administrative
Conference of the United States (ACUS),
‘‘make clear than an evidentiary
hearing’’ on the petitions for
reconsideration is warranted. Id. at IX–
10. The petitioner contends that a
formal evidentiary hearing will fix
EPA’s record, which they claim is
‘‘wholly inadequate’’ and cannot justify
finding endangerment to public
health.54 More specifically, they claim
that a ‘‘responsive thrust and parry’’
about the science underlying the
Administrator’s decision, including
‘‘secondary sources’’ such as the IPCC,
should occur and that the informal
rulemaking proceeding EPA undertook
does not allow for this. Peabody Energy
at IX–16.
Comments suggesting that EPA
undertake a formal rulemaking process,
not only could have been raised, but
were raised, during the comment period
for the Findings. 74 FR at 66504–05,
66510–12. Thus, they are not
appropriately raised in petitions for
reconsideration. Please see the above
portions of the Findings, RTC Volume 1,
and Section III of this Decision for
further discussion on why EPA’s denial
of the request for formal hearing in the
Findings, and the agency’s continued
reliance on the assessment reports, is
reasonable.
To the extent that the petitioners are
re-raising these comments in light of the
CRU e-mails and IPCC developments,
and asking for EPA to reconsider its
prior denial of the request for a formal
rulemaking hearing, for the reasons
explained elsewhere in this Decision
and supporting materials, these
materials do not necessitate EPA
granting reconsideration, let alone
initiating the exceedingly rare process of
a formal, on-the-record rulemaking.
When all is said and done, the CRU emails and IPCC errors do not call into
question the science supporting the
Administrator’s decision. They surely
do not rise to the level of ‘‘extremely
54 EPA responds to the argument regarding the
public health finding in section IV.B.I of the
Findings and Volume 5 of the RTC document.
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compelling circumstances’’ that
petitioner argues would justify a court
dictating that EPA undertake formal
rulemaking procedures. Peabody Energy
at IX–10.
Petitioner argues that while EPA is
not required by the CAA to follow a
formal rulemaking process, EPA has the
authority to convene such a hearing and
nothing in the CAA should be read to
‘‘limit EPA’s discretion in deciding
whether to do so.’’ Peabody Energy at
IX–9. n. 494. The petition also notes that
EPA is equipped to undertake such a
hearing, citing the existing procedures
for adjudications, 40 CFR 22.3(a). While
EPA may have the discretion to provide
more process than the minimum
required by CAA section 307(d), EPA
notes that the petition does not discuss
how a formal on-the-record hearing
process would fit within the informal
rulemaking proceedings mandated by
the CAA. See 74 FR at 66505 (noting
that original request also did not discuss
how a formal hearing would fit with
CAA requirements). Nor does it discuss
how the 40 CFR part 22 regulations,
which are entitled ‘‘Consolidated Rules
of Practice Governing the
Administrative Assessment of Civil
Penalties and Revocation/Termination
or Suspension of Permits’’ and cover
administrative adjudicatory proceedings
for specifically delineated civil penalty
or permit actions, would authorize the
type of hearing petitioner suggests, or
even how they would work assuming
EPA chose to apply them as suggested
by petitioner.
The cases cited by petitioner stand for
the unsurprising proposition that some
circumstances justify more or different
procedures than others. But they do not,
as petitioner alleges, lead to the
inevitable conclusion that the only
reasonable recourse for EPA is to
undertake a formal rulemaking
process.55 Indeed, that would be a
55 The extremely compelling circumstances found
by courts in the cases cited by petitioners do not
exist here. See People of the State of Illinois v.
United States, 666 F.2d 1066, 1082–83 (7th Cir.
1981) (court relied upon a combination of unique
factors including that the Interstate Commerce
Commission had allowed cross-examination on
some information in an adjudicatory proceeding,
but not other similar information, and the crossexamination had been found to be ‘‘critical to
achieving an accurate determination of the facts.’’);
National Wildlife Federation v. Marsh, 721 F.2d
767, (11th Cir. 1983) (the court merely required the
Army Corps of Engineers to follow its own
longstanding internal procedures when issuing a
permit). EPA also notes that two of the cases the
petitioner cites for the proposition that ‘‘cross
examination is the most effective way to ascertain
the truth,’’ Peabody at IX–15, are criminal cases,
therefore it is not surprising that cross-examination
was at issue. The third, discussed above, involved
a decision in which the agency had already decided
to allow cross-examination. People, 666 at 1083.
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departure ‘‘from the very basic tenet of
administrative law that agencies should
be free to fashion their own rules of
procedure.’’ Vermont Yankee Nuclear
Power Corp. v. NRDC, 435 U.S. 519, 544
(1978). In Vermont Yankee the Supreme
Court rejected an argument similar to
that being made by petitioner here—that
the issues before the agency were so
complex and important that they
necessitated more process, including
cross-examination, even if such
procedures were beyond the minimum
required. Id. at 539–49. Also see
Kennecott, 684 F.2d at 1020 fn 33.
To the extent that petitioner argues
that EPA’s record is inadequate if it does
not include the ‘‘thrust and parry’’ of a
formal rulemaking hearing, with cross
examination, EPA disagrees. Congress
clearly indicated that the robust
informal rulemaking procedures of CAA
section 307(d) are appropriate for the
myriad complex issues that EPA must
address when issuing particular CAA
rules. Nothing that petitioners have
provided call into question EPA’s
decision to follow the clear direction
provided in section 307(d).
Indeed, the robust informal
rulemaking requirements of section
307(d) of the CAA ensure adequate and
appropriate notice and comment for
CAA decisions. See generally 74 FR
66500–05 (discussing the public
involvement in development of the
Findings, including EPA’s careful
review and response to more than
380,000 public comments). Moreover,
the section 307(d) reconsideration
process provides ample opportunity for
petitioners, and any other interested
party, to submit to EPA for
consideration new information which
they believe is of central relevance to
the Administrator’s final decision, and
hence necessitates reconsideration of
that decision. Other than continuing to
disagree with EPA’s denial of the
original request for a formal rulemaking,
and continuing to state its opinion that
the science and regulatory impact from
an endangerment finding demands more
process, petitioner has not demonstrated
why the clearly applicable procedures
of section 307(d) are inadequate, let
alone why only the rarely-used formal
rulemaking process is the only
reasonable path forward. Petitioners
have submitted over 500 pages of
reconsideration petitions, as well as
attachments consisting of hundreds of
pages that contain information
including dozens of studies, more than
300 pages of computer code, and more
than 1000 e-mails. Peabody Energy and
other petitioners have had a full
opportunity, both in the underlying
rulemaking and in the reconsideration
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process, to submit whatever information
or evidence they want concerning the
variety of scientific and other issues of
concern to them, such as those
identified at Peabody IX–12. EPA’s
lengthy and detailed Denial, including
this document and the RTP document,
carefully examines each objection raised
and explains why each objection is
untimely and/or not of central
relevance. The CAA reconsideration
process provides ample opportunity for
interested parties to present new
information to EPA, and for EPA to
examine that information. Petitioner has
not identified what cross examination it
thinks is required to ‘‘ensure that results
reached by EPA reflect scientific truths’’.
For example, do they envision cross
examination of all of the authors of the
thousands of studies discussed in the
rulemaking, or discussed in an
assessment report? Cross examination of
every author and other participant in an
assessment report? Cross examination of
agency scientists? And for all of these,
on what subjects and issues? The
administrative record includes the
assessment reports and their integration
of the science within areas of climate
research and across various areas of
climate research, as well as EPA’s TSD
and additional reports and studies
provided by commenters. The proposed
and final Findings also included the
Administrator’s judgments and
conclusions on all of this evidence.
Petitioners have failed to explain what
facts they would like cross examination
on, what witnesses they envision cross
examining, and how any such
examination would add in any way,
much less a practical way, to the ability
they already have, through submission
of comments and petitions to
reconsider, to attack and contest at
length any and all of these parts of the
informal rulemaking record. They have
failed to demonstrate how their broad,
general assertions of a better process
would actually work as a practical way
to better ensure the scientific integrity of
the record before the Agency. It is quite
reasonable for EPA to rely on the robust
and in-depth informal rulemaking
procedures followed in this rulemaking,
as mandated by Congress, rather than
embark on the rarely-used formal
rulemaking pathway.
As discussed in the final Findings, the
ACUS guidelines are non-binding
recommendations regarding ‘‘important
circumstances tending to suggest the
desirability of such procedural devices’’.
1 U.S.C. 305.76–3(1). EPA notes that the
ACUS recommendations cited by
petitioner are not specifically for the
formal rulemaking proceedings
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suggested by petitioner. Rather, they are
more general, for ‘‘[h]earing argument
and other oral presentation, when the
presiding agency official or officials may
ask questions, including questions
submitted by interested persons.’’ 1
U.S.C. 305.76–3(1)(f). The CAA requires
a hearing and opportunity for oral
presentation, CAA section 307(d)(5),
and EPA held two hearings during
which interested parties could present
their arguments and information and
EPA could ask questions. Thus, EPA has
already undertaken procedures similar
to those recommended by the ACUS.
Last, part of the recommendation of
the ACUS not raised by petitioner is the
following:
An agency should employ any of the
devices specified in paragraph 1 or permit
cross-examination only to the extent that it
believes that the anticipated costs (including
those related to increasing the time involved
and the deployment of additional agency
resources) are offset by anticipated gains in
the quality of the rule and the extent to
which the rulemaking procedure will be
perceived as having been fair.
1 U.S.C. 305.76–3(3).
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For all the reasons stated above, in the
final Findings, and elsewhere in this
document and supporting material, EPA
does not believe that the potential for
gains in the quality of the
Administrator’s decision, if any, would
offset the costs, both in terms of agency
resources and delay. Moreover, the
section 307(d) rulemaking process is
quite fair, providing adequate
opportunity for everyone, and not just
parties who could afford to participate
in a formal hearing, to present their
views. Contrary to petitioner’s
argument, it resulted in a record that is
both scientifically sound and adequate.
For all the foregoing reasons, the
request to reconsider its prior decision
and undertake a formal rulemaking,
evidentiary hearing process, is denied.
3. Discretion in Making an
Endangerment Finding
Peabody Energy argues that whatever
discretion EPA may have in making an
Endangerment Finding, it must justify
and defend the specific findings of
endangerment it actually made. More
specifically, Peabody Energy argues that
EPA did not assess the danger as low
risk/high magnitude. It found instead
both a high risk and high magnitude of
harm, citing the following quotes from
the Findings—‘‘[t]he scientific evidence
is compelling that elevated
concentrations of heat-trapping
greenhouse gases are the root cause of
recently observed climate change’’ and
‘‘[m]ost of the observed increase in
global average temperatures since the
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mid-20th century is very likely due to
the observed increase in anthropogenic
GHG concentrations,’’ with ‘‘very likely’’
defined as 90–99% probability. Thus,
they conclude, EPA must now defend
its high risk/high harm conclusion, even
if arguendo it had discretion to make a
lower finding of endangerment.
Peabody Energy argues that this
distinction between the Endangerment
Finding that EPA might be authorized to
make and the Endangerment Finding it
actually made is crucial in light of the
CRU material. Peabody contends that
even if EPA might still be able to make
an Endangerment Finding of some kind
(a fact that Peabody does not concede),
that would not justify the Endangerment
Finding that EPA actually made and
would not form a sufficient basis to
allow EPA to deny the petitions for
reconsideration. Peabody argues that the
regulation that EPA ultimately proposes
must be guided by the nature and extent
of the endangerment that EPA has
found, because a high risk/high
magnitude endangerment finding might
justify one level of regulation, while a
different finding might justify a different
level. Thus, Peabody Energy claims the
question that EPA must answer at the
endangerment phase is not just
‘‘endangerment, yes or no?,’’ but
specifically what type of endangerment.
In that context, Peabody Energy argues
that the revelations in the CRU material
mean that EPA must reconsider its
Endangerment Finding no matter what
level of legal discretion the Agency has.
Peabody Energy at IX–6 to 9.
Peabody Energy vastly oversimplifies
the basis for EPA’s Endangerment
Finding, characterizing it as a simple
‘‘high risk/high magnitude’’ decision.
With respect to existence of climate
changes and attribution to
anthropogenic emissions of greenhouse
gases, the Administrator concluded that:
the scientific evidence linking human
emissions and resulting elevated atmospheric
concentrations of the six well-mixed
greenhouse gases to observed global and
regional temperature increases and other
climate changes to be sufficiently robust and
compelling.
74 FR at 66523.
Based on this, the Administrator
considered a wide variety of categories
of public health and welfare that could
be affected by the climate changes. The
Administrator:
considered the state of the science on how
human emissions and the resulting elevated
atmospheric concentrations of well mixed
greenhouse gases may affect each of the
major risk categories, i.e., those that are
described in the TSD, which include human
health, air quality, food production and
agriculture, forestry, water resources, sea
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49593
level rise and coastal areas, the energy sector,
infrastructure and settlements, and
ecosystems and wildlife. The Administrator
understands that the nature and potential
severity of impacts can vary across these
different elements of public health and
welfare, and that they can vary by region, as
well as over time.
Id at 66509.
For each of these categories the
Administrator took into account the
varying degree of certainty of an impact
as well as the potential magnitude of an
impact. She considered both beneficial
as well as adverse impacts. Id at 66524–
537. There was no simple ‘‘high risk/
high magnitude’’ paradigm. Instead, the
Administrator was aware that:
because human-induced climate change has
the potential to be far reaching and multidimensional, not all risks and potential
impacts can be characterized with a uniform
level of quantification or understanding, nor
can they be characterized with uniform
metrics. Given this variety in not only the
nature and potential magnitude of risks and
impacts, but also in our ability to
characterize, quantify and project into the
future such impacts, the Administrator must
use her judgment to weigh the threat in each
of the risk categories, weigh the potential
benefits where relevant, and ultimately judge
whether these risks and benefits, when
viewed in total, are judged to be
endangerment to public health and/or
welfare.
Id at 66523–24.
Instead of the simple approach
described by Peabody Energy, the
Administrator properly exercised her
judgment by taking into consideration
the complexity and breadth of the range
of risks and harms presented by the
evidence.
In this context, Peabody Energy and
other petitioners focus their arguments
and claims almost exclusively on the
question of the existence of climate
change and its attribution to
anthropogenic emissions of greenhouse
gases. After considering their claims,
EPA is denying the petitions to
reconsider for the reasons described
above. They have not provided
substantial support for the argument
that the Endangerment Finding should
be revised, and EPA continues to find
that the ‘‘scientific evidence linking
human emissions and resulting elevated
atmospheric concentrations of the six
well-mixed greenhouse gases to
observed global and regional
temperature increases and other climate
changes to be sufficiently robust and
compelling.’’
In sum, contrary to Peabody Energy’s
assertion EPA did not employ a
simplified ‘‘high risk/high magnitude’’
paradigm in making the Endangerment
Finding. Instead the Administrator
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carefully and comprehensively
considered the recognized broad range
of varying risks and harms across
multiple sectors of public health and
welfare. In addition, EPA is not now
changing its Endangerment Finding or
using its discretion under section 202(a)
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to base it on a ‘‘lower finding of
endangerment’’.
V. Conclusion
For all of the reasons discussed above
and in the accompanying RTP
document, the petitions to reconsider
the Endangerment and Cause or
Contribute Findings for Greenhouse
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Gases under Section 202(a) of the Clean
Air Act are denied, as are the petitions
for an administrative stay.
Dated: July 29, 2010.
Lisa P. Jackson,
Administrator.
[FR Doc. 2010–19153 Filed 8–12–10; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 75, Number 156 (Friday, August 13, 2010)]
[Rules and Regulations]
[Pages 49556-49594]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-19153]
[[Page 49555]]
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Part II
Environmental Protection Agency
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40 CFR Chapter 1
EPA's Denial of the Petitions To Reconsider the Endangerment and Cause
or Contribute Findings for Greenhouse Gases Under Section 202(a) of the
Clean Air Act; Final Rule
Federal Register / Vol. 75 , No. 156 / Friday, August 13, 2010 /
Rules and Regulations
[[Page 49556]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Chapter 1
[EPA-HQ-OAR-2009-0171; FRL-9184-8]
EPA's Denial of the Petitions To Reconsider the Endangerment and
Cause or Contribute Findings for Greenhouse Gases Under Section 202(a)
of the Clean Air Act
AGENCY: Environmental Protection Agency (EPA).
ACTION: Notice, denial of petitions to reconsider.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is denying the
petitions to reconsider the Endangerment and Cause or Contribute
Findings for Greenhouse Gases under Section 202(a) of the Clean Air
Act. The Findings were signed by the Administrator on December 7, 2009.
EPA has carefully reviewed all of the petitions and revisited both the
scientific record and the Administrator's decision process underlying
the Findings in light of these petitions. EPA's analysis of the
petitions reveals that the petitioners have provided inadequate and
generally unscientific arguments and evidence that the underlying
science supporting the Findings is flawed, misinterpreted or
inappropriately applied by EPA. The petitioners' arguments fail to meet
the criteria for reconsideration under the Clean Air Act. The science
supporting the Administrator's finding that elevated concentrations of
greenhouse gases in the atmosphere may reasonably be anticipated to
endanger the public health and welfare of current and future U.S.
generations is robust, voluminous, and compelling, and has been
strongly affirmed by the recent science assessment of the U.S. National
Academy of Sciences.
DATES: This denial is effective July 29, 2010.
ADDRESSES: EPA's docket for this action is Docket ID No. EPA-HQ-OAR-
2009-0171: All documents in the docket are listed on the https://www.regulations.gov Web site. Although listed in the index, some
information is not publicly available, e.g., confidential business
information (CBI) or other information whose disclosure is restricted
by statute. Certain other material, such as copyrighted material, is
not placed on the Internet and will be publicly available only in hard
copy form. Publicly available docket materials are available either
electronically through https://www.regulations.gov or in hard copy at
EPA's Docket Center, Public Reading Room, EPA West Building, Room 3334,
1301 Constitution Avenue, NW., Washington, DC 20004. This Docket
Facility is open from 8:30 a.m. to 4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone number for the Public Reading
Room is (202) 566-1744, and the telephone number for the Air Docket is
(202) 566-1742.
FOR FURTHER INFORMATION CONTACT: Jeremy Martinich, Climate Change
Division, Office of Atmospheric Programs (MC-6207J), Environmental
Protection Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460;
telephone number: (202) 343-9927; fax number: (202) 343-2202; e-mail
address: ghgendangerment@epa.gov. For additional information regarding
this Notice, please go to the Web site https://www.epa.gov/climatechange/endangerment.html.
SUPPLEMENTARY INFORMATION:
Acronyms and Abbreviations. The following acronyms and
abbreviations are used in this Decision.
ACUS Administrative Conference of the United States
ANPR Advance Notice of Proposed Rulemaking
APA Administrative Procedure Act
CAA Clean Air Act
CAFE Corporate Average Fuel Economy
CAIT Climate Analysis Indicators Tool
CBI confidential business information
CCSP Climate Change Science Program
CFR Code of Federal Regulations
CH4 methane
CO2 carbon dioxide
CRU Climatic Research Unit
DOT U.S. Department of Transportation
EISA Energy Independence and Security Act
EO Executive Order
EPA U.S. Environmental Protection Agency
EPCA Energy Policy and Conservation Act
FOIA Freedom of Information Act
FR Federal Register
GHG greenhouse gas
HadCRUT Climatic Research Unit (CRU) temperature record
ICTA International Center For Technology Assessment
IPCC Intergovernmental Panel on Climate Change
MWP Medieval Warm Period
N2O nitrous oxide
NAAQS National Ambient Air Quality Standards
NAS National Academy of Sciences
NASA National Aeronautics and Space Administration
NHTSA National Highway Traffic Safety Administration
NOAA National Oceanic and Atmospheric Administration
NOx nitrogen oxide
NRC National Research Council
NSPS new source performance standards
PM particulate matter
PSD Prevention of Significant Deterioration
TSD technical support document
U.S. United States
UNFCCC United Nations Framework Convention on Climate Change
USGCRP U.S. Global Change Research Program
WMO World Meteorological Organization
Table of Contents
I. Introduction
A. Summary
B. Background
1. The ICTA Petition and Massachusetts v. EPA
2. Post-Massachusetts v. EPA
3. Proposed and Final Endangerment and Cause or Contribute
Findings
4. Petitions for Reconsideration and Stay Requests
II. Standard for Reconsideration
III. Science Related Issues
A. General Summary of Petitioners' Arguments
B. Summary of the Science Underlying the Administrator's
Endangerment Finding in Light of the Petitioners' Claims
1. What effects do greenhouse gases have on the environment and
on climate in particular?
2. How are human activities changing the amount of greenhouse
gases in our atmosphere?
3. What is the evidence indicating that average temperatures are
increasing and climate change is occurring consistent with the
direction one would expect with increasing greenhouse gases in our
atmosphere?
4. What is the evidence linking observed temperature changes and
climate change to the anthropogenic increase in greenhouse gases?
5. How are public health and welfare threatened by these changes
to climate and the environment, now and in the future?
C. Review of the Administrator's Findings
D. General Response to the Petitioners' Scientific Arguments in
Light of the Full Body of Scientific Evidence
E. Specific Responses to the Claims and Arguments Raised by
Petitioners
1. Climate Science and Data Issues Raised by the Petitioners
2. Issues Raised by EPA's Use of the IPCC AR4 Assessment
3. Process and Other Issues Raised by the Petitioners
F. Petitioners' Arguments Do Not Meet the Standard for
Reconsideration
IV. Other Issues
A. The Tailoring Rule/Impacts of PSD and Title V Permitting Are
Not of Central Relevance to the Findings
B. NHTSA Rule
C. Other Issues
1. Effects of the Findings and Subsequent Rulemakings on States
and Businesses
2. A Formal Rulemaking Process Is Not Required
3. Discretion in Making an Endangerment Finding
V. Conclusion
[[Page 49557]]
I. Introduction
A. Summary
This is EPA's response denying the petitions to reconsider the
Endangerment and Cause or Contribute Findings for Greenhouse Gases
under Section 202(a) of the Clean Air Act (``Findings'' or the
``Endangerment Finding'') (74 FR 66496, December 15, 2009). EPA has
considered all 10 petitions, including the arguments presented therein
and the supplemental information provided by the petitioners as
supporting evidence of their claims. EPA has evaluated the merit of the
petitioners' arguments in the context of the entire body of scientific
and other evidence before the Agency. This response (hereafter
``Denial'' or ``Decision'') provides EPA's scientific and legal
justification for denying these petitions. This Denial is accompanied
by a 3-volume, roughly 360-page Response to Petitions (RTP) document
(https://www.epa.gov/climatechange/endangerment.html), containing
further responses and technical detail concerning every significant
claim and assertion made by the petitioners. Section III of this
Decision summarizes many of the responses provided in the RTP document.
After a comprehensive, careful review and analysis of the
petitions, EPA has determined that the petitioners' arguments and
evidence are inadequate, generally unscientific, and do not show that
the underlying science supporting the Endangerment Finding is flawed,
misinterpreted by EPA, or inappropriately applied by EPA. The science
supporting the Administrator's finding that elevated concentrations of
greenhouse gases in the atmosphere may reasonably be anticipated to
endanger the public health and welfare of current and future U.S.
generations is robust, voluminous, and compelling. The most recent
science assessment by the U.S. National Academy of Sciences strongly
affirms this view. In addition, the approach and procedures used by EPA
to evaluate the underlying science demonstrate that the Findings remain
robust and appropriate.
Petitioners generally argue that recent revelations show that the
science supporting EPA's Endangerment Finding was flawed or
questionable, and that EPA should therefore reconsider the Endangerment
Finding. The petitioners' arguments and claims are based largely on
disclosed private communications among various scientists, a limited
number of errors and claimed errors in the 2007 Intergovernmental Panel
on Climate Change (IPCC) Fourth Assessment Report (AR4),\1\ and
submissions of a limited number of additional studies not previously
considered as part of the scientific record of the Endangerment
Finding.
---------------------------------------------------------------------------
\1\ IPCC (2007). Fourth Assessment Report: Climate Change 2007.
Cambridge University Press, Cambridge, United Kingdom and New York,
NY, USA.
---------------------------------------------------------------------------
As discussed in detail throughout this Decision and in fuller
detail in the RTP document, petitioners' claims and the information
they submit do not change or undermine our understanding of how
anthropogenic emissions of greenhouse gases cause climate change and
how human-induced climate change generates risks and impacts to public
health and welfare. This understanding has been decades in the making
and has become more clear over time with the accumulation of evidence.
The information provided by petitioners does not change any of the
scientific conclusions that underlie the Administrator's Findings, nor
do the petitions lower the degrees of confidence associated with each
of these major scientific conclusions.
More specifically, the petitions do not change EPA's proper
characterization of the current body of knowledge and our ability to
state with confidence our conclusions in the following key areas of
greenhouse gas and climate change science: (1) That anthropogenic
emissions of greenhouse gases are causing atmospheric levels of
greenhouse gases in our atmosphere to rise to essentially unprecedented
levels in human history; (2) that the accumulation of greenhouse gases
in our atmosphere is exerting a warming effect on the global climate;
(3) that there are multiple lines of evidence, including increasing
average global surface temperatures, rising ocean temperatures and sea
levels, and shrinking Arctic ice, all showing that climate change is
occurring, and that the observed rate of climate change stands out as
significant compared to recent historical rates of climate change; (4)
that there is compelling evidence that anthropogenic emissions of
greenhouse gases are the primary driver of recent observed increases in
average global temperature; (5) that atmospheric levels of greenhouse
gases are expected to continue to rise for the foreseeable future; and
(6) that risks and impacts to public health and welfare are expected to
grow as climate change continues, and that climate change over this
century is expected to be greater compared to observed climate change
over the past century.
The core defect in petitioners' arguments is that these arguments
are not based on consideration of the body of scientific evidence.
Petitioners fail to address the breadth and depth of the scientific
evidence and instead rely on an assumption of inaccuracy in the science
that they extend even to the body of science that is not directly
addressed by information they provide or by arguments they make. This
assumption of error is based on various statements and views expressed
in some of the e-mail communications between scientists at the Climatic
Research Unit (CRU) of the University of East Anglia in the United
Kingdom and several other scientists (``the CRU e-mails'') \2\. As
EPA's review and analysis shows, the petitioners routinely take these
private e-mail communications out of context and assert they are
``smoking gun'' evidence of wrongdoing and scientific manipulation of
data. EPA's careful examination of the e-mails and their context shows
that the petitioners' claims are exaggerated, are often contradicted by
other evidence, and are not a material or reliable basis to question
the validity and credibility of the body of science underlying the
Administrator's Endangerment Finding or the Administrator's decision
process articulated in the Findings themselves Petitioners' assumptions
and subjective assertions regarding what the e-mails purport to show
about the state of climate change science are clearly inadequate pieces
of evidence to challenge the voluminous and well documented body of
science that is the technical foundation of the Administrator's
Endangerment Finding.
---------------------------------------------------------------------------
\2\ All of the disclosed CRU e-mails at issue in this Decision
can be found in full in EPA's docket for the Endangerment Finding.
See Docket ID No. EPA-HQ-OAR-2009-0171, ``CRU E-mails 1996-2009.''
---------------------------------------------------------------------------
Inquiries from the UK House of Commons, Science and Technology
Committee, the University of East Anglia, Oxburgh Panel, the
Pennsylvania State University, and the University of East Anglia,
Russell Panel,\3\ all entirely independent from EPA, have examined the
issues and many of the same allegations brought forward by the
petitioners as a result of the disclosure of the private CRU e-mails.
These inquiries are now complete. Their conclusions are in line with
EPA's review and analysis of these same CRU e-mails. The inquiries have
[[Page 49558]]
found no evidence of scientific misconduct or intentional data
manipulation on the part of the climate researchers associated with the
CRU e-mails. The recommendation for more transparent procedures
concerning availability of underlying data appears appropriate, but it
has not cast doubt on the underlying body of science developed by these
researchers. These inquiries lend further credence to EPA's conclusion
that petitioners' claims that the CRU e-mails show the underlying
science cannot or should not be trusted are exaggerated and
unsupported.
---------------------------------------------------------------------------
\3\ These inquires plus another addressing IPCC AR4 issues are
referred to throughout this Decision and the RTP document. Every
inquiry is provided in full in EPA's docket for the Endangerment
Finding. See Docket ID No. EPA-HQ-OAR-2009-0171, ``Recent Inquiries
and Investigations of the CRU E-mails and the IPCC Fourth Assessment
Report.''
---------------------------------------------------------------------------
Petitioners' also point to a limited number of factual mistakes in
IPCC AR4, some confirmed, some alleged, to argue that the climate
science supporting the Administrator's Endangerment Finding is flawed.
EPA's review confirmed two factual mistakes. These two confirmed
instances of factual mistakes are tangential and minor and do not
change the key IPCC AR4 conclusions that are central to the
Administrator's Endangerment Finding. While it is unfortunate that
IPCC's review process did not catch these errors, in the context of a
report of this size and scope (almost 3,000 pages), it is an
inappropriate and unfounded exaggeration to claim that these two
confirmed mistakes delegitimize all of the scientific statements and
findings contained in IPCC AR4. To the contrary, given the scrutiny to
which IPCC AR4 has been subjected, the limited nature of these mistakes
demonstrates that the IPCC review procedures have been highly effective
and very robust.
In a limited number of cases, the petitioners identify new
scientific studies and data, published since the Endangerment Finding
was finalized, which they claim require EPA to reconsider the
Endangerment Finding. Some petitioners also argue that EPA ignored or
misinterpreted scientific data that were significant and available when
the Finding was made. EPA's review of these claims shows that in many
cases the issues raised by the petitioners are not new, but were in
fact considered prior to issuing the Endangerment Finding. In other
cases, the petitioners have misinterpreted or misrepresented the
meaning and significance of recent scientific literature, findings, and
data. Finally, there are instances in which the petitioners have failed
to acknowledge other new studies in making their arguments. The RTP
document contains study-by-study analysis of these failed arguments on
the part of petitioners.
Finally, in May 2010, the National Research Council (NRC) of the
U.S. National Academy of Sciences published its comprehensive
assessment, ``Advancing the Science of Climate Change \4\'' (NRC,
2010). It concluded that ``climate change is occurring, is caused
largely by human activities, and poses significant risks for--and in
many cases is already affecting--a broad range of human and natural
systems.'' Furthermore, the NRC stated that this conclusion is based on
findings that are ``consistent with the conclusions of recent
assessments by the U.S. Global Change Research Program, the
Intergovernmental Panel on Climate Change's Fourth Assessment Report,
and other assessments of the state of scientific knowledge on climate
change.'' These are the same assessments that served as the primary
scientific references underlying the Administrator's Endangerment
Finding. Importantly, this recent NRC assessment represents another
independent and critical inquiry of the state of climate change
science, separate and apart from the previous IPCC and U.S. Global
Change Research Program (USGCRP) assessments. The NRC assessment is a
clear affirmation that the scientific underpinnings of the
Administrator's Endangerment Finding are robust, credible, and
appropriately characterized by EPA.
---------------------------------------------------------------------------
\4\ National Research Council (NRC) (2010). Advancing the
Science of Climate Change. National Academy Press. Washington, DC.
---------------------------------------------------------------------------
The endangerment to public health and welfare from atmospheric
concentrations of greenhouse gases and associated climate change is too
important an issue to be decided on any grounds other than a close and
comprehensive scrutiny of the entire body of the scientific evidence.
This principle calls for an outright rejection of the petitioners'
arguments. The petitioners' arguments amount to a request that EPA
ignore the deep body of science that has been built up over several
decades and the direction it points in, and to do so based not on a
careful and comprehensive analysis of the science, but instead on what
amount to assertions and leaps in logic, unsupported by a rigorous
examination of the science itself. The petitioners do not provide any
substantial support for the argument that the Endangerment Finding
should be revised. Therefore, none of the petitioners' objections are
of central relevance to the considerations that led to the final
Endangerment Finding. In addition, in many cases these arguments by the
petitioners either were or could have been raised during the comment
period on the Endangerment Finding. In summary, EPA's thorough review
of petitioners' arguments shows that the petitioners have not met the
criteria for reconsideration under section 307(d) the Clean Air Act
(CAA).\5\
---------------------------------------------------------------------------
\5\ Some petitioners also raise objections to EPA's Endangerment
Finding based on legal arguments related to other EPA or National
Highway Traffic Safety Administration actions. For the reasons
discussed in Section IV of this Decision, those objections also fail
to meet the standard for reconsideration and are denied.
---------------------------------------------------------------------------
B. Background
The Findings were signed by the Administrator on December 7, 2009,
were published in the Federal Register on December 15, 2009, and became
effective January 14, 2010. The Administrator's Endangerment Finding
concluded that atmospheric concentrations of the group of six
greenhouse gases are reasonably anticipated to endanger both the public
health and public welfare of current and future U.S. generations. The
Administrator also decided that the combined emissions of greenhouse
gases from new motor vehicles and new motor vehicle engines contribute
to the greenhouse gas air pollution that endangers both public health
and public welfare (i.e., the second finding or ``cause or contribute''
finding). These Findings were made under CAA section 202(a). The
Findings were also supported by a Technical Support Document (TSD)
(Docket EPA-HQ-OAR-2009-0171-11645), containing the underlying
greenhouse gas emissions data and a synthesis of climate change
science, as well as an 11-volume RTC document (Docket EPA-HQ-OAR-2009-
0171) that provides EPA's responses to all significant public comments
that had been received during the 60-day public comment period
following the Administrator's proposed Findings, signed April 17, 2009.
Since finalization of the Findings in December 2009, EPA has
received 10 petitions and supplements thereto requesting that EPA
reconsider the Findings. The general bases of the petitions are the
following: (1) Recent disclosure of private e-mail communications among
some scientists who were involved in constructing one of the global
temperature records and were involved in certain sections of IPCC AR4;
(2) alleged and confirmed mistakes or alleged unsupported statements in
the IPCC AR4; and (3) some new scientific studies not previously
considered as part of the scientific record of the Endangerment
Finding. Petitioners claim these pieces of evidence show that the
science underlying the Administrator's Endangerment Finding is
potentially
[[Page 49559]]
flawed, and that therefore EPA should reopen the process and reconsider
the Endangerment Finding. For reasons stated above and throughout this
Decision and accompanying RTP document, EPA is denying the request to
reconsider the Findings.
As discussed further in sections III and IV of this Decision, some
of the objections raised in the petitions fail to demonstrate that it
was impracticable to raise the objections during the comment period
following the proposed Findings, or that the grounds for the objections
arose after the period for judicial review. For all issues and
arguments presented by the petitioners, the objections are not of
central relevance to the outcome of the Findings, as explained in
detail below. Thus, none of the objections meet the criteria for
reconsideration under the CAA. EPA is also denying two requests to stay
the Findings pending reconsideration.
1. The ICTA Petition and Massachusetts v. EPA
a. ICTA Petition
In October 1999, the International Center for Technology Assessment
(ICTA) and 18 other organizations filed a petition with EPA, requesting
that EPA issue emission standards for emissions of carbon dioxide,
methane, nitrous oxide, and hydrofluorocarbons from motor vehicles
under CAA section 202(a) (ICTA Petition). The ICTA Petition alleged
that emissions of these four greenhouse gases--CO2,
CH4, N2O, and HFCs--constituted emissions of
``air pollutants'' under section 302(g) of the Act, 42 U.S.C. 7602(g).
The ICTA Petition further argued that emissions of these gases from
motor vehicles fully met the criteria for regulation under CAA section
202(a)(1), 42 U.S.C. 7521(a)(1), and claimed that it would be feasible
for EPA to regulate greenhouse gas emissions from mobile sources.
After soliciting and considering approximately 50,000 public
comments on the ICTA Petition, see 66 FR 7486, January 23, 2001), the
Agency ultimately denied it on several independent grounds. EPA first
explained that Congress did not intend in the CAA to provide the Agency
with authority to regulate CO2 and other greenhouse gases to
address global climate change (68 FR 52925-29). For a variety of
reasons, EPA determined that it was unreasonable to read the Act as
providing the Agency with authority to regulate emissions of
CO2 and other greenhouse gases to address global climate
change. Id. at 52928. Based on this conclusion, the Agency also
determined that greenhouse gases could not be considered air pollutants
for purposes of the CAA's regulatory provisions for any contribution
they may make to climate change. Id.
The Agency also explained why, even if it had the authority to
issue such regulations, it still believed that the ICTA Petition should
be denied. To begin with, EPA found that requiring passenger cars and
light trucks to emit less CO2, the predominant greenhouse
gas, would be tantamount to imposing more stringent fuel economy
standards on those vehicles. Id. at 52929. The Agency pointed out,
however, that the Energy Policy and Conservation Act (EPCA) authorizes
only the Department of Transportation (DOT) to increase the stringency
of motor vehicle fuel economy standards, and specifies a detailed
regulatory regime that an EPA requirement to significantly reduce motor
vehicle CO2 emissions would unavoidably abrogate. Id.; see
also 49 U.S.C. 32902 (relevant provision of EPCA).
EPA also disagreed with the petitioners' view that, assuming the
Act gives EPA authority to regulate CO2 and other greenhouse
gases to address global climate change, the Agency had already made
statements that triggered a mandatory duty to issue motor vehicle
standards for CO2 and other greenhouse gases (68 FR 52929,
September 8, 2003). After summarizing the findings of a 2001 report on
global climate change by the National Academy of Sciences (NAS), the
Agency concluded that ``[u]ntil more is understood about the causes,
extent and significance of climate change and the potential options for
addressing it, EPA believes it is inappropriate to regulate [greenhouse
gas] emissions from motor vehicles.'' Id. at 52,931.
b. Massachusetts v. EPA
EPA's initial denial of the ICTA petition (68 FR 52922, September
8, 2003) was the basis for the U.S. Supreme Court's decision in
Massachusetts v. EPA, 549 U.S. 497 (2007). In Massachusetts v. EPA, the
Supreme Court held that EPA had improperly denied the petition. The
Court held that greenhouse gases meet the definition of air pollutant
in the CAA, and that the grounds EPA gave for denying the petition were
``divorced from the statutory text'' and hence improper. Specifically,
the Court held that carbon dioxide, methane, nitrous oxide, and
hydrofluorocarbons fit the CAA's ``sweeping definition of `air
pollutant' '' since they are ``without a doubt `physical [and] chemical
* * * substances which [are] emitted into * * * the ambient air.' The
statute is unambiguous.'' Id. at 529. The Court also rejected the
argument that EPA could not regulate motor vehicle emissions of the
chief greenhouse gas, carbon dioxide, because doing so would
essentially require control of vehicle fuel economy, and Congress
delegated that authority to the Department of Transportation in the
Energy Policy and Conservation Act. The Court held that the fact ``that
DOT sets mileage standards in no way licenses EPA to shirk its
environmental responsibilities. EPA has been charged with protecting
the public's `health' and `welfare,' 42 U.S.C. 7521(a)(1), a statutory
obligation wholly independent of DOT's mandate to promote energy
efficiency.'' Id. at 532 (citation omitted). The two obligations may
overlap ``but there is no reason to think the two agencies cannot both
administer their obligations and yet avoid inconsistency.'' Id.
Turning to EPA's alternative grounds for denial, the Court held
that EPA's decision on whether or not to grant the petition must relate
to ``whether an air pollutant `causes, or contributes to, air pollution
which may reasonably be anticipated to endanger public health or
welfare.' '' Id. at 532-33. Thus, ``[u]nder the clear terms of the
Clean Air Act, EPA can avoid taking further action only if it
determines that greenhouse gases do not contribute to climate change or
if it provides some reasonable explanation as to why it cannot or will
not exercise its discretion to determine whether they do.'' Id. at 533.
The Court held that three of the four reasons EPA advanced as
alternative grounds for denying the petition were unrelated to whether
greenhouse gas emissions from new motor vehicles cause or contribute to
air pollution that may reasonably be anticipated to endanger public
health or welfare. Thus, EPA had failed to offer a reasoned explanation
for its action. The Court further held that EPA's generalized concerns
about scientific uncertainty were likewise insufficient unless ``the
scientific uncertainty is so profound that it precludes EPA from making
a reasoned judgment as to whether greenhouse gases contribute to global
warming,'' in which case EPA must so find. Id. at 534.
The Supreme Court was careful to note that it was not dictating
EPA's action on remand, and was not deciding whether or not EPA must
find that greenhouse gases endanger public health or welfare. Nor did
the Court rule on ``whether policy concerns can inform EPA's actions in
the event that it makes such a finding.'' Id. at 534-35. The Court also
observed that under CAA section 202(a), ``EPA no doubt has significant
latitude as to the manner, timing,
[[Page 49560]]
content, and coordination of its regulations with those of other
agencies.'' Id. at 533. Nonetheless, any EPA decisions concerning the
endangerment and cause or contribute criteria must be grounded in the
requirements of CAA section 202(a).
On September 17, 2007, EPA's denial of the ICTA petition was
vacated and remanded to EPA for further proceedings consistent with the
Supreme Court's opinion.
2. Post-Massachusetts v. EPA
In response to a May 2007 Executive Order (EO 13432) and
instructions from then-President Bush, EPA began working closely with
the Departments of Transportation, Energy and Agriculture to develop,
under the CAA, proposals for greenhouse gas standards for motor
vehicles and renewable and alternative fuel requirements for gasoline.
However, after enactment of the Energy Independence and Security
Act of 2007 (EISA) in late December 2007, work in response to the
Supreme Court's decision shifted. Rather than moving forward with the
proposed endangerment determination and attendant greenhouse gas
vehicle standards under the CAA, EPA developed an Advance Notice of
Proposed Rulemaking (ANPR) on ``Regulating Greenhouse Gas Emissions
under the Clean Air Act,'' which was published on July 30, 2008 (73 FR
44354). The ANPR presented information relevant to, and solicited
public comment on, a wide variety of issues regarding the potential
regulation of greenhouse gases under the CAA, including EPA's response
to the Supreme Court's decision in Massachusetts v. EPA. Section V of
the ANPR contained an earlier version of much of the material in the
Findings, including the legal framework, a summary of the science of
climate change, and an illustration of how the Administrator could
analyze the cause or contribute element using information regarding the
greenhouse gas emissions of the portion of the U.S. transportation
sector covered by CAA section 202(a). A July 2008 version of the TSD
for the endangerment finding was also in the docket for the ANPR (EPA-
HQ-OAR-2008-0318).
The comment period for the ANPR was 120 days, and it provided an
opportunity for EPA to hear from the public with regard to the issues
involved in endangerment and cause or contribute findings, as well as
the supporting science. EPA received, reviewed, and considered numerous
comments at that time and this public input was reflected in the
Findings that the Administrator proposed in April 2009. In addition,
many comments were received on the TSD released with the ANPR. These
comments are reflected in revisions to the TSD that was released in
April 2009 to accompany the Administrator's proposal.
3. Proposed and Final Endangerment and Cause or Contribute Findings
In April 2009, the Administrator proposed to find under CAA section
202(a) that the mix of six key greenhouse gases in the atmosphere may
reasonably be anticipated to endanger public health and welfare.
Specifically, the Administrator proposed to define the ``air
pollution'' referred to in CAA section 202(a) to be the mix of six key
directly emitted and long-lived greenhouse gases: Carbon dioxide,
methane, nitrous oxide, hydrofluorocarbons, perfluorocarbons, and
sulfur hexafluoride (74 FR 18886, April 24, 2009). The Administrator
further proposed to find that combined greenhouse gas emissions from
new motor vehicles and new motor vehicle engines contribute to this air
pollution that endangers public health and welfare.
The Administrator's proposal was subject to a 60-day public comment
period, which ended June 23, 2009, and also included two public
hearings. Over 380,000 public comments were received on the
Administrator's proposed endangerment and cause or contribute findings,
including comments on the elements of the Administrator's April 2009
proposal, the legal issues pertaining to the Administrator's decisions,
and the underlying TSD containing the scientific and technical
information.
After carefully reviewing the public comments and all the
information before her, on December 7, 2009, the Administrator signed
the final Findings (74 FR 66496, December 15, 2009). Specifically, she
found under CAA section 202(a) that atmospheric concentrations of the
six greenhouse gases taken in combination may reasonably be anticipated
to endanger both the public health and the public welfare of current
and future generations. The Administrator also found that the combined
emissions of these greenhouse gases from new motor vehicles and new
motor vehicle engines contribute to the greenhouse gas air pollution
that endangers public health and welfare under CAA section 202(a).
The July 2008 ANPR and the April 2009 proposed Findings were
accompanied by draft versions of the TSD and the Findings were
supported by the final TSD. The TSD provided an overview of all the
major scientific assessments available at the time of each action, and
greenhouse gas emission inventory data relevant to the contribution
finding. Each of these three versions of the TSD were subject to review
by Federal climate experts to ensure that they represented an accurate
summary of the major scientific assessments. Moreover, the July 2008
and the April 2009 versions of the TSD were subject to public review as
part of the public comment periods for the ANPR and proposed Findings.
4. Petitions for Reconsideration and Stay Requests
Between December 2009 and March 2010, EPA received 10 petitions
(and supplements thereto) to reconsider the Findings.\6\ Nine of these
petitions base their requests on allegations that developments since
the close of the comment period on the proposed Findings call into
question the science underlying the Findings. One petition focuses on
statements since the close of the comment period regarding the impact
of regulating stationary sources under the CAA, and the relationship
between EPA's proposed Light-Duty Vehicle Rule (see below) and the
National Highway Transportation Safety Administration's (NHTSA)
proposed Corporate Average Fuel Economy (CAFE) rule as a basis for
their request that EPA reconsider the Findings. Each significant
objection in the petitions is discussed in detail below and the
accompanying RTP document. Note that when more than one petitioner
raised an objection, our response to that objection is provided only
once.
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\6\ The West Virginia Coal Association also filed a letter in
support of the existing petitions for reconsideration.
---------------------------------------------------------------------------
In addition, EPA received two requests to administratively stay the
final Findings. One administrative stay request under CAA section
307(d)(7)(b) was tied to a petition to reconsider the findings based on
concerns about the science and requested that EPA stay the final
Findings for three months. The other administrative stay request was
filed under CAA section 307(d)(7)(B), the Administrative Procedures Act
(APA) section 705, and Federal Rule of Appellate Procedure 18(a)(1) as
part of the petition for reconsideration relating to stationary source
concerns, and requested a stay pending EPA's completion of its
reconsideration of the final Findings.
II. Standard for Reconsideration
Section 307(d)(7)(B) of the CAA strictly limits petitions for
[[Page 49561]]
reconsideration both in time and scope. It states that: ``Only an
objection to a rule or procedure which was raised with reasonable
specificity during the period for public comment (including any public
hearing) may be raised during judicial review. If the person raising an
objection can demonstrate to the Administrator that it was
impracticable to raise such objection within such time or if the
grounds for such objection arose after the period for public comment
(but within the time specified for judicial review) and if such
objection is of central relevance to the outcome of the rule, the
Administrator shall convene a proceeding for reconsideration of the
rule and provide the same procedural rights as would have been afforded
had the information been available at the time the rule was proposed.
If the Administrator refuses to convene such a proceeding, such person
may seek review of such refusal in the United States court of appeals
for the appropriate circuit (as provided in subsection (b)). Such
reconsideration shall not postpone the effectiveness of the rule. The
effectiveness of the rule may be stayed during such reconsideration,
however, by the Administrator or the court for a period not to exceed
three months.''
Thus the requirement to convene a proceeding to reconsider a rule
is based on the petitioner demonstrating to EPA: (1) That it was
impracticable to raise the objection during the comment period, or that
the grounds for such objection arose after the comment period but
within the time specified for judicial review (i.e., within 60 days
after publication of the final rulemaking notice in the Federal
Register, see CAA section 307(b)(1); and (2) that the objection is of
central relevance to the outcome of the rule.
As to the first procedural criterion for reconsideration, a
petitioner must show why the issue could not have been presented during
the comment period, either because it was impracticable to raise the
issue during that time or because the grounds for the issue arose after
the period for public comment (but within 60 days of publication of the
final action). Thus, CAA section 307(d)(7)(B) does not provide a forum
to request EPA to reconsider issues that actually were raised, or could
have been raised, prior to promulgation of the final rule.
In EPA's view, an objection is of central relevance to the outcome
of the rule only if it provides substantial support for the argument
that the regulation should be revised. See Denial of Petition to
Reconsider, 68 FR 63021 (November 7, 2003), Technical Support Document
for Prevention of Significant Deterioration (PSD) and Nonattainment New
Source Review (NSR): Reconsideration at 5 (Oct. 30, 2003) (EPA-456/R-
03-005) (available at https://www.epa.gov/nsr/documents/petitionresponses10-30-03.pdf); Denial of Petition to Reconsider NAAQS
for PM, 53 FR 52698, 52700 (December 29, 1988), citing Denial of
Petition to Revise NSPS for Stationary Gas Turbines, 45 FR 81653-54
(December 11, 1980), and decisions cited therein.
This interpretation is clearly appropriate in light of the criteria
adopted by Congress in this and other provisions in section 307(d).
Section 307(d)(4)(B)(i) provides that ``[a]ll documents which become
available after the proposed rule has been published and which the
Administrator determines are of central relevance to the rulemaking
shall be placed in the docket as soon as possible after their
availability.'' This provision draws a distinction between comments and
other information submitted during the comment period, and other
documents which become available after publication of the proposed
rule. The former are docketed irrespective of their relevance or merit,
while the latter must be docketed only if a higher hurdle of central
relevance to the rulemaking is met. Congress also used the phrase
``central relevance'' in sections 307(d)(7)(B) and (d)(8), and in both
cases Congress set a more stringent hurdle than in section 307(d)(4).
Under section 307(d)(7)(B), the Administrator is required to reconsider
a rule only if the objection is ``of central relevance to the outcome
of the rule.'' Likewise, section 307(d)(8) authorizes a court to
invalidate a rule for procedural errors only if the errors were ``so
serious and related to matters of such central relevance to the rule
that there is a substantial likelihood that the rule would have been
substantially changed if such errors had not been made.'' In both of
these provisions, it is not enough that the objection or error be of
central relevance to the issues involved in the rulemaking, as in
section 307(d)(4). Instead, the objection has to be of central
relevance ``to the outcome of the rule'' itself, and the procedural
error has to be of such central relevance that it presents a
``substantial likelihood that the rule would have been substantially
changed.'' Central relevance to the issues involved in the rulemaking
is not enough to meet the criteria Congress set under sections
307(d)(7) or (d)(8). Both of those provisions require that the
objection or error be central to the substantive decision that is the
outcome of the rulemaking. This difference is significant, and
indicates that Congress set a much higher hurdle for disturbing a final
rule that has already been issued, as compared to the less stringent
criteria for docketing of documents before a decision has been made and
a rule has been issued.
In this context, EPA's interpretation of section 307(d)(7)(B) gives
full and appropriate meaning to the criteria adopted by Congress. An
objection is considered of central relevance to the outcome of the rule
only if it provides substantial support for the argument that the
regulation should be revised. This properly links the criteria to the
outcome of the rulemaking, not just the issues in the rulemaking. It
requires that the objection be of such substance and merit that it can
be considered central to the outcome of the rulemaking. This
interpretation is consistent with section 307(d)(8), which also ties
central relevance to the outcome of the rulemaking, in terms of a
``substantial likelihood'' that the rule would be ``substantially
changed.'' This interpretation gives proper weight to the approach
throughout section 307(b) and (d) of the importance Congress attributed
to preserving the finality of agency rulemaking decisions. This
interpretation is also consistent with the case law, as discussed
below.
As discussed in this Decision, EPA is denying the petitions because
they fail to meet these criteria. In many cases, the objections raised
in the petitions to reconsider were or could have been raised during
the comment period of the proposed Findings. In all cases, the
objections are not of central relevance to the outcome of the rule
because they do not provide substantial support for the argument that
the Endangerment Finding should be revised.
Pacific Legal Foundation (PLF) argues that its objections are of
central relevance because the CRU documents and e-mails ``cast
substantial uncertainty over'' the final Endangerment Finding, and that
EPA is required to grant the petition or reconsider ``if information
not available in the rulemaking record for public comment casts
substantial uncertainty over the final regulation.'' PLF Pet at 8-9.
They argue that this is the case even if one does not assume or even
argue that the statements in the CRU documents and e-mails are true.
PLF Pet. at 6. They base this claim on Kennecott Corp. v. EPA, 684 F.2d
1007, 1017-20 (DC Cir. 1982).
PLF's view of Kennecott fails to account for the specific
procedural issues that were central to that case. In Kennecott,
petitioners objected that EPA had not provided adequate notice and
[[Page 49562]]
an opportunity for comment in the underlying rulemaking, in violation
of various CAA section 307(d) provisions. Petitioners had two different
notice and comment objections. First, they objected to EPA's failure to
include certain documents in the docket at the time of the proposal,
including various EPA financial analyses performed prior to the
proposal. The court found that these documents were part of the basis
for the proposed regulations and needed to be docketed so comment could
be taken on them during the comment period. The court found that the
failure to submit these documents to the docket at the time of the
proposal was a procedural violation of CAA section 307(d)'s notice and
comment requirements, because the documents EPA failed to docket made
impossible any meaningful comment on the merits of EPA's proposal. The
missing documents led to uncertainty over EPA's basis for the proposal,
which the documents could clarify. This procedural violation met the
test under CAA section 307(d)(9) for reversible error, because it
indicated a ``substantial likelihood'' that the regulations would
``have been significantly changed.'' Kennecott, 684 F.2d at 1018-
1019.\7\
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\7\ It is this discussion of uncertainty that is cited by PLF.
However this concerns the criteria for reversible error under CAA
section 307(d)(9)(D)(iii) for a procedural violation. The court did
not address this as the test for CAA section 307(d)(7)(B), and
certainly did not do so for cases where there is no procedural
violation.
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Petitioners in Kennecott also objected to EPA's submission to the
docket, one week prior to promulgation of the final rule, of certain
economic forecast data upon which EPA relied for the final rule, where
the forecast data differed significantly from the forecast data
provided during the pubic comment period. The court found that this
late submission of important information relied on by EPA, without an
opportunity to comment, also violated the notice and comment
requirements of CAA section 307(d). Id. at 1019.
Given these two violations of the notice and comment requirements
of CAA section 307(d), the court determined that consideration of a
petition to reconsider after promulgation of the final rule was not an
adequate substitute for the statutory required notice and opportunity
to comment prior to promulgation of the rule. EPA failed to provide
adequate notice and an opportunity to comment during the rulemaking
process, and could not cure that by later considering the merits of the
petitioner's comments post-promulgation, through a petition to
reconsider, where the issues involved were critical to the central
issues involved in the rule. Id. at 1019.
EPA's failure to provide adequate notice and an opportunity to
comment in violation of CAA section 307(d) was the critical
underpinning for the court's determination that in that case
consideration of the merits of the objections through a post-
promulgation petition to reconsider was not an adequate substitute for
providing the required procedural rights prior to promulgation. That,
however, is not the case here. Petitioners are not claiming that the
CRU e-mails or other documents show that EPA failed to provide adequate
notice and an opportunity to comment because EPA failed to docket any
documents or EPA docketed late any documents used to support EPA's
final Endangerment Finding. Instead, petitioners are claiming that EPA
should reopen the rulemaking and reconsider the Endangerment Finding
based on new documents and arguments that petitioners bring to EPA,
which they claim undermine the basis for EPA's Endangerment Finding.\8\
There is no basis for treating the court's decision in Kennecott as
precedent here, where there is no comparable procedural notice and
comment violation by EPA. There is no reason to limit EPA's ability to
consider the merits of the petitioners' objections through a post-
promulgation petition to reconsider, whereas in this case there is no
violation of a statutory right to notice and comment and EPA's
consideration of the merits of the petitioners' objections is not being
used as an improper substitute or cure for an EPA failure to provide
adequate notice and an opportunity to comment prior to promulgation of
the final rule. Unlike the situation in Kennecott, EPA's consideration
of the petitions to reconsider is focused on whether the claimed new
evidence and arguments warrant a reopening of a prior, properly noticed
rulemaking. Absent a demonstration that the objections raised by
petitioners provide substantial support for the argument that the
regulation should be revised, such reopening is not warranted. Nothing
in Kennecott holds otherwise.
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\8\ Southeastern Legal Foundation, Inc. (SLF) inappropriately
points to the docketing requirements under CAA section 307(d)(3)
related to a proposed rule, SLF at 3-5. However, the documents SLF
refers to are not EPA documents, were not part of the basis for
EPA's proposal, and arose after the comment period, not prior to
proposal. The provisions for a petition to reconsider under CAA
section 307(d)(7), not the provisions of CAA section 307(d)(3),
apply to the concerns raised by SLF with respect to the arguments
and documents submitted to the agency after the end of the comment
period, in the petitions to reconsider.
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Appalachian Power Company et al. v. EPA, 249 F.3d 1032 (D.C. Cir.
2001) clearly supports this view. In that case, petitioners presented
comments to EPA requesting that EPA consider various materials
concerning the issue of substantial contribution under section 126.
Because EPA had already promulgated a rule that addressed the issue of
significant contribution, EPA properly treated the request as a
petition to reconsider the prior rule. EPA evaluated the evidence and
its relevance to the section 126 rule and for a variety of reasons
rejected it on the merits as a basis for reopening the rule. The court
upheld EPA's decision, stating that ``[g]iven the deferential standard
employed in this context, the EPA's refusal to reopen and reconsider
its significant contribution findings must be upheld.'' Id. at 1060.
Part III of this Decision explains why EPA is denying the petitions
with respect to the objections set forth in these petitions for
reconsideration. With respect to some of these issues, the petitioners
clearly have not met the procedural predicate for reconsideration. That
is, the petitioners have not demonstrated that it was impracticable to
raise these objections during the comment period, or that the grounds
for these objections arose after the close of the comment period but
within 60 days after publication of the final rule. As such, they do
not meet the statutory criteria for administrative reconsideration
under CAA section 307(d)(7)(B).\9\ For all of the objections, whether
or not the petitions might be considered to meet the procedural
criterion for reconsideration, the petitioners' objections and
arguments in terms of substance are not ``of central relevance'' to the
outcome of the rulemaking. Thus, none of the objections meet the
criteria for reconsideration under the CAA.
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\9\ The Chamber of Commerce's petition was based on grounds that
it claims arose after the time period for seeking judicial review of
the underlying rulemaking. The Chamber argues that EPA should grant
reconsideration in its discretion, even if it is not required to do
so under section 307(d). The failure of the Chamber to file timely
objections or to demonstrate that the objections it raises provide
substantial support for the argument that the regulation should be
revised are a fully adequate basis for EPA to deny the Chamber's
petition. In any case, even if the petition were timely, EPA has
considered the objections raised by the Chamber and is denying their
petition as discussed in more detail herein.
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As noted in Section I.B.4 of this Decision, EPA also received two
requests to administratively stay the final Findings. Two petitioners
requested an administrative stay under
[[Page 49563]]
CAA section 307(d)(7)(B), tied to the petitions to reconsider the
findings, requesting that EPA stay the Findings for three months.
Southeastern Legal Foundation at 8, Chamber of Commerce at 1. EPA has
authority to issue a stay for up to 3 months if it grants a petition to
reconsider under CAA section 307(d)(7)(B). As described below, EPA is
denying the petitions to reconsider, hence there is no basis for
issuance of an administrative stay under this provision.
One of the administrative stay requests was filed under section 705
of the Administrative Procedure Act (APA) as part of the petition for
reconsideration relating to stationary source concerns, and requested a
stay pending EPA's completion of its reconsideration of the final
Findings. Chamber at 23-34. 5 U.S.C. 705 authorizes an agency to
postpone the effective date of an agency action pending judicial review
when the agency finds that justice so requires. In this case, the
Endangerment Finding was effective as of January 14, 2010. The request
for an administrative stay was submitted by petition dated March 15,
2010, after the Endangerment Finding was effective. Even if EPA
believed that an administrative stay was warranted, which it does not,
it is not clear whether EPA would have the authority under APA section
705 to stay an agency action that has already gone into effect.
Postponing an effective date implies acting before the effective date
occurs.
In any case, an administrative stay of the Endangerment Finding is
not warranted. In response to the arguments raised by the Chamber, (1)
the Chamber has not made a strong showing on the merits, for all of the
reasons upon which EPA is denying the petitions to reconsider; (2) the
Chamber's arguments concerning irreparable harm fail to adequately
account for the proposed or recently issued Final Prevention of
Significant Deterioration (PSD) and Title V Greenhouse Gas Tailoring
Rule (75 FR 31518, 31579-84; June 3, 2010) (Final Tailoring Rule), and
present general, unspecific, and unsupported arguments; (3) the
Chamber's arguments that EPA's standards for emissions of GHGs from
light-duty vehicles would have no important benefit because of the
related NHTSA CAFE rule are rejected for the reasons discussed in
Section IV.B of this Notice, and (4) the Chamber's arguments concerning
the public interest, which repeat its prior arguments, are rejected for
the same reasons.
III. Science Related Issues
A. General Summary of Petitioners' Arguments
The petitioners generally claim that the science underlying the
Administrator's Endangerment Finding is flawed and/or that EPA did not
follow an appropriate or robust process in evaluating the underlying
science for purposes of making an endangerment finding for greenhouse
gases. Many of the 10 petitions present similar arguments. Some of the
petitioners' arguments were raised during the 60-day public comment
period following the proposed Findings (74 FR 18886, April 24, 2009).
Many of the petitioners critique specific elements of the
underlying science that support the Findings, primarily the HadCRUT
temperature record showing increases in global surface temperatures.
There are many elements of the underlying science that support the
Administrator's Endangerment Finding that are not addressed by the
petitioners. Petitioners assert that the global temperature record is
so central to all greenhouse gas and climate change science that the
problems with a global surface temperature record essentially mean all
scientific knowledge linking greenhouse gases and climate change, and
by extension all public health and welfare risks associated with human-
induced climate change, must also be called into question. Petitioners
also question the credibility of the IPCC and, by extension, EPA's use
of IPCC AR4 as a significant reference document supporting the
Findings.
The primary information provided by the petitioners to back their
arguments are:
(1) A set of disclosed private e-mail communications among some
scientists associated with the HadCRUT temperature record and
associated with certain sections of IPCC AR4.
(2) A small number of factual mistakes and claimed factual mistakes
and alleged unsupported statements in the voluminous, 2,927-page IPCC
AR4.
(3) A limited number of new studies for EPA to consider.
EPA's responses to the petitioners' evidence, arguments, and claims
are summarized in this section of this Decision and provided in fuller
technical detail in the accompanying three-volume RTP document. More
specifically, the petitioners' arguments can generally be grouped into
three broad categories:
Climate science and data issues, including (1) the
validity of the reconstructed surface temperature record from the
distant past and whether or not recent observations of global warming
are unusual; (2) the validity of the more recent surface temperature
record and whether recent temperature changes can be attributed to
human emissions of greenhouse gases; (3) the validity of the HadCRUT
surface temperature record of the Climatic Research Unit (CRU); (4) the
validity of the recent surface temperature records constructed by the
National Oceanographic and Atmospheric Administration (NOAA) and
National Aeronautics and Space Administration (NASA); and (5) the
implications of new studies not previously considered.
Issues raised by EPA's use of IPCC reports, including: (1)
Claims that recently found errors and claimed errors in IPCC AR4
undermine IPCC's credibility and therefore EPA's use of IPCC AR4 as a
primary reference document; and (2) claims that IPCC has a policy
agenda and is not an objective scientific body.
Process and other issues, including claims that: (1) The
USGCRP and the NRC are not separate and independent assessments from
IPCC; (2) EPA's process to develop the scientific support for the
Findings was inappropriate; (3) there are improper peer-review
processes in the underlying scientific literature used by the major
assessments; and (4) certain scientists did not adhere to UK and U.S.
Freedom of Information Act Requests.
B. Summary of the Science Underlying the Administrator's Endangerment
Finding in Light of the Petitioners' Claims
Before addressing the petitioners' general and specific assertions,
this section briefly describes the major scientific conclusions and
data that support the Administrator's Endangerment Finding that
elevated atmospheric concentrations of the group of six key greenhouse
gases are reasonably anticipated to endanger the public health and
public welfare of current and future generations. As noted above, the
petitioners do not take issue with the large body of scientific
evidence. Rather, they focus most of their attention on questioning the
validity of the global surface temperature record--specifically the
HadCRUT temperature record, one of the three major global surface
temperature records used by climate researchers--which show that
temperatures are increasing. This section puts the global temperature
record in the broader context of greenhouse gas and climate change
[[Page 49564]]
science, and demonstrates the limited scope of the petitioners'
arguments.
There is a causal chain linking atmospheric concentrations of
greenhouse gases to impacts and risks to public health and welfare. The
elements of this causal chain are:
What effects do greenhouse gases have on the environment
and on climate in particular?
Are human activities changing the amount of greenhouse
gases in our atmosphere?
What is the evidence indicating that average temperatures
are increasing and that climate change is occurring, consistent with
the direction one would expect from increasing greenhouse gases in our
atmosphere?
What is the evidence linking observed temperature changes
and climate change to the anthropogenic increase in greenhouse gases?
How are public health and welfare threatened by these
changes to climate and the environment, now and in the future?
Each element of the causal chain is discussed below. Evidence
related to each element is based on the underlying scientific
assessments (e.g., IPCC and USGCRP) that EPA relied on to develop the
TSD to support the Administrator's Endangerment Finding, and, where
noted, is also based on the most recent scientific assessment,
published in May 2010, of the NRC.\10\
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\10\ National Research Council (2010) Advancing the Science of
Climate Change: America's Climate Choices, National Academies Press,
Washington, DC.
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1. What effects do greenhouse gases have on the environment and on
climate in particular?
The physical effect of greenhouse gases on climate and the
environment remains a basic scientific fact--greenhouse gases slow the
loss of Earth's heat, which would otherwise escape to space. Much like
a blanket keeps a person warm by preventing heat loss, greenhouse gases
blanket the planet and warm the Earth by trapping in heat that would
otherwise escape to space. This is the Earth's natural greenhouse
effect. An increase in the amount of greenhouse gases in our atmosphere
intensifies the natural greenhouse effect and thus exerts a warming
effect on the global climate. These are well-established physical
properties of greenhouse gases. The six greenhouse gases grouped
together in the Administrator's Endangerment Finding are long-lived in