Mandatory Reporting of Greenhouse Gases, 79092-79171 [2010-30286]
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
40 CFR Part 98
[EPA–HQ–OAR–2008–0508; FRL–9234–7]
RIN 2060–AQ33
Mandatory Reporting of Greenhouse
Gases
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
EPA is amending specific
provisions in the greenhouse gas
reporting rule to clarify certain
provisions, to correct technical and
editorial errors, and to address certain
questions and issues that have arisen
since promulgation. These final changes
include generally providing additional
information and clarity on existing
requirements, allowing greater
flexibility or simplified calculation
methods for certain sources, amending
data reporting requirements to provide
additional clarity on when different
types of greenhouse gas emissions need
to be calculated and reported, clarifying
terms and definitions in certain
equations and other technical
corrections and amendments.
SUMMARY:
The final rule is effective on
December 31, 2010. The incorporation
by reference of certain publications
listed in the final rule amendments are
approved by the director of the Federal
Register as of December 31, 2010.
ADDRESSES: EPA has established a
docket under Docket ID No. EPA–HQ–
OAR–2008–0508 for this action. All
documents in the docket are listed in
the https://www.regulations.gov index.
Although listed in the index, some
information is not publicly available,
e.g., confidential business information
(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 Ave.,
NW., Washington, DC. 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.
DATES:
ENVIRONMENTAL PROTECTION
AGENCY
FOR FURTHER INFORMATION CONTACT:
Carole Cook, Climate Change Division,
Office of Atmospheric Programs (MC–
6207J), Environmental Protection
Agency, 1200 Pennsylvania Ave., NW.,
Washington, DC 20460; telephone
number: (202) 343–9263; fax number:
(202) 343–2342; e-mail address:
GHGReportingRule@epa.gov. For
technical information and
implementation materials, please go to
the Greenhouse Gas Reporting Program
Web site https://www.epa.gov/climate
change/emissions/ghgrulemaking.html.
To submit a question, select Rule Help
Center, followed by Contact Us.
Regulated
Entities. The Administrator determined
that this action is subject to the
provisions of Clean Air Act (CAA)
section 307(d). See CAA section
307(d)(1)(V) (the provisions of section
307(d) apply to ‘‘such other actions as
the Administrator may determine’’).
These are final amendments to existing
regulations. These amended regulations
affect owners or operators of certain
suppliers and direct emitters of
greenhouse gases (GHGs). Regulated
categories and entities include those
listed in Table 1 of this preamble:
SUPPLEMENTARY INFORMATION:
TABLE 1—EXAMPLES OF AFFECTED ENTITIES BY CATEGORY
Category
NAICS
Examples of affected facilities
Combustion
........................
Electricity Generation ................................
211
321
322
325
324
316, 326, 339
331
332
336
221
622
611
221112
Facilities operating boilers, process heaters, incinerators, turbines, and internal
combustion engines.
Extractors of crude petroleum and natural gas.
Manufacturers of lumber and wood products.
Pulp and paper mills.
Chemical manufacturers.
Petroleum refineries and manufacturers of coal products.
Manufacturers of rubber and miscellaneous plastic products.
Steel works, blast furnaces.
Electroplating, plating, polishing, anodizing, and coloring.
Manufacturers of motor vehicle parts and accessories.
Electric, gas, and sanitary services.
Health services.
Educational services.
Fossil-fuel fired electric generating units, including units owned by Federal and municipal governments and units located in Indian Country.
Adipic acid manufacturing facilities.
Primary aluminum production facilities.
Anhydrous and aqueous ammonia production facilities.
Portland Cement manufacturing plants.
Ferroalloys manufacturing facilities.
Flat glass manufacturing facilities.
Glass container manufacturing facilities.
Other pressed and blown glass and glassware manufacturing facilities.
Chlorodifluoromethane manufacturing facilities.
General Stationary
Sources.
Fuel
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Adipic Acid Production ..............................
Aluminum Production ................................
Ammonia Manufacturing ...........................
Cement Production ...................................
Ferroalloy Production ................................
Glass Production ......................................
HCFC–22 Production and HFC–23 Destruction.
Hydrogen Production ................................
Iron and Steel Production .........................
Lead Production ........................................
Lime Production ........................................
Nitric Acid Production ...............................
Petrochemical Production .........................
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325199
331312
325311
327310
331112
327211
327213
327212
325120
325120
331111
331419
331492
327410
325311
32511
PO 00000
Hydrogen production facilities.
Integrated iron and steel mills, steel companies, sinter plants, blast furnaces, basic
oxygen process furnace shops.
Primary lead smelting and refining facilities.
Secondary lead smelting and refining facilities.
Calcium oxide, calcium hydroxide, dolomitic hydrates manufacturing facilities.
Nitric acid production facilities.
Ethylene dichloride production facilities.
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TABLE 1—EXAMPLES OF AFFECTED ENTITIES BY CATEGORY—Continued
Category
NAICS
325199
325110
325182
324110
325312
322110
322121
322130
327910
325181
212391
325188
331419
331492
Petroleum Refineries ................................
Phosphoric Acid Production .....................
Pulp and Paper Manufacturing .................
Silicon Carbide Production .......................
Soda Ash Manufacturing ..........................
Titanium Dioxide Production .....................
Zinc Production .........................................
Municipal Solid Waste Landfills ................
562212
221320
112111
112120
112210
112310
112330
112320
221210
211112
325120
325120
Manure Management a ..............................
Suppliers of Natural Gas and NGLs .........
Suppliers of Industrial GHGs ....................
Suppliers of Carbon Dioxide (CO2) ..........
Examples of affected facilities
Acrylonitrile, ethylene oxide, methanol production facilities.
Ethylene production facilities.
Carbon black production facilities.
Petroleum refineries.
Phosphoric acid manufacturing facilities.
Pulp mills.
Paper mills.
Paperboard mills.
Silicon carbide abrasives manufacturing facilities.
Alkalies and chlorine manufacturing facilities.
Soda ash, natural, mining and/or beneficiation.
Titanium dioxide manufacturing facilities.
Primary zinc refining facilities.
Zinc dust reclaiming facilities, recovering from scrap and/or alloying purchased metals.
Solid waste landfills.
Sewage treatment facilities.
Beef cattle feedlots.
Dairy cattle and milk production facilities.
Hog and pig farms.
Chicken egg production facilities.
Turkey Production.
Broilers and other meat type chicken production.
Natural gas distribution facilities.
Natural gas liquid extraction facilities.
Industrial gas production facilities.
Industrial gas production facilities.
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a EPA will not be implementing subpart JJ of 40 CFR part 98 using funds provided in its FY2010 appropriations or Continuing Appropriations
Act, 2011 (Pub. L. 111–242), due to a Congressional restriction prohibiting the expenditure of funds for this purpose.
Table 1 of this preamble is not
intended to be exhaustive, but rather
provides a guide for readers regarding
facilities and suppliers likely to be
affected by this action. Table 1 of this
preamble lists the types of facilities and
suppliers that EPA is now aware could
be potentially affected by the reporting
requirements. Other types of facilities
and suppliers than those listed in the
table could also be subject to reporting
requirements. To determine whether
you are affected by this action, you
should carefully examine the
applicability criteria found in 40 CFR
part 98, subpart A or the relevant
criteria in the subparts. If you have
questions regarding the applicability of
this action to a particular facility or
supplier, consult the person listed in the
preceding FOR FURTHER INFORMATION
CONTACT section.
What is the effective date? The final
rule is effective on December 31, 2010.
Section 553(d) of the Administrative
Procedure Act (APA), 5 U.S.C. Chapter
5, generally provides that rules may not
take effect earlier than 30 days after they
are published in the Federal Register.
EPA is issuing this final rule under
section 307(d)(1) of the Clean Air Act,
which states: ‘‘The provisions of section
553 through 557 * * * of Title 5 shall
not, except as expressly provided in this
section, apply to actions to which this
subsection applies.’’ Thus, section
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553(d) of the APA does not apply to this
rule. EPA is nevertheless acting
consistently with the purposes
underlying APA section 553(d) in
making this rule effective on December
31, 2010. Section 5 U.S.C. 553(d)(3)
allows an effective date less than 30
days after publication ‘‘as otherwise
provided by the agency for good cause
found and published with the rule.’’ As
explained below, EPA finds that there is
good cause for this rule to become
effective on December 31, 2010, even
though this results in an effective date
fewer than 30 days from date of
publication in the Federal Register.
While this action is being signed prior
to December 1, 2010, there is likely to
be a significant delay in the publication
of this rule as it contains complex
equations and tables and is relatively
long in length. As an example, EPA
signed a shorter technical amendments
package related to the same underlying
reporting rule on October 7, 2010, and
it was not published until October 28,
2010 (75 FR 66434), three weeks later.
The purpose of the 30-day waiting
period prescribed in 5 U.S.C. 553(d) is
to give affected parties a reasonable time
to adjust their behavior and prepare
before the final rule takes effect. Where,
as here, the final rule will be signed and
made available on the EPA Web site
more than 30 days before the effective
date, but where the publication is likely
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to be delayed due to the complexity and
length of the rule, that purpose is still
met. Moreover, most of the revisions
being made in this package provide
flexibilities to sources covered by the
reporting rule, or otherwise relieve a
restriction. Thus, a shorter effective date
in such circumstances is consistent with
the purposes of APA section 553(d),
which provides an exception for any
action that grants or recognizes an
exemption or relieves a restriction.
Accordingly, we find good cause exists
to make this rule effective on December
31, 2010, consistent with the purposes
of 5 U.S.C. 553(d)(3).
Judicial Review. Under section
307(b)(1) of the CAA, judicial review of
this final rule is available only by filing
a petition for review in the U.S. Court
of Appeals for the District of Columbia
Circuit (the Court) by February 15, 2011.
Under CAA section 307(d)(7)(B), only
an objection to this final rule that was
raised with reasonable specificity
during the period for public comment
can be raised during judicial review.
CAA section 307(d)(7)(B) also provides
a mechanism for EPA to convene a
proceeding for reconsideration, ‘‘[i]f the
person raising an objection can
demonstrate to EPA that it was
impracticable to raise such objection
within [the period for public comment]
or if the grounds for such objection
arose after the period for public
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comment (but within the time specified
for judicial review) and if such objection
is of central relevance to the outcome of
the rule.’’ Any person seeking to make
such a demonstration to us should
submit a Petition for Reconsideration to
the Office of the Administrator,
Environmental Protection Agency,
Room 3000, Ariel Rios Building, 1200
Pennsylvania Ave., NW., Washington,
DC 20460, with a copy to the person
listed in the preceding FOR FURTHER
INFORMATION CONTACT section, and the
Associate General Counsel for the Air
and Radiation Law Office, Office of
General Counsel (Mail Code 2344A),
Environmental Protection Agency, 1200
Pennsylvania Ave., NW., Washington,
DC 20004. Note, under CAA section
307(b)(2), the requirements established
by this final rule may not be challenged
separately in any civil or criminal
proceedings brought by EPA to enforce
these requirements.
Acronyms and Abbreviations. The
following acronyms and abbreviations
are used in this document.
API American Petroleum Institute
ARP Acid Rain Program
ASME American Society of Mechanical
Engineers
ASTM American Society for Testing and
Materials
BAMM best available monitoring method
CAA Clean Air Act
cc cubic centimeters
CE calibration error
CEMS continuous emission monitoring
system
CFR Code of Federal Regulations
CGA Cylinder gas audit
CH4 methane
CO carbon monoxide
CO2 carbon dioxide
CO2e CO2-equivalent
CWPB center worked prebake
FR Federal Register
FTIR Fourier transform infrared
GC gas chromatography
GHG greenhouse gas
GHGRP Greenhouse Gas Reporting Program
GPA Gas Processors Association
GWP global warming potential
HFCs hydrofluorocarbons
HHV high heat value
HSS horizontal stud S2010
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N2O nitrous oxide
NAICS North American Industry
Classification System
NGLs natural gas liquids
O2 oxygen
OMB Office of Management and Budget
PFC perfluorocarbon
psia pounds per square inch absolute
QA quality assurance
QA/QC quality assurance/quality control
RATA relative accuracy test audit
RFA Regulatory Flexibility Act
scf standard cubic feet
scfm standard cubic feet per minute
SF6 sulfur hexafluoride
SO2 sulfur dioxide
SWPB side worked prebake
U.S. United States
VSS vertical stud S2010
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preamble to the proposed rule
amendments.3 In response to general
comments submitted on the proposed
rulemaking, we have again reviewed the
final amendments and determined that,
with one limited exception, they can be
implemented, as finalized, for the 2010
reporting year.
The one new requirement, regarding
reporting of biogenic CO2 emissions
from units subject to 40 CFR Part 75, is
being phased in, so that it remains
optional for reporting year 2010, but
becomes mandatory for each subsequent
year. Therefore this revision, as
finalized, already accommodates
implementation for the 2010 reporting
year.
In summary, except for the exception
discussed above regarding biogenic CO2
emissions, these amendments do not
require any additional monitoring or
data collection above what was already
included in Part 98. Therefore, we have
determined that reporters can use the
same information that they have been
collecting under Part 98 for each subpart
to calculate and report GHG emissions
for 2010 and submit reports in 2011
under the amended subparts.
Following is a brief summary of major
comments and responses. Several
comments were received on this topic.
Responses to additional significant
comments received can be found in the
document, ‘‘Response to Comments:
Revision to Certain Provisions of the
Mandatory Reporting of Greenhouse
Gases Rule’’ (see EPA–HQ–OAR–2008–
0508).
Comment: Several commenters
requested that we make use of the
amendments optional for the 2010
reporting year and mandatory beginning
with the 2011 reporting year. The
commenters expressed concern that in
2010, sources may not have been
collecting the required data to
implement certain amendments.
Response: We sought comment on the
feasibility of incorporating the proposed
revisions for the 2010 reporting year. In
the proposal, we explained that we felt
implementation for the 2010 reporting
year would be feasible because the
proposed revisions, to a great extent,
would simply clarify existing regulatory
requirements or add flexibility to the
rule. Further, the proposed amendments
would not substantially affect the type
of information that must be collected or
how emissions are calculated. We
sought comment on this conclusion and
whether this timeline is feasible or
appropriate, considering the nature of
the proposed changes and the way in
which data have been collected thus far
3 75
PO 00000
FR 48747 (August 11, 2010).
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in 2010. We requested that commenters
provide specific reasons why they
believe that the proposed
implementation schedule would or
would not be feasible. We received
some comments about making optional
the use of the amendments in 2010, as
well as comments proposing to extend
submission of the first reports until June
1, 2011. We received a few industryspecific examples providing a rationale
for extending the deadline for reporting,
or making use of the amendments
optional for the 2010 reporting year. For
example, some commenters expressed
concern that the proposed clarification
of the definition of natural gas, as well
as the introduction of fuel gas into Table
C–1, could affect applicability under the
rule and the use of the tiers under
subpart C. We have addressed the
underlying concerns expressed by these
commenters, as EPA did not intend to
change applicability or force facilities to
use higher tiered calculation
methodologies. Therefore, because we
addressed the underlying concerns, we
are finalizing requirements to
incorporate the amendments into 2010
reporting year data.
II. Final Amendments and Responses to
Public Comments
We are amending various subparts in
Part 98 to correct errors in the regulatory
language that were identified as a result
of working with reporters to implement
the various subparts of Part 98. We are
also amending certain rule provisions to
provide greater clarity. The amendments
to Part 98 include the following types of
changes:
• Additional information to
understand better or more fully
compliance obligations in a specific
provision, such as the reference to a
standardized method that must be
followed.
• Amendments to certain equations to
better reflect actual operating
conditions.
• Corrections to terms and definitions
in certain equations.
• Corrections to data reporting
requirements so that they more closely
conform to the information used to
perform emission calculations.
• Amendments, in limited cases, to
allow for the use of simplified emissions
calculation methods.
• Changes to correct cross references
within and between subparts.
• Other amendments related to
certain issues identified as a result of
working with reporters during rule
implementation and outreach.
• Applying a threshold for reporting
for local distribution companies of equal
to or greater than 460,000 thousand
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standard cubic feet (mscf) of natural gas
delivered per year.
• Requiring separate reporting of
biogenic CO2 emissions for units that
are also subject to 40 CFR part 75,
beginning with the 2011 reporting year.
The final amendments promulgated
by this action reflect EPA’s
consideration of the comments received
on the proposal. The major public
comments and EPA’s responses for each
subpart are provided in this preamble.
Our responses to additional significant
public comments on the proposal are
presented in a comment response
document available in Docket ID No.
EPA–HQ–OAR–2008–0508.
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A. Subpart A—General Provisions: Best
Available Monitoring Methods
1. Summary of Final Amendments and
Major Changes Since Proposal
EPA is finalizing the petition process
established in 40 CFR 98.3(j) that allows
use of Best Available Monitoring
Methods (BAMM) past December 31,
2010 for owners and operators required
to report under subpart P (Hydrogen
Production), subpart X (Petrochemical
Production), or subpart Y (Petroleum
Refineries), under limited
circumstances. Owners or operators
subject to these subparts can petition
EPA to extend use of BAMM past
December 31, 2010, if compliance with
a specific provision in the regulation
requires measurement device
installation, and installation would
necessitate an unscheduled process
equipment or unit shutdown, or could
be installed only through a ‘‘hot tap.’’ If
the application is approved, the owner
or operator can postpone installation of
the measurement device until the next
scheduled maintenance outage, but
initially no later than December 31,
2013. If, in 2013, owners or operators
still determine and certify that a
scheduled shutdown will not occur by
December 31, 2013, they may re-apply
to use best available monitoring
methods for an additional two years.
Process for requesting an extension of
best available monitoring methods. We
are adding a similar petition process to
that recently concluded for the use of
BAMM for 2010 in 40 CFR 98.3(j). The
process is for quantifying emissions
from any source category at facilities
subject to subparts P, X and/or Y, and
solely for the installation of
measurement devices that cannot be
installed safely except during full
process equipment or unit shutdown or
through installation via a hot tap.
BAMM is allowable initially no later
than December 31, 2013. Subpart P, X,
and/or Y owners or operators requesting
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to use BAMM beyond 2010 are required
to electronically notify EPA by January
1, 2011 that they intend to apply for
BAMM for installation of measurement
devices and certify that such installation
will require a hot tap or unscheduled
shutdown.
Owners or operators must submit the
full extension request for BAMM by
February 15, 2011. The full extension
request must include a description of
the measurement devices that could not
be installed in 2010 without a process
equipment or unit shutdown, or through
a hot tap, a clear explanation of why
that activity could not be accomplished
in 2010 with supporting material, an
estimated date for the next planned
maintenance outage, and a discussion of
how emissions will be calculated in the
interim. More specifically, the full
extension request must identify the
specific monitoring instrumentation for
which the request is being made,
indicate the locations where each piece
of monitoring instrumentation will be
installed, and note the specific rule
requirements (by rule subpart, section,
and paragraph numbers) for which the
instrumentation is needed. The
extension requests must also include
supporting documentation
demonstrating that it is not practicable
to isolate the equipment and install the
monitoring instrument without a full
process equipment or unit shutdown, or
through a hot tap, as well as providing
the dates of the three most recent
process equipment or unit shutdowns,
the typical frequency of shutdowns for
the respective equipment or unit, and
the date of the next planned shutdown.
Once subpart P, X, and/or Y owners
or operators have notified EPA of their
plan to apply for BAMM for
measurement device installation, by
January 1, 2011, and subsequently
submitted a full extension request, by
February 15, 2011, they can
automatically use BAMM consistent
with their request through June 30,
2011. This automatic extension is
necessary because the current BAMM
requests submitted by these facilities
will end no later than December 31,
2010. The BAMM must be extended
automatically to provide EPA the time
to review thoroughly the BAMM
requests submitted for post-2010, while
ensuring that the petitioning facilities
are not out of compliance with the rule
during that review process. All
measurement devices must be installed
by July 1, 2011 unless EPA approves the
BAMM extension request before that
date.
Approval of extension requests. In any
approval of an extension request, EPA
will approve the extension itself,
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establish a date by which all
measurement devices must be installed,
and indicate the approved alternate
method for calculating GHG emissions
in the interim.
If EPA approves an extension request,
the owner/operator has until the date
approved by EPA to install the relevant
remaining meters or other measurement
devices, however initial approvals will
not grant extensions beyond December
31, 2013. An owner/operator that
already received approval from EPA to
use BAMM during part or all of 2010 is
required to submit a new request for use
of BAMM beyond 2010. Unless EPA has
approved an extension request, all
owners or operators that submit a timely
request under this new process for
BAMM will be required to install all
measurement devices by July 1, 2011.
We recognize that occasionally a
facility may plan a scheduled process
equipment or unit shutdown and the
installation of required monitoring
equipment, but the date of the
scheduled shutdown is changed. We are
adding a process by which owners or
operators who receive an extension will
have the opportunity to extend the use
of BAMM beyond the date approved by
EPA if they can demonstrate to the
Administrator’s satisfaction that they
are making a good faith effort to install
the required equipment. At a minimum,
facilities that determine that the date of
a scheduled shutdown will be
postponed are required to notify EPA
within 4 weeks of such a determination,
but no later than 4 weeks before the date
for which the planned shutdown was
scheduled.
One-time request to extend best
available monitoring methods past
December 31, 2013. If subpart P, X, and/
or Y owners or operators determine that
a scheduled shutdown will not occur by
December 31, 2013 and thus they want
to continue to use BAMM, they are
required to re-apply to use BAMM for
one additional time period, not to
extend beyond December 31, 2015. To
obtain an extension for the use of
BAMM past December 13, 2013, owners
or operators are required to submit a
new extension request by June 1, 2013
that contains the information required
in 40 CFR 98.3(j)(4). All owners or
operators that submit a request under
this paragraph to extend the use of best
available monitoring methods for
measurement device installation are
required to install all measurement
devices by December 31, 2013, unless
the additional extension request under
this paragraph is approved by EPA.
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2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
topic. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: EPA received several
comments, both in support of and in
opposition to, the proposed extension of
BAMM for facilities subject to subparts
P, X and Y. Some commenters that
supported the new BAMM process also
recommended that EPA extend the
process beyond hydrogen producers,
petrochemical facilities and petroleum
refineries. They suggested that the same
logic should apply to all facilities, that
installation of monitoring equipment
should not require process equipment or
unit shutdown.
Other commenters were concerned
that the new BAMM process conflicts
with the need for consistent data. The
commenters urged that if EPA
nevertheless decides to finalize the
requirements, there should be only a
one-time application process with
BAMM ending no later than December
2013. Further, they asserted that EPA
should require facilities to make use of
unplanned shutdowns as an
opportunity to install equipment.
Response: EPA carefully considered
the issues raised by commenters and
decided to retain the BAMM extension
process, as proposed, only for facilities
subject to subparts P, X and Y. The
proposal preamble sought comment on
this very issue and requested that
commenters provide information on
additional subparts, if any, that would
need this flexibility, and include
information on why installation could
not be done in the absence of such a
shutdown or why such shutdowns did
not or could not occur in 2010 without
unreasonable burden on the facility.
Commenters did not provide the
requested information to support their
position that the provision should be
extended to other industries. In
summary, the commenters argued only
that EPA should provide this flexibility,
but did not provide a rationale as to
why additional industries needed the
flexibility.
Regarding concerns that the new
BAMM process would lead to
inconsistent data, EPA has determined
that this limited opportunity for a
BAMM extension will provide
sufficiently consistent data for these
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industries without causing the
unnecessary burden or potential safety
concerns that would be associated with
installation of monitoring devices
during unplanned shutdowns or hot
taps. EPA notes that the BAMM process
will still require facilities to follow the
calculation methods in the rule, but will
allow owners or operators to use
alternative methods to provide the
inputs to those calculations. Further,
unlike the BAMM process that was
established by promulgation of the
October 30, 2009 reporting rule (74 FR
56379–56380), any request for BAMM
after 2010 will require EPA approval of
a facility’s proposed approach to be
implemented in lieu of the requirements
in the rule. This further ensures that
EPA will continue to receive data of the
appropriate quality.
EPA decided not to limit BAMM to a
one-time extension through 2013,
because we determined that the reasons
supporting extension through 2013 were
still valid post 2013. Specifically,
facilities in these particularly complex
industries should not have to shut down
unnecessarily in order to install
equipment. Data provided by these
industries show that some units, for
example crude distillation units, are
shut down only every 4 to 7 years. Other
units such as vacuum distillation units,
fluid catalytic cracking units, distillate
hydrotreating units, catalytic feed
hydrotreaters, hydrocrackers, coking
units, sulfur recovery units and
cogeneration units can be shut down as
infrequently as every 5 years (see final
Background Technical Support
document to the Revision of Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule). Thus,
providing a potential end date for
BAMM of December 31, 2015, is
appropriate based on information
presented for these industries on the
typical frequency of shutdown for these
facilities.
We also are not requiring a facility to
order the measurement equipment early
and have it on hand in the event of an
unplanned shutdown before the
scheduled shutdown. First, it would be
hard to enforce a requirement to install
equipment during an unplanned
shutdown ‘‘if feasible’’ because it would
be hard to objectively determine
whether a facility should have installed
equipment during an unplanned
shutdown. Moreover, during an
unplanned shutdown, the priority is
often to get the equipment up and
running as quickly and safely as
possible; therefore, there is not
necessarily time to install the
measurement equipment.
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Comment: In a related comment, one
commenter raised concerns about Tier 3
monitoring requirements for a stream at
its facility that is dangerous to monitor
due to the presence of hydrogen
cyanide. They indicated that they used
BAMM to implement an approach other
than direct sampling of the inputs to the
equations for the 2010 reporting year,
and now are considering implementing
the Tier 4 method for future years.
However, they argued the rule should
provide a mechanism to address these
dangerous streams.
Response: No rule change has been
made as a result of the comment. For the
2010 reporting year, the BAMM
provisions were designed for use where
it was not possible to acquire, install
and operate a required piece of
equipment during the early months of
the GHG Reporting Program. Safety
concerns were a valid reason for
approving these early BAMM
applications.
Although the commenter notes
concerns with conducting the Tier 3
method for quantifying emissions from
stationary combustion at the facility due
to the presence of a hydrogen cyanide
stream, EPA notes that the rule does not
limit them to use of a Tier 3 approach.
As acknowledged by the commenter,
they also have the opportunity to use
Tier 4 to meet the requirements of the
rule and, by taking advantage of BAMM
for 2010, had one year to install the Tier
4 equipment. The commenter merely
wants additional time beyond that
already provided in the rule to comply
with the Tier 4 requirements. The
commenter does not justify the
requested extension by pointing to
issues like unplanned shutdowns or hot
taps, as discussed in the proposal. EPA
has determined the unique situation
raised by the commenter does not
warrant expanding the BAMM process
generally beyond industries subject to
subparts P, X and Y.
B. Subpart A—General Provisions:
Calibration Requirements
1. Summary of Final Amendments and
Major Changes Since Proposal
EPA has finalized amendments to 40
CFR 98.3(i)(1) to specify that the
calibration accuracy requirements of 40
CFR 98.3(i)(2) and (i)(3) are required
only for flow meters that measure liquid
and gaseous fuel feed rates, feedstock
flow rates, or process stream flow rates
that are used in the GHG emissions
calculations, and only when the
calibration accuracy requirement is
specified in an applicable subpart of
Part 98. For instance, the QA/QC
requirements in 40 CFR 98.34(b)(1) of
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subpart C require all flow meters that
measure liquid and gaseous fuel flow
rates for the Tier 3 CO2 calculation
methodology to be calibrated according
to 40 CFR 98.3(i); therefore, the
accuracy standards in 40 CFR 98.3(i)(2)
and (i)(3) will continue to apply to these
meters.
We are also amending 40 CFR 98.3(i)
to clarify that the calibration accuracy
specifications of 40 CFR 98.3(i)(2) and
(i)(3) do not apply where the use of
company records or the use of best
available information is specified to
quantify fuel usage or other parameters,
nor do they apply to sources that use
Part 75 methodologies to calculate CO2
mass emissions because the Part 75
quality-assurance is sufficient. Although
calibration accuracy requirements are
not applicable for these data sources,
per the requirements of 98.3(g)(5),
reporters are still required to explain in
their monitoring plan the processes and
methods used to collect the necessary
data for the GHG calculations.
We are also amending 40 CFR
98.3(i)(1) to clarify that the calibration
accuracy specifications in 40 CFR
98.3(i)(2) and (i)(3) do not apply to other
measurement devices (e.g., weighing
devices) that provide data for the GHG
emissions calculations. Rather, these
devices must be calibrated to meet the
accuracy requirements of the relevant
subpart(s), or, in the absence of such
requirements, meet appropriate,
technology-based error-limits, such as
industry consensus standards or
manufacturer’s accuracy specifications.
Consistent with 40 CFR 98.3(g)(5)(i)(C),
the procedures and methods used to
quality-assure the data from the
measurement devices must be
documented in the written monitoring
plan.
We are adding a new paragraph 40
CFR 98.3(i)(1)(ii) to clarify that flow
meters and other measurement devices
need to be installed and calibrated by
the date on which data collection needs
to begin, if a facility or supplier
becomes subject to Part 98 after April 1,
2010.
We are adding new paragraph 40 CFR
98.3(i)(1)(iii) to specify the frequency at
which subsequent recalibrations of flow
meters and other measurement devices
must be performed. Recalibration must
be at the frequency specified in each
applicable subpart, or at the frequency
recommended by the manufacturer or
by an industry consensus standard
practice, if no recalibration frequency
was specified in an applicable subpart.
We are adding new paragraph 40 CFR
98.3(i)(7) to specify the consequences of
a failed flow meter calibration. Data
become invalid prospectively, beginning
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at the hour of the failed calibration and
continuing until a successful calibration
is completed. Appropriate substitute
data values must be used during the
period of data invalidation.
In 40 CFR 98.3(i)(2) and (3), we are
adding absolute value signs to the
numerators of Equations A–2 and A–3.
These were inadvertently omitted in the
October 30, 2009 Part 98.
We are also amending 40 CFR
98.3(i)(3) to increase the alternative
accuracy specification for orifice,
nozzle, and venturi flow meters (i.e., the
arithmetic sum of the three transmitter
calibration errors (CE) at each
calibration level) from 5.0 percent to 6.0
percent, since each transmitter is
individually allowed an accuracy of 2.0
percent. We are also amending 40 CFR
98.3(i)(3) for orifice, nozzle, and venturi
flow meters to account for cases where
not all three transmitters for total
pressure, differential pressure, and
temperature are located in the vicinity
of a flow meter’s primary element.
Instead of being required to install
additional transmitters, reporters are, as
described below, conditionally allowed
to use assumed values for temperature
and/or total pressure based on
measurements of these parameters at
remote locations. If only two of the three
transmitters are installed and an
assumed value is used for temperature
or total pressure, the maximum
allowable calibration error is 4.0
percent. If two assumed values are used
and only the differential pressure
transmitter is calibrated, the maximum
allowable calibration error is 2.0
percent.
We are also amending 40 CFR
98.3(i)(3) to add five conditions that
must be met in order for a source to use
assumed values for temperature and/or
total pressure at the flow meter location,
based on measurements of these
parameters at a remote location (or
locations).
• The owner or operator must
demonstrate that the remote readings,
when corrected, are truly representative
of the actual temperature and/or total
pressure at the flow meter location,
under all expected ambient conditions.
Pressure and temperature surveys can
be performed to determine the
difference between the readings
obtained with the remote transmitters
and the actual conditions at the flow
meter location.
• All temperature and/or total
pressure measurements in the
demonstration must be made with
calibrated gauges, sensors, transmitters,
or other appropriate measurement
devices.
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• The methods used for the
demonstration, along with the data from
the demonstration, supporting
engineering calculations (if any), and
the mathematical relationship(s)
between the remote readings and the
actual flow meter conditions derived
from the demonstration data must be
documented in the monitoring plan for
the unit and maintained in a format
suitable for auditing and inspection.
• The temperature and/or total
pressure at the flow meter must be
calculated on a daily basis from the
remotely measured values, and the
measured flow rates must then be
corrected to standard conditions.
• The mathematical correlation(s)
between the remote readings and actual
flow meter conditions must be checked
at least once a year, and any necessary
adjustments must be made to the
correlation(s) going forward.
We are amending 40 CFR 98.3(i)(4) to
include an additional exemption from
the calibration requirements of 40 CFR
98.3(i) for flow meters that are used
exclusively to measure the flow rates of
fuels used for unit startup. For instance,
a meter that is used only to measure the
flow rate of startup fuel (e.g., natural
gas) to a coal-fired unit is exempted.
Section 98.3(i)(4) is being further
amended to clarify that gas billing
meters are exempted from the
monitoring plan and recordkeeping
provisions of 40 CFR 98.3(g)(5)(i)(c),
(g)(6) and (g)(7), which require,
respectively, that a description of the
methods used to quality-assure data
from instruments used to provide data
for the GHG emissions calculations be
included in the written monitoring plan,
that the results of all required
certification and QA tests be kept, and
that maintenance records be kept for
those instruments.
We are amending 40 CFR 98.3(i)(5) to
clarify that flow meters that were
already calibrated according to 40 CFR
98.3(i)(1) following a manufacturer’s
recommended calibration schedule or
an industry consensus calibration
schedule do not need to be recalibrated
by the date specified in 40 CFR
98.3(i)(1) as long as the flow meter is
still within the recommended
calibration interval. This paragraph is
also being amended to clarify that the
deadline for successive calibrations will
be according to the manufacturer’s
recommended calibration schedule or
an industry consensus calibration
schedule.
We are amending 40 CFR 98.3(i)(6) to
account for units and processes that
operate continuously with infrequent
outages and cannot meet the flow meter
calibration deadline without disrupting
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normal process operation. Part 98
allowed the owner or operator to
postpone the initial calibration until the
next scheduled maintenance outage.
Although the rule allowed
postponement of calibration, it did not
specify how to report fuel consumption
for the entire time period extending
from January 1, 2010 until the next
maintenance outage. We are amending
40 CFR 98.3(i)(6) to permit sources to
use the best available data from
company records to quantify fuel usage
until the next scheduled maintenance
outage. This revision addresses
situations where the next scheduled
outage is in 2011, or later.
The major change since proposal is
identified in the following list. The
rationale for this and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Removed the words ‘‘ignition’’ and
‘‘ignition fuel’’ from 40 CFR 98.3(i)(4), so
that only fuel flow meters that are used
exclusively for startup are exempted
from the calibration requirements of 40
CFR 98.3(i).
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
topic. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: We received several
comments relating to the proposed
changes to the calibration accuracy
requirements set in 40 CFR 98.3(i).
Commenters expressed concern that
removing the rule-wide 5 percent
calibration accuracy requirement would
compromise the rule’s data quality. The
commenters noted that a global
calibration accuracy requirement is
necessary to provide data that are
accurate and comparable within and
across industries. By dropping this
requirement, the commenters believed
small calibration errors will
systematically produce major errors in
reported data. For measuring devices
other than flow meters they argued that
it is not clear what an ‘‘appropriate’’
error range is, or what calibration
standards a reporter would deem
‘‘applicable,’’ and suggest that by stating
calibration standards are ‘‘not limited to
industry standards * * *, ’’ EPA is
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waiving calibration requirements for
other measuring devices altogether.
They acknowledge that there is a
requirement to document the calibration
procedure used in the monitoring plan,
but they believe it is not enforceable and
severely reduces transparency. The
commenters contend that the use of
different calibration methods and
varying levels of accuracy would make
it difficult to correctly interpret and
compare the emissions data, and would
render future policy development very
difficult.
In summary, commenters that were
concerned about our removal of the
blanket 5 percent calibration accuracy
requirements asserted that EPA has a
mandate to implement the rule and
cannot promulgate any subsequent rule
that would compromise the quality of
the data reported. They further argue
that it is arbitrary and capricious, in
light of EPA’s reporting mandate, to
waive the calibration accuracy
requirements for any flow meters. All
such meters, they contend, should be
required to meet these minimum
accuracy requirements, with no
exceptions.
Response: We acknowledge the
concerns of the commenters and agree
that a high level of data quality is a
valuable component of any
environmental program. However, we
believe the changes to the calibration
accuracy requirements of 40 CFR 98.3(i)
do not jeopardize the integrity of the
reporting program nor compromise
EPA’s ability to use the data in the
future to support climate policy
development.
As originally promulgated, 40 CFR
98.3(i) required that ‘‘all measurement
devices shall be calibrated to an
accuracy of 5 percent.’’ However, as
promulgated, 40 CFR 98.3(i)(2) and (i)(3)
only provided calibration procedures for
flow meters. No specific procedures
were provided for other measurement
devices. As a result, measurement
devices other than flow meters would
necessarily be calibrated according to
procedures specified in other subparts,
industry consensus methods, or
manufacturer specifications.
In the ‘‘Technical Support Document
for Revision of Certain Provisions:
Proposed Rule for Mandatory Reporting
of Greenhouse Gases,’’ dated July 8,
2010 (the TSD), vendor information on
various types of measuring devices
shows accuracy ranges of significantly
less than 5 percent. Requiring the
calibrations to be performed according
to the accuracy specified by the device
manufacturer, rather than 5 percent,
would likely actually increase the data
accuracy of the rule. In addition, we
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79099
recognize that other programs to which
reporters may be subject impose
calibration standards that will affect
many of the instruments used for
reporting under Part 98. For example,
the tested accuracy of fuel flow meters
and transmitter transducers used in the
Acid Rain Program from 2005 through
2009 was well below 1 percent.
As a result of the wide range of
industries and measuring devices used
within each industry, we have
determined it is not practical to set a
global calibration standard or method
that would apply generically to every
measurement device. Replacing the 5
percent requirement from the 2009 fine
rule with manufacturer’s specifications
or industry specific standards will
provide a higher level of data certainty
across the rule while accommodating
the wide variety of industries and
equipment covered by the rule. We
think it is highly unlikely that
companies will choose to use arbitrary
standards, as the procedures and
methods used to quality-assure the
measurement data must be listed in the
facility or supplier’s monitoring plan.
The commenters correctly note that
the calibration accuracy requirements of
40 CFR 98.3(i) have been removed
where company records or best
available information are used. Since
promulgation, we have consistently
affirmed that meters used to generate
company records are not required to be
calibrated according to 40 CFR 98.3(i).
The purpose behind allowing the use of
company records and best available
information was to permit companies to
use fuel billing receipts or other quality
assured information they currently
maintain. EPA authorized the use of
company records to alleviate burden
and did not intend for such data to be
subject to additional calibration
requirements, which would defeat the
purpose of this flexibility.
To be clear, we disagree with the
commenter’s assertions that we are
‘‘waiving’’ any calibration accuracy
requirements or that certain types of
flow meters would not have to be
calibrated. All measurement
technologies, except for the limited
exceptions in 40 CFR 98.3(i) must meet
calibration accuracy requirements.
Further, most major emission sources
should be covered by either the
requirements of 40 CFR 98.38(i) or
another program that provides a
similarly, if not significantly more,
stringent accuracy requirement. We
have concluded that the amendments to
the calibration accuracy requirements
do not compromise our ability to
implement successfully this reporting
rule.
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Comment: One commenter pointed
out an inconsistency in the proposed
rule regarding the term ‘‘ignition fuel.’’
EPA proposed to amend 40 CFR
98.3(i)(4) to exempt fuel flow meters
that are used exclusively for startup and
ignition fuel from the calibration
requirements of 40 CFR 98.3(i).
However, EPA also proposed in 40 CFR
98.30(d) to exempt pilot lights from
GHG emission reporting requirements.
The commenter noted that pilot lights
are essentially the same as ignitors, and
the reference in 40 CFR 98.3(i)(4) to
flow meters that measure ignition fuel
appears to imply that GHG emissions
from the combustion of ignition fuel
must be reported.
Response: The GHG emissions
reporting exemption for pilot lights in
40 CFR 98.30(d) refers to emissions from
combustion of the fuel that supplies the
pilot light. Therefore, in the final rule,
we have removed the words ‘‘ignition’’
and ‘‘ignition fuel’’ from 40 CFR
98.3(i)(4). Paragraph (i)(4) now refers
only to startup fuel, which is distinctly
different from ignition fuel. For
instance, at startup, a coal-fired boiler
may burn natural gas for several hours
at high heat input values, whereas a
pilot light is a small flame that simply
ignites or initiates combustion of the
main fuel (e.g., fuel oil).
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C. Subpart A—General Provisions:
Reporting of Biogenic Emissions
1. Summary of Final Amendments and
Major Changes Since Proposal
Under the proposed amendments,
EPA’s goal was to reflect in regulatory
language clarifications that have been
issued stating that separate reporting of
biogenic emissions for units subject to
40 CFR part 75 was optional. To clarify
this optional reporting, we proposed to
amend the data elements in subpart A
(specifically 40 CFR 98.3(c)(4)) and
subpart C that currently require separate
accounting and reporting of biogenic
CO2 emissions so that it is optional for
units that are subject to subpart D of this
part or units that use the methods in
part 75 to quantify CO2 mass emissions
in accordance with 40 CFR 98.33(a)(5)
(40 CFR part 75 units or ‘‘part 75 units’’).
More specifically, to effect this
clarification, we proposed to revise the
reporting for all facilities such that all
facilities would report combined nonbiogenic and biogenic CO2, and all
facilities, except those with ‘‘part 75
units,’’ would still have been required to
calculate and report biogenic CO2
emissions separately.
We received numerous adverse
comments on the proposed amendments
that would re-structure 40 CFR
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98.3(c)(4) and clarify that separate
reporting of biogenic CO2 emissions was
optional for ‘‘part 75 units’’. Most
commenters urged EPA to make
separate reporting of biogenic emissions
mandatory for all reporters. Many
commenters also objected to the
restructuring of 40 CFR 98.3(c)(4),
which would have had all units
reporting combined biogenic and nonbiogenic CO2 emissions.
Based on the comments received, we
have decided to withdraw the proposed
re-structuring of 40 CFR 98.3(c)(4). We
have also reconsidered the optional
reporting of biogenic CO2 emissions
reporting for ‘‘part 75 units’’. In the final
rule, a new paragraph, (c)(12), has been
added to 40 CFR 98.3(c), which states
that reporting biogenic CO2 is optional
for ‘‘part 75 units’’ only for the first year
of the program (i.e., for the 2010
reporting year). Thereafter, all ‘‘part 75
units’’ must separately report their
biogenic CO2 emissions. We are
allowing the optional biogenic CO2
emissions reporting for the 2010
reporting year in light of the 2009 final
rule, as well as our previous statements
and guidance on the issue. It is likely
that at least some 40 CFR part 75
sources are following that policy
guidance and have elected not to
separately report biogenic CO2
emissions. It is equally likely that these
sources have not been keeping the
necessary records or performing the
required emission testing to enable them
to report these emissions for 2010.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Retaining the facility level reporting
requirements from the 2009 final rule
(74 FR 56373) in 40 CFR 98.3(c)(4) that
requires reporting of CO2 emissions
(excluding biogenic CO2) and separate
reporting of biogenic emissions.
• Introducing new paragraph 40 CFR
98.3(c)(12) that allows facilities with 40
CFR part 75 units the option to include
biogenic emissions in their facility totals
for the 2010 reporting year only.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
topic. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
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Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: EPA received a large
number of comments related to the
proposed amendments to make separate
reporting of biogenic CO2 emissions
optional for units subject to 40 CFR part
75. The three main concerns, each
raised by multiple commenters, were
that (1) all reporters should be required
to separately report biogenic CO2
emissions; (2) reporters should never be
required to combine fossil CO2 and
biogenic CO2; and, (3) if EPA
nevertheless finalizes requirements
allowing separate reporting of biogenic
CO2 to be optional for units subject to
40 CFR part 75, then EPA’s
implementation of the proposed
revisions should be narrower in scope
and not affect reporting requirements for
all reporters.
Regarding the first issue, some
commenters argued that the
requirements of the Acid Rain Program
(ARP) should not constrain EPA in the
GHG context and that all reporters
under 40 CFR part 98 should be
required to report biogenic CO2
emissions, regardless of the fact that
such separate reporting is not a
requirement in ARP. Commenters
suggested that this is important for
consistency across the GHG Reporting
Program.
Several commenters suggested that it
is never appropriate to combine fossil
CO2 and biogenic CO2 into a single
reported value. Commenters noted that
there is a distinction between fossil CO2
and biogenic CO2 and that in order to
ensure transparency for future climate
policy these two values should not be
combined into a single reported
emissions value. Further, they argued
that EPA’s proposed requirement for
sources to combine fossil and biogenic
emissions together in one total ignores
the natural biomass carbon cycle and is
counter to the principle of ‘‘carbon
neutrality,’’ thereby overstating net CO2
entering the atmosphere.
The commenters suggested that
requiring separate reporting of biogenic
CO2 is consistent with the
Intergovernmental Panel on Climate
Change and national, regional, and
corporate GHG protocols and that EPA
should not depart from this established
accounting convention. These
commenters also pointed out that EPA
uses this same rationale for requiring
separate reporting of biogenic CO2
emissions in its own response to
comments to the GHG Reporting Rule
(74 FR 56351). Further, the commenters
articulated that separate reporting of
biogenic emissions is necessary to
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provide the public and policymakers
with information on the extent of
biomass combustion and the sectors of
the economy where biomass fuels are
used, which is information important
for developing future climate policy.
Several organizations also commented
that an accurate, economy-wide
inventory of biogenic CO2 emissions is
important because the evidence to date
demonstrates that biomass is not
inherently carbon neutral.
Finally, commenters noted that if EPA
nevertheless decides to finalize the rule
allowing optional reporting of biogenic
CO2 emissions for 40 CFR part 75 units,
EPA should modify the proposed rule so
the amendments affect only facilities
with part 75 units, and do not change
the reporting requirements for all other
reporters. Commenters were concerned
that EPA’s proposed change required all
reporters to report total CO2 (including
biogenic CO2 emissions), but only
required facilities with non-part 75
units to report their biogenic emissions
separately. Facilities with part 75 units
would have the option to report
separately biogenic CO2 from those
units. The commenters suggested that if
EPA chooses to finalize optional
separate reporting for part 75 units, then
EPA should revert to the reporting
requirements in subpart A that were in
the 2009 final rule (i.e., report CO2
excluding biogenic CO2) (74 FR 56379)
for all other reporters and add a new
paragraph specifically for facilities with
part 75 units.
Response: We appreciate the
significant feedback generated by the
proposed amendments designed to
clarify that separate reporting of
biogenic emissions was optional for
units subject to 40 CFR part 75. We also
recognize that many industry and
environmental groups have significant
interest in the treatment of biomass in
GHG reports, and specifically in the
accounting of biogenic CO2 emissions.
Based on the significant feedback
received, including comments received
from facilities with 40 CFR part 75
units, as well as the fact that one of the
fundamental goals of the Greenhouse
Gas Reporting Program (GHGRP) is to
collect data to support a range of
potential future climate policies, we
have reconsidered our position and
decided to make the separate reporting
of biogenic emissions mandatory for
part 75 units beginning in the 2011
reporting year. Separate reporting of
biogenic CO2 emissions is optional for
these units in the 2010 reporting year.
Per the requirements in the new
paragraph 40 CFR 98.3(c)(12), facilities
with one or more part 75 units must
elect in the 2010 reporting year whether
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to report biogenic CO2 emissions from
40 CFR part 75 units separately, or
report only total CO2 emissions
(including biogenic CO2) for the 40 CFR
part 75 units at their facility. Beginning
in the 2011 reporting year, these
facilities must separately report biogenic
CO2 emissions for the entire facility per
the requirements in 40 CFR 98.3(c)(4),
like all other facilities.
In addition, the final rule does not
adopt the proposed restructuring of 40
CFR 98.3(c)(4) and leaves in place the
facility-level reporting requirements in
40 CFR 98.3(c)(4) for any facility in 2010
or for future years. All other facilities,
except those with part 75 units, must, as
finalized in the 2009 final rule, report
CO2 (excluding biogenic CO2) and then
report separately biogenic CO2
emissions. We would note that neither
the original proposed amendments, nor
the amendments finalized today, affect
the fact that biogenic CO2 emissions are
excluded from the applicability
determination under 40 CFR 98.2.
Commenters provided many reasons
for supporting mandatory separate
reporting of biogenic CO2 emissions
from all facilities, including the
increased transparency that such
reporting brings. Some commenters
supported the assumption of the carbon
neutrality of biomass while others
dispelled it, but both sides were united
in their comments that it is important to
understand the GHG emissions
associated with biomass consumption.
Our decision to also require separate
reporting of biogenic emissions for units
that use the methods in 40 CFR part 75
is founded solely on the principle that
having data available at a more
disaggregated level for a reporting
program like this one improves
transparency and better enables us and
other stakeholders to use the data to
evaluate future potential policy options,
without prejudging what those policies
might be. This decision is not based on
any conclusions about ‘‘carbon
neutrality’’ or the appropriateness of
combining fossil CO2 and biogenic CO2
into a single value.4 Rather, EPA’s
approach preserves the flexibility for the
Agency and for stakeholders to
understand reported CO2 emissions in
multiple ways. Despite the benefits of
having separate data with which to
distinguish biogenic CO2 emissions,
which we do not dispute, the 2009 final
4 EPA requested comment on approaches to
accounting for GHG emissions from bioenergy and
other biogenic sources earlier this year. The Call for
Information (75 FR 41173 and 75 FR 45112),
supporting information and comments can be found
in docket EPA–HQ–OAR–2010–0560. Please refer to
those documents for more information about this
issue.
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rule did not require this reporting for
units subject to 40 CFR part 75. This is
consistent with the Response to
Comments document for subpart D of
the final rule 5 where it states ‘‘It is
EPA’s intent that Acid Rain Program
units will be able to continue to
measure and report CO2 emissions as
they do under the Acid Rain Program’’
which did not require separate reporting
of biogenic CO2. However, when we
opened the relevant paragraphs to
notice and comment, we received
overwhelming support for making the
separate reporting of biogenic CO2
emissions mandatory, including from
facilities with part 75 units. This
support, in combination with the value
of having the data for policy analysis,
led us to reconsider our position and
require separate reporting of biogenic
CO2 emissions beginning in the 2011
reporting year for the 40 CFR part 75
units. We decided to retain optional
reporting for the 2010 reporting year
due to the fact that we have provided
guidance indicating that separate
reporting was optional for these part 75
units, and therefore, some facilities may
not have incorporated procedures into
their monitoring plans or developed
internal systems for collecting the
necessary information to facilitate the
biogenic CO2 emissions calculations.
To implement the changes described
above, we are adding new paragraph 40
CFR 98.3(c)(12), as well as amending
paragraphs 40 CFR 98.33(e) (to provide
an additional option for part 75 units to
calculate the biogenic CO2 emissions),
40 CFR 98.34(f), several paragraphs in
40 CFR 98.36(d), and 40 CFR 98.43.
D. Subpart A—General Provisions:
Requirements for Correction and
Resubmission of Annual Reports
1. Summary of Final Amendments and
Major Changes Since Proposal
Subpart A, as promulgated in October
2009, required that an ‘‘owner or
operator shall submit a revised report
within 45 days of discovering or being
notified by EPA of errors in an annual
GHG report. The revised report must
correct all identified errors. * * *’’ We
are amending 40 CFR 98.3(h) to clarify
the types of errors that trigger a
resubmission and the process for
resubmitting annual GHG reports.
First, reports only have to be
resubmitted when the owner or operator
or the Administrator determines that a
5 Mandatory Greenhouse Gas Reporting Rule,
EPA’s Response to Public Comments, Volume 16,
Subpart D Electricity Generation. Found at https://
www.epa.gov/climatechange/emissions/
downloads09/documents/SubpartD–Comment
Reponses.pdf.
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substantive error exists. A substantive
error is defined as one that impacts the
quantity of GHG emissions reported or
otherwise prevents the reported data
from being validated or verified. This
clarification is important because some
errors are not significant (e.g., an error
in the zip code) and do not impact
emissions. Such non-significant errors
will not obligate the owner or operator
to resubmit the annual report.
The owner or operator is required to
resubmit the report within 45 days of
identifying the substantive error, or of
being notified by the Administrator of a
substantive error, unless the owner or
operator provides information
demonstrating that the previously
submitted report does not contain the
identified substantive error or that the
identified error is not a substantive
error. This amendment provides owners
and operators the opportunity to
demonstrate whether an error the
Administrator has deemed to be a
substantive error is not, in fact, a
substantive error.
Finally, we are also allowing owners
and operators to request an extension of
the 45-day resubmission deadline to
address facility-specific circumstances
that arise in either correcting an error or
determining whether or not an
identified error is, in fact, a substantive
error. Owners and operators are
required to notify EPA by e-mail at least
two business days prior to the end of the
45-day resubmission deadline if they
seek an extension. An automatic 30-day
extension will be granted if EPA does
not respond to the extension request by
the end of the 45-day period.
We are including the opportunity to
extend the period for resubmission in
recognition that the data system is still
under development and we do not yet
fully know the full range of errors that
will be identified and, therefore, the
time required to address such errors.
Verification and quality assurance and
quality control checks are currently
under development in the data system.
Some flags that the data system might
generate will not necessarily reflect
substantive errors, but rather will be
flags to alert the owner or operator to
review the submission carefully to make
sure the information provided is correct.
On the other hand, some flags could
identify substantive errors that affect the
overall GHG emissions reported to EPA.
Although we have concluded that it is
important to provide facilities and
suppliers the opportunity to extend this
deadline, we believe that the 45-day
time period is a sufficient time period
for the vast majority of facilities and
suppliers.
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There have been no major changes
from proposal regarding requirements
for correction and resubmission of
annual reports.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
comments received can be found in the
document, ‘‘Response to Comments:
Revision to Certain Provisions of the
Mandatory Reporting of Greenhouse
Gases Rule’’ (see EPA–HQ–OAR–2008–
0508).
Comment: One commenter,
representing several organizations, was
concerned that the amended process for
submitting revised annual GHG reports
upon identification or notification by
EPA of an error was too complex and
would substantially slow down
correction of reported errors. Generally,
they asserted that the 45-day process
that was in the final Part 98 (74 FR
56381) should be appropriate for most
reporters, and to the extent there were
any outliers, then EPA could use
enforcement discretion for those
specific reporters as opposed to
changing the rule for all reporters. The
commenter was further concerned that
EPA proposed to allow reporters to
extend their resubmission deadline in
the event of a disagreement between
EPA and the reporter, by at least 30
days. The commenters suggested that
the process does not give EPA a clear
method to dispute these points with
operators, does not specify that EPA’s
view trumps the operator’s opinion, and
does not allow members of the public to
argue that an error is, in fact,
substantive, and must be corrected.
They contended that the overall process
could take months or years to correct
errors, and the operators may still refuse
to correct some of them. They argued
this is a departure from the existing
rule, and serves only to hinder what was
a straightforward and effective process.
Response: The process in these final
rule amendments for submission of
revised annual GHG reports to correct
any substantive errors in these reports is
reasonable and consistent with the
purpose of the GHG Reporting Program.
The purpose of these reporting
requirements is to provide EPA with
accurate and timely information on
greenhouse gases in order to gain a
better understanding of the relative
emissions of specific industries and
facilities, the factors that influence
emission rates, and the actions that
facilities could in the future, or already
take, to reduce emissions. In light of this
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purpose, it is reasonable to focus an
ongoing requirement to correct errors in
an annual report on ‘‘substantive errors,’’
i.e., errors that affect emissions data
quality, validation, or verification.
Further, because this is a new program
covering a wide variety of industries
and processes, some of whom may not
be familiar with GHG accounting and
reporting, we have determined that
under these circumstances it is
reasonable to establish a procedure
engaging owners and operators on
whether the annual report actually
contains identified ‘‘substantive errors.’’
The commenters’ claims that this
procedure provides no ‘‘clear method’’ of
determining what are substantive errors,
may take ‘‘months, perhaps years,’’ may
result in owners refusing to correct
errors, and is unnecessary are
unsupported and speculative. First, EPA
has concluded that the definition of
‘‘substantive error’’—an error that
impacts emissions data quality or
otherwise prevents the data from being
validated or verified—is reasonably
clear and is consistent with the
purposes of GHG emissions reporting.
The commenter fails to show what is
unclear about this definition, nor why it
is unreasonable to focus corrections on
substantive errors, versus insignificant
ones that do not impact the accuracy of
submitted information.
Second, these final rule amendments
set time limits for correction of
substantive errors, i.e., correction
through submission of a revised annual
GHG report within 45 days of discovery
(or notification by EPA of the errors)
plus any ‘‘reasonable extensions’’ of time
(including one automatic 30 day
extension). The commenter fails to
provide any basis for conflating these
limited time frames into periods of
many months or years. Further, because
refusal by an owner or operator to
correct substantive errors within the
appropriate time frame would be a
violation of the CAA and subject to
significant civil penalties, the
commenter has no basis for assuming
that owners and operators would simply
refuse to make the corrections.
Third, the error correction process
provides a standard process that is
applicable to all owners and operators
and that owners and operators and EPA
can use to attempt to resolve issues
concerning error correction. EPA has
determined that this process will likely
result in more efficient error correction
and resolution of error correction issues
by setting a limited time for contesting
EPA’s identification of substantive
errors. In addition, EPA’s provision of a
standard process provides more
certainty for owners and operators of an
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opportunity to resolve issues than if
EPA were simply to rely on enforcement
discretion, as recommended by a
commenter.
The commenters also claimed the
public will have no opportunity to argue
that errors are substantive and should be
corrected. However, this does not
represent a change from the error
correction process under the 2009 final
rule. The amendments for resubmission
of annual reports did not change public
involvement in the resubmission
process.
The process in today’s rule better
focuses the resources of EPA, regulated
industries and the public on those errors
that are most relevant to generating
accurate data.
Comment: Several commenters
requested that EPA provide a numerical
determination of what is a ‘‘substantive
error.’’ One commenter proposed a +/¥
10 percent change in the reported GHG
emissions value as a result of the
identified error. Another commenter
requested that EPA clarify that
substantive errors are only those that
exceed 1 percent to 5 percent of the total
annual CO2 equivalent emissions.
One commenter requested that, in the
final preamble, EPA clarify that any
error not be considered substantive
unless it exceeds 1 percent to 5 percent
of the total annual CO2 equivalent
(‘‘CO2e’’) emission amount reported by
an individual reporting facility. The
commenter also requested that EPA
modify the ‘‘contains one or more
substantive errors’’ language to allow the
agency flexibility to investigate
potential as well as documented errors.
Response: The final rule defines
substantive error as an error that
impacts the quantity of GHG emissions
reported or otherwise prevents the
reported data from being validated or
verified. EPA has determined that it is
not appropriate to establish a threshold
below which errors do not have to be
corrected and resubmitted. EPA has
determined that if an error in the GHG
emissions estimate occurs, then that
emissions error should be corrected and
the annual GHG emissions report
resubmitted. If a facility were to go
through the process of identifying the
estimate in GHG emissions, calculating
what the GHG emissions total should
have been, and then determining the
percent difference between the original
reported estimate and the revised
estimate, then the reporter has all of the
information necessary to report that
revised estimate.
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E. Subpart A—General Provisions:
Information To Record for Missing Data
Events
1. Summary of Final Amendments and
Major Changes Since Proposal
We are amending 40 CFR 98.3(g)(4) by
removing requirements to maintain
records on the duration of a missing
data event and actions taken to
minimize future occurrences, while
retaining the requirement that records
be kept of the cause of each missing data
event and the corrective actions taken.
We are also clarifying that the records
retained pursuant to 40 CFR 75.57(h)
may be used to meet the recordkeeping
requirements under Part 98 for the same
missing data events.
There have been no major changes
from proposal regarding recordkeeping
requirements for missing data events.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: Some commenters stated
that although EPA has justified this
proposal by noting that 40 CFR part 75
does not require separate accounting of
‘‘the duration of missing data events or
* * * actions taken to minimize
occurrence in the future,’’ that alone is
not sufficient justification for not
including these requirements under the
reporting program. The commenters
asserted that part 75’s requirements do
not constrain EPA’s obligations in the
GHG context. The commenters wrote
that reporting the duration of a missing
data event cannot be considered overly
burdensome because reporters that
accurately use missing data procedures
must know the duration of missing data
events and so must be collecting this
information regardless. Also, the
commenters indicated that most
facilities covered by the rule do not use
CEMS, and thus, EPA should not change
the ‘‘minimize occurrence’’ requirement
for all reporters (CEMS users and nonCEMS users) because missing data
events associated with the use of CEMS
often have no clear measures to avoid
similar occurrences in the future.
Response: With respect to removal of
the requirement to record the duration
of a missing data event, EPA determined
that the requirement in 40 CFR
98.3(c)(8) to report the total number of
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hours in the year that missing data are
used for each data element provides
sufficient information for purposes of
the GHG Reporting Program. Although
the ‘‘total number of hours’’ will not
provide information on the duration of
each missing data event, EPA will know
the total fraction of the year for which
missing data are used for a particular
data element. We have determined that
this information provides EPA sufficient
information on the extent of use of the
missing data provisions for any given
reporter.
EPA also decided to remove
recordkeeping requirements related to
‘‘actions taken to prevent or minimize
occurrence in the future’’ after
considering the value of the potential
loss of data as compared to the burden
of compliance with the rule as written.
As described below, we determined that
sufficient information is available
regarding missing data without
requiring this additional information.
First, reporters must report annual
hours for each missing data element.
Through this reported data, EPA can
identify whether missing data is
particularly prevalent for a given data
element at a given facility. Second,
records must be retained on the cause of
the event and actions taken to restore
malfunctioning equipment. If EPA elects
to review these records, this
information, along with reported
information on the total hours of
missing data for each data element, will
suggest whether the source is taking
action to prevent or minimize
occurrence in the future. Therefore, we
have determined that it is not necessary
to collect information specifically on
actions taken to prevent or minimize
occurrence of missing data in the future.
EPA acknowledges the point made by
the commenters that most facilities
subject to the rule do not use CEMS, and
therefore, this fact can not be used as a
justification for removing requirements
related to minimizing future occurrence.
Further, EPA agrees that information on
duration would likely be collected when
following the applicable missing data
procedures. Nevertheless, based on the
preceding discussion, EPA has
concluded that sufficient data will be
available on missing data through the
required reporting of total number of
hours in the year that missing data are
used for each data element (per 40 CFR
98.3(c)(8)), and the recordkeeping
requirements on cause of the event and
actions taken to restore malfunctioning
equipment. EPA has determined that
requiring collection and retention of
additional data on duration and actions
taken to prevent or minimize occurrence
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these gases under 40 CFR 98.3(c)(5)(ii)
(in metric tons of GHG).
We are amending 40 CFR 98.3(d)(3) to
F. Subpart A—General Provisions: Other correct the year in which reporters that
Technical Corrections and Amendments submit an abbreviated report for 2010
must submit a full report, from 2011 to
1. Summary of Final Amendments and
2012. The full report submitted in 2012
Major Changes Since Proposal
will be for the 2011 reporting year.
We are making several additional
We are amending 40 CFR 98.3(f) to
amendments to subpart A, as follows.
correct the cross-reference from
We are making technical corrections
to 40 CFR 98.3(c)(4)(i) through (c)(4)(iii) ‘‘§ 98.3(c)(8)’’ to ‘‘§ 98.3(c)(9).’’ We are
amending 40 CFR 98.3(g)(5)(iii) to
and (c)(4)(vi) to clarify that facilities
correct a spelling error.
must report GHG emissions from all
We are amending the elements
applicable source categories, which
required with a certificate of
includes general stationary fuel
representation under 40 CFR 98.4(i)(2)
combustion, miscellaneous carbonates
to include organization name (company
and any other source category covered
affiliation-employer). We are also
by Part 98. This is consistent with the
adding the same element to the
language in the 2009 final rule which
delegation by designated representative
required facilities to report emissions
and alternate designated representative
from all applicable source categories in
under 40 CFR 98.4(m)(2). Part 98 and
subparts C through JJ. In a recent final
the amendments do not require the
rule (July 12, 2010, 75 FR 39736) we
updated 40 CFR 98.2 to remove the lists designated representative, alternate
designated representative, or agent to be
of source categories covered by the rule
an employee of the reporting entity. If
and replace the list with Tables,
specifically Table A–3 and Table A–4 of a designated representative further
delegates their authority to an agent the
this chapter. This change was merely a
agent gains access to all data for that
reorganization and did not change
facility or supplier. To underline the
applicability under the rule. The
importance of granting access to the
reformatting from lists to tables would
correct person, EPA requires the
enable EPA to add source categories in
designated representative (or alternate)
the future, and therefore add new
to confirm each agent delegation.
subparts to the rule, without having to
Adding organization name to the
update all language referring to
‘‘subparts C through JJ.’’ In finalizing that certificate of representation and notice
of delegation adds a level of assurance
rule, we made the appropriate changes
to 40 CFR 98.2 indicating facilities must to the confirmation process.
Finally, we are amending 40 CFR 98.6
report GHG emissions from stationary
(Definitions) and 40 CFR 98.7 (What
fuel combustion sources, miscellaneous
standardized methods are incorporated
use of carbonates and all applicable
by reference into this part?). We are
source categories in Table A–3 and
adding or changing several definitions
Table A–4. However, only the references
to subpart A, which are needed to
to Table A–3 and Table A–4 were
clarify terms used in other subparts of
carried over to 40 CFR 98.3(c), which
Part 98.
might suggest that facilities did not have
We are amending the definitions of
to report emissions from general
several terms in 40 CFR 98.6:
stationary combustion, because
• Bulk natural gas liquid
combustion is not in Table A–3 or Table
• Distillate fuel oil
A–4. We are therefore amending 40 CFR
• Fossil fuel
98.3(c) to clarify that facilities must also
• Fuel gas
report emissions from general stationary
• Municipal solid waste or MSW
combustion and miscellaneous use of
• Natural gas
carbonates.
• Natural gas liquids, and
We are amending 40 CFR 98.3(c)(5)(i)
• Standard conditions
Bulk natural gas liquid. We are
to clarify that for the purposes of
amending the definitions of ‘‘bulk
meeting the requirements of this
natural gas liquid or NGL’’ and ‘‘natural
paragraph, suppliers of industrial
fluorinated GHGs only need to calculate gas liquids (NGL)’’ by removing the
phrase ‘‘lease separators and field
and report GHG emissions in mtCO2e
facilities’’ for enhanced clarity. We have
for those fluorinated GHGs that are
retained the words ‘‘or other methods’’
listed in Table A–1. Suppliers of
industrial fluorinated GHGs do not need in both definitions because the list of
separation processes in the definitions
to calculate and report GHG emissions
in metric tons CO2 equivalents (mtCO2e) (absorption, condensation, adsorption)
for fluorinated GHGs not listed in Table is not exhaustive, and other separation/
extraction processes may be employed
A–1. However, it is important to note
that suppliers are still required to report at some facilities. We do not wish to
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in the future is not necessary under the
reporting program at this time.
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exclude the reporting of emissions
associated with products separated/
extracted by means not explicitly stated
in the rule.
Distillate fuel oil. We are expanding
the definition of ‘‘Distillate fuel oil’’ to
include kerosene-type jet fuel.
Fossil fuel. We are amending the
definition of fossil fuel, as proposed, to
read, ‘‘Fossil fuel means natural gas,
petroleum, coal, or any form of solid,
liquid, or gaseous fuel derived from
such material for purpose of creating
useful heat.’’ This amendment finalizes
the same definition of fossil fuel that
was originally proposed in April 2009
(74 FR 16621), but was subsequently
amended in the final Part 98 (74 FR
56387). The change is not intended to
have any impact on coverage of
greenhouse gases under the GHG
Reporting Program.
Fuel gas. We are amending the
definition of fuel gas to clarify that it
includes only gas generated at refineries
or petrochemical processes subject to
subpart X and to remove the phrase ‘‘or
similar industrial process unit.’’ For a
fuel explanation of this final change,
please see the Comments and Response
discussion under Section II.G of this
preamble.
Municipal solid waste. We are
amending the definition of municipal
solid waste to be similar to, but not
exactly the same as, the definition of
‘‘municipal solid waste’’ in subpart Ea of
the NSPS regulations (40 CFR 60.51a).
The amended definition explains what
is meant by ‘‘household waste,’’
‘‘commercial/retail waste,’’ and
‘‘institutional waste.’’ Household,
commercial/retail, and institutional
wastes include yard waste, refusederived fuel, and motor vehicle
maintenance materials. Insofar as there
is separate collection, processing and
disposal of industrial source waste
streams consisting of used oil, wood
pallets, construction, renovation, and
demolition wastes (which includes, but
is not limited to, railroad ties and
telephone poles), paper, clean wood,
plastics, industrial process or
manufacturing wastes, medical waste,
motor vehicle parts or vehicle fluff, or
used tires that do not contain hazardous
waste identified or listed under 42
U.S.C. 6921, such wastes are not
municipal solid waste. However, such
wastes qualify as municipal solid waste
where they are collected with other
municipal solid waste or are otherwise
combined with other municipal solid
waste for processing and/or disposal.
Natural gas. We are finalizing the
definition of natural gas to remove any
specifications regarding Btu value or
methane content. The final definition
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reads, ‘‘Natural gas means a naturally
occurring mixture of hydrocarbon and
non-hydrocarbon gases found in
geologic formations beneath the earth’s
surface, of which the principal
constituent is methane. Natural gas may
be field quality or pipeline quality.’’ For
a full explanation of this final change,
please see the Comments and Response
discussion under this section of the
preamble.
Standard conditions. For consistency
across the rule, and to reflect typical
operating procedures at various types of
industries covered by 40 CFR part 98,
we are amending the definition of
standard conditions to mean either 60 or
68 degrees Fahrenheit and 14.7 pounds
per square inch absolute.
We are adding definitions of the
following terms to 40 CFR 98.6 to
address the large number of questions
received requesting clarification on the
meaning of these terms:
• Agricultural by-products,
• Primary fuel,
• Solid by-products,
• Used oil, and
• Wood residuals.
We received no comments on the
definitions of ‘‘Agricultural byproducts,’’ ‘‘Primary fuel,’’ and ‘‘Solid byproducts.’’ Therefore, these definitions
have been finalized, as proposed. For
the purposes of Part 98, ‘‘Agricultural
by-products’’ includes the parts of crops
that are not ordinarily used for food
(e.g., corn straw, peanut shells, pomace,
etc.). ‘‘Primary fuel’’ is defined as the
fuel that contributes the greatest
percentage of the annual heat input to
a combustion unit. ‘‘Solid by-products’’
includes plant matter such as vegetable
waste, animal materials/wastes, and
other solid biomass, except for wood,
wood waste and sulphite lyes (black
liquor).
We proposed to add the term ‘‘waste
oil’’ to Table C–1 but we received
comment use of the term ‘‘waste oil’’
could result in used oil being classified
as hazardous waste. We have therefore
changed the term to ‘‘used oil.’’ Used oil
has been added to Table C–1 as a new
fuel type, and is defined as a petroleumderived or synthetically-derived oil
whose physical properties have changed
as a result of handling or use, such that
the oil cannot be used for its original
purpose. Used oil consists primarily of
automotive oils (e.g., used motor oil,
transmission oil, hydraulic fluids, brake
fluid, etc.) and industrial oils (e.g.,
industrial engine oils, metalworking
oils, process oils, industrial grease, etc).
For a full explanation of this final
change, please see the Comments and
Response discussion under this section
of the preamble.
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The definition of ‘‘wood residuals’’
has been finalized similar to the
proposal, but EPA has also specifically
included trim, sander dust, and sawdust
from wood products manufacturing
(including resinated wood product
residuals) in the final definition.
We are amending 40 CFR 98.7
(Incorporation by reference) to
accommodate changes in the standard
methods that are allowed by other
subparts of Part 98. The rationale for
any additions or deletions of methods in
a particular subpart is discussed in the
relevant subpart.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Not adopting the proposed
amendments to 40 CFR 98.3(c)(1) to
report a facility or supplier ID number.
• Clarifying the definition of
municipal solid waste. Clarifying that
separate collection, processing and
disposal of industrial source waste
streams consisting of used oil, wood
pallets, construction, renovation, and
demolition wastes, clean wood,
industrial process or manufacturing
wastes, medical waste, motor vehicle
parts or vehicle fluff, or used tires that
do not contain hazardous waste
identified or listed under 42 U.S.C.
6921, are not municipal solid waste.
However, such wastes qualify as
municipal solid waste where they are
collected with other municipal solid
waste or are otherwise combined with
other municipal solid waste for
processing and/or disposal.
• Finalizing the definition of natural
gas to remove any specifications
regarding Btu value or methane content.
• Amending the definition of
standard conditions to provide two
alternatives.
• Replacing the term ‘‘waste oil’’ with
‘‘used oil.’’
• Amending the definition of ‘‘wood
residuals’’ to include trim, sander dust
and sawdust from wood products
manufacturing, including resinated
wood product residuals.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
comments received can be found in the
document, ‘‘Response to Comments:
Revision to Certain Provisions of the
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Mandatory Reporting of Greenhouse
Gases Rule’’ (see EPA–HQ–OAR–2008–
0508).
Comment: Several commenters
objected to the proposed definition of
municipal solid waste or MSW. One
commenter in particular pointed to the
regulatory history of the definition in 40
CFR 60, subpart Ea, indicating that some
of the materials excluded by the
proposed definition under 40 CFR part
98 are often included in MSW.
According to the commenter, some of
the exclusions in subpart Ea were added
to the definition to provide an
exemption to certain sources that
combust materials such as used oil or
wood pellets separately. By excluding
materials often considered to be part of
MSW, the commenter expressed
concern that the proposed definition of
MSW in 40 CFR part 98 might force
some municipal waste combustors who
considered themselves to be combusting
MSW and would therefore otherwise be
allowed to use Tier 2, to not meet the
definition of MSW under 40 CFR part 98
and therefore have to install CEMS and
use the Tier 4 methodology to quantify
CO2 emissions.
Response: EPA proposed to amend
the definition of MSW to provide greater
clarity on what is included as MSW.
Several questions were raised during
implementation of the GHGRP because
the definition of MSW in the final Part
98 rule was too generic and did not
define terms such as ‘‘house,
commercial/retail, and institutional
waste.’’ To clarify the definition, EPA
sought to use another EPA definition of
the term, and did not intend to push
some municipal waste combustors into
a higher tier. Based on supplementary
information provided by the commenter
(please refer to EPA–HQ–OAR–2008–
0508), the final definition of MSW
includes materials that should not have
been excluded, and clarifies that when
these materials are extracted from MSW
and combusted separately, they are not
classified as MSW.
Comment: Two commenters on the
definition of ‘‘Natural gas’’ pointed out
that not all natural gas (particularly field
gas) can consistently meet the proposed
specifications. The commenters were
concerned that EPA’s proposal to
include specifications that natural gas
must be composed of at least 70 percent
methane by volume or have a high heat
value between 910 and 1,150 Btu per
standard cubic foot would be
problematic for subpart W, when
finalized, because these ranges could
exclude field gas.
Response: The definition of natural
gas in the final rule caused significant
confusion because it included not only
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naturally occurring mixtures of
hydrocarbons, but also fuels such as
field gas, process gas and fuel gas. We
proposed to change the definition of
‘‘natural gas’’ to include specifications
on the methane content and a range of
Btu values that must be achieved before
the gas can be referred to as ‘‘natural
gas.’’ Clarifying the definition of natural
gas is important, particularly given that
it is a fuel in Table C–1 and if an owner
or operator burns a fuel outside the
range of the specifications, then they
could be pushed into Tier 3 if any unit
has a maximum rated heat input
capacity greater than 250 million British
thermal units per hour (mmBtu/hr).
Based on the comments received we
have decided to finalize the definition
of natural gas without any specifications
regarding minimum or maximum Btu
values or a minimum methane content.
Although the commenters were
concerned specifically about the
implications of the definition of natural
gas for the oil and gas industry, where
the fuels combusted can often fall
outside the listed specifications thereby
potentially forcing them into Tier 3,
these concerns did not weigh heavily
into our determination to remove the
specifications. Rather, we considered
that most facilities subject to subpart C
only typically burn natural gas within
the proposed specifications. For these
facilities, it was not necessary to list
specifications, because most would
already fall into the specifications we
had proposed. Further, we were
concerned that by introducing
specifications to the definition of
natural gas we could inadvertently push
a small number of owners or operators
into Tier 3, if they have been
combusting a fuel outside that range.
It is true that facilities in the oil and
gas industry are more likely to combust
gas outside the listed specifications
(e.g., field gas). However, facilities in
the oil and gas industry will be subject
to the reporting requirements under
subpart W beginning with the 2011
reporting year. The concerns raised by
the commenters with respect to
calculating combustion-related
emissions from natural gas were
explicitly considered within the context
of subpart W.
Comment: One commenter brought to
our attention that the term ‘‘used oil’’ is
more appropriate than ‘‘waste oil.’’
According to the commenter, the term
‘‘waste oil’’ could result in used oil being
classified as hazardous waste rather
than traditional fuel, and might bring
the Resource Conservation and
Recovery Act program into view.
Response: Without indicating whether
we agree with the commenter’s concern
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or not, we have decided to avoid
potential complication or confusion and
have replaced the term ‘‘waste oil’’ with
‘‘used oil’’ in the final rule.
Comment: We received two comments
on the definition of ‘‘wood residuals.’’
Both commenters requested that the
definition explicitly include trim,
sander dust and sawdust from wood
products manufacturing, including
resinated wood product residuals
because they were concerned that the
proposed definition was too broad and
it was not clear if these products were
included.
Response: We agree with the
commenter. We did not intend to
exclude these types of products from the
definition of wood residuals and agree
that these terms should be included in
the definition in order to provide
clarity.
Comment: Several commenters
expressed concern about EPA’s proposal
to add a reporting requirement for
facility ID. Two commenters suggested
that EPA provide a separate public
comment period for including a facility
ID reporting requirement, and in that
proposal, include a specific mechanism
for assigning the ID numbers.
Response: Although we maintain that
assigning a unique ID number to each
facility or supplier, for administrative
purposes, is important to facilitate
program implementation, we have
decided it is not necessary to finalize
this reporting requirement at this time,
given the concerns raised by the
commenters. We will consider this issue
further for future rulemakings. Note that
we are still finalizing the technical
clarification in 40 CFR 98.3(c)(1) that it
is the physical street address of the
facility or supplier that must be
reported.
G. Subpart C—General Stationary Fuel
Combustion
1. Summary of Final Amendments and
Major Changes Since Proposal
Numerous issues have been raised by
owners and operators in relation to the
requirements in subpart C for general
stationary fuel combustion. The issues
being addressed by the final
amendments include the following:
• Definition of the source category.
• GHGs to report.
• Calculating GHG emissions.
• Natural gas consumption expressed
in therms.
• Use of Equation C–2b.
• Categories of gaseous fuels.
• Use of mass-based gas flow meters.
• Site-specific stack gas moisture
content values.
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• Determining emissions from an
exhaust stream diverted from a CEMS
monitored stack.
• Biomass combustion in Part 75
units using the CO2 calculation
methodologies in 40 CFR 98.33(a)(5).
• Use of Tier 3.
• Tier 4 monitoring threshold for
units that combust MSW.
• Applicability of Tier 4 to common
stack configurations.
• Starting dates for the use of Tier 4.
• Methane (CH4) and nitrous oxide
(N2O) calculations.
• CO2 emissions from sorbent.
• Biogenic CO2 emissions from
biomass combustion.
• Fuel sampling for coal and fuel oil.
• Tier 3 sampling frequency for
gaseous fuels.
• GHG emissions from blended fuel
combustion.
• Use of consensus standard methods.
• CO2 monitor span values.
• CEMS data validation.
• Use of American Society of Testing
and Materials (ASTM) Methods D7459–
08 and D6866–08.
• Electronic data reporting and
recordkeeping.
• Common stack reporting option.
• Common fuel supply pipe reporting
option.
• Table C–1 default HHV and CO2
emission factors.
• Table C–2 default CH4 and N2O
emission factors.
Definition of the source category. We
are adding new paragraph 40 CFR
98.30(d), clarifying that the GHG
emissions from a pilot light need not be
included in the emissions totals for the
facility. A pilot light is a small auxiliary
flame that simply ignites the burner of
a combustion process in a boiler,
turbine, or other fuel combustion
device, and is not used to produce
electricity or steam, or provide useful
energy to an industrial process, or
reduce waste by removing combustible
matter.
GHGs to report. We are amending 40
CFR 98.32 to clarify that CO2, CH4, and
N2O mass emissions from a stationary
fuel combustion unit do not need to be
reported under subpart C if such an
exclusion is indicated elsewhere in
subpart C.
Calculating GHG emissions. We are
amending the introductory text of 40
CFR 98.33(a) to provide additional
detail and clarify who may (or must) use
the calculation methods in the
subsequent paragraphs to calculate and
report GHG emissions. Specifically, we
are amending this text to point out that
certain sources may use the methods in
40 CFR part 75 to calculate CO2
emissions, if they are already using part
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75 to report heat input data year-round
under another CAA program. The
introductory text of 40 CFR 98.33(a) is
also being amended to clarify the
reporting of CO2 emissions from
biomass combustion when a unit
combusts both biomass and fossil fuels.
Natural gas consumption expressed in
therms. We are amending 40 CFR
98.33(a)(1) by adding two new equations
to Tier 1. When natural gas
consumption is expressed in therms,
Equation C–1a enables sources to
calculate CO2 mass emissions directly
from the information on the billing
records, without having to request or
obtain additional data from the fuel
suppliers. We are also allowing
Equation C–1a to be used for units of
any size when the fuel usage
information on natural gas billing
records is expressed in units of therms.
A new paragraph, (b)(1)(v), has been
added to 40 CFR 98.33 to reflect this.
Section 98.36(e)(2)(i) is also amended to
allow gaseous fuel consumption to be
reported in units of therms.
Equation C–1b has been added to Tier
1 to accommodate situations in which
the fuel usage information on gas billing
records is expressed in mmBtu. We are
also adding two new equations to 40
CFR 98.33(c), i.e., Equations C–8a and
C–8b, for calculating CH4 and N2O
emissions when the fuel usage
information on natural gas billing
records is in units of therms or mmBtu.
Use of Equation C–2b. We are
amending 40 CFR 98.33(a)(2)(ii), to
require calculation of a weighted HHV,
using Equation C–2b, only for
individual Tier 2 units with a maximum
rated heat input capacity greater than or
equal to 100 mmBtu/hr, and for groups
of units that contain at least one unit of
that size. For Tier 2 units smaller than
100 mmBtu/hr and for aggregated
groups of Tier 2 units under 40 CFR
98.36(c)(1) in which all units in the
group are smaller than 100 mmBtu/hr,
we are allowing reporters to use either
an annual arithmetic average HHV or an
annual fuel-weighted average HHV in
Equation C–2a.
Categories of gaseous fuels. We have
revised 40 CFR 98.34(a)(2)(iii) by
replacing the term ‘‘fossil fuel-derived
gaseous fuels’’ with a more inclusive
term, i.e., ‘‘gaseous fuels other than
natural gas.’’ Corresponding changes to
Table C–1 were also made for
consistency, placing blast furnace gas,
coke oven gas, fuel gas, and propane in
a new category, ‘‘Other fuels (gaseous).’’
Use of mass-based gas flow meters.
The Tier 3 CO2 emissions calculation
methodology in 40 CFR 98.33(a)(3)
allows reporters to use flow meters that
measure mass flow rates of liquid fuels
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to quantify fuel consumption, provided
that they (the reporters) determine the
density of the fuel and convert the
measured mass of fuel to units of
volume (i.e., gallons), for use in
Equation C–4. In response to a number
of requests, we are amending 40 CFR
98.33(a)(3)(iv), to conditionally allow
reporters to use flow meters that
measure mass flow rates of gaseous fuels
for Tier 3 applications, as well as for
liquid fuels. A reporter wanting to use
this option will have to measure the
density of the gaseous fuel, either with
a calibrated density meter or by using a
consensus standard method or standard
industry practice, in order to convert the
measured mass of fuel to units of
standard cubic feet, for use in Equation
C–5.
Site-specific stack gas moisture
content values. We are amending 40
CFR 98.33(a)(4)(iii) to allow the use of
site-specific moisture constants under
the Tier 4 methodology. The sitespecific moisture default value(s) must
represent the fuel(s) or fuel blends that
are combusted in the unit during
normal, stable operation, and must
account for any distinct difference(s) in
stack gas moisture content associated
with different process operating
conditions. Generally, for each sitespecific default moisture percentage, at
least nine runs are required using EPA
Method 4—Determination of Moisture
Content In Stack Gases (40 CFR part 60,
appendix A–3). Each site-specific
default moisture value would be
calculated by taking the arithmetic
average of the Method 4 runs. Moisture
data from the relative accuracy test
audit (RATA) of a CEMS could be used
for this purpose. The final rule does
allow the site-specific moisture default
values to be based on fewer than nine
Method 4 runs in cases where moisture
data from the RATA of a CEMS are used
to derive the default value and the
applicable regulation allows a single
moisture run to represent two or more
RATA runs.
Each site-specific moisture default
value must be updated at least annually
and whenever the reporter determines
the current value is non-representative
due to changes in unit or process
operation. The updated moisture value
must be used in the subsequent CO2
emissions calculations.
Determining emissions from an
exhaust stream diverted from a CEMS
monitored stack. We are finalizing
amendments to 40 CFR 98.33(a)(4) by
adding a new paragraph, (a)(4)(viii), to
address the determination of CO2 mass
emissions from a unit subject to the Tier
4 calculation methodology when a
portion of the flue gases generated by
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the unit exhaust through a stack that is
not equipped with a CEMS to measure
CO2 emissions (herein referred to as an
‘‘unmonitored stack’’). The final
amendments require annual emission
testing of a diverted gas stream to be
performed at a set point that best
represents normal operation, using EPA
Methods 2 and 3A and (if moisture
correction is necessary) Method 4. A
CO2 mass emission rate is calculated
from the test results. If, over time, flow
rate of the diverted stream varies little
from the tested flow rate, then the
annual CO2 mass emissions for the
diverted stream (which must be added
to the CO2 mass emissions measured at
the main stack) are determined simply
by multiplying the CO2 mass emission
rate from the emission testing by the
number of operating hours in which a
portion of the flue gas was diverted from
the main flue gas exhaust system.
However, if the flow rate of the diverted
stream varies significantly over the
reporting year, the owner or operator
must either perform additional stack
testing or use the best available
information (e.g., fan settings and
damper positions) and engineering
judgment to estimate the CO2 mass
emission rate at a minimum of two
additional set points, to represent the
variation across the normal operating
range. Then, the most appropriate CO2
mass emission rate must be applied to
each hour in which a portion of flue gas
is diverted from the main exhaust
system. The procedures used to
determine the annual CO2 mass
emissions for the diverted stream must
be documented in the GHG monitoring
plan.
Biomass combustion in Part 75 units
using the CO2 calculation
methodologies in 40 CFR 98.33(a)(5).
We are amending 40 CFR
98.33(a)(5)(iii)(D) to redesignate it as 40
CFR 98.33(a)(5)(iv). This is to correct a
paragraph numbering error in subpart C,
because this paragraph applies to all of
40 CFR 98.33(a)(5) and not just to 40
CFR 98.33(a)(5)(iii).
We had proposed to amend 40 CFR
98.3(c) in subpart A and 40 CFR
98.33(a)(5) to clarify that the separate
reporting of biogenic CO2 is optional for
units that are not subject to the Acid
Rain Program, but are using 40 CFR part
75 methodologies to calculate CO2 mass
emissions, as described in 40 CFR
98.33(a)(5)(i) through (a)(5)(iii). After
considering the comments received on
this proposal and other information (see
EPA–HQ–OAR–2008–0508), however,
we are finalizing language which makes
it clear that reporting of biogenic CO2
emissions from these units is optional
for reporting year 2010, and mandatory
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thereafter. Please see the discussion in
Section II.C of this preamble regarding
separate reporting of biogenic emissions
for units subject to 40 CFR part 75.
Use of Tier 3. We are amending 40
CFR 98.33(b)(3)(iii) to clarify that the
paragraph applies also to common pipe
configurations where at least one unit
served by the common pipe has a heat
input capacity greater than 250 mmBtu/
hr.
We are also adding a new paragraph,
(b)(3)(iv), to 40 CFR 98.33, requiring
Tier 3 to be used when specified in
another subpart of Part 98, regardless of
unit size. For example, subpart Y
requires certain units that combust fuel
gas to use Equation C–5 in subpart C
(which is the Tier 3 equation for gaseous
fuel combustion) to calculate CO2 mass
emissions, without regard to unit size.
Tier 4 monitoring threshold for units
that combust MSW. We are amending 40
CFR 98.33(b)(4)(ii)(A) to change the Tier
4 monitoring threshold from 250 tons
MSW per day to 600 tons MSW per day,
based on analysis that this value is
approximately equivalent to the 250
mmBtu/hr Tier 4 heat input threshold
for other large stationary combustion
units. Units less than 600 tons MSW per
day that do not meet the requirements
in 40 CFR 98.33(b)(4)(iii) are allowed to
use Tier 2 to calculate CO2 mass
emissions (specifically, Equation C–2c).
Applicability of Tier 4 to common
stack configurations. We are amending
40 CFR 98.33(b)(4) by adding provisions
to clarify how the Tier 4 criteria apply
to common stack configurations.
Paragraph (b)(4)(i) is expanded to
include monitored common stack
configurations that consist of stationary
combustion units, process units, or both
types of units. A new paragraph,
(b)(4)(iv) is also added describing the
following three distinct common stack
configurations to which Tier 4 might
apply.
The first, most basic configuration is
one in which the combined effluent gas
streams from two or more stationary fuel
combustion units are vented through a
monitored common stack (or duct). In
this case, Tier 4 applies if the following
conditions are met:
• There is at least one large unit in
the configuration that has a maximum
rated heat input capacity greater than
250 mmBtu/hr or an input capacity
greater than 600 tons/day of MSW (as
applicable).
• At least one large combustion unit
in the configuration meets the
conditions of 40 CFR 98.33(b)(4)(ii)(A)
through (b)(4)(ii)(C).
• The CEMS installed at the common
stack (or duct) meets all of the
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requirements of 40 CFR 98.33
(b)(4)(ii)(D) through (b)(4)(ii)(F).
Tier 4 also applies when all of the
combustion units in the configuration
are small (not greater than 250 mmBtu/
hr or 600 tons/day of MSW), if at least
one of the units meets the conditions of
40 CFR 98.33(b)(4)(iii).
The second configuration is one in
which the combined effluent gas
streams from a stationary combustion
unit and a process or manufacturing
unit are vented through a common stack
or duct. Many subparts of Part 98
describe this situation (see subparts F,
G, K, Q, Z, BB, EE, and GG). In this case,
the use of Tier 4 is required if the
stationary combustion unit and the
monitors installed at the common stack
or duct meet the applicability criteria of
40 CFR 98.33(b)(4)(ii) or 98.33(b)(4)(iii).
If multiple stationary combustion units
and a process unit (or units) are vented
through a common stack or duct, Tier 4
is required if at least one of the
combustion units and the monitors
installed at the common stack or duct
meet the conditions of 40 CFR
98.33(b)(4)(ii) or 98.33(b)(4)(iii).
The third configuration is one in
which the combined effluent streams
from two or more process or
manufacturing units are vented through
a common stack or duct. In this case, if
any of these units is required to use Tier
4 under an applicable subpart of Part 98,
the owner or operator can either
monitor the CO2 mass emissions at the
Tier 4 unit(s) before the effluent streams
are combined together, or monitor the
combined CO2 mass emissions from all
units at the common stack or duct.
However, if it is not feasible to monitor
the individual units, the combined CO2
mass emissions will have to be
monitored at the common stack or duct,
using Tier 4.
Starting dates for the use of Tier 4. In
the October 30, 2009 final rule, 40 CFR
98.33(b)(5) of subpart C states that units
that are required to use the Tier 4
methodology must begin using it on
January 1, 2010 if all required CEMS are
in place. Otherwise, use of Tier 4 begins
on January 1, 2011, and Tier 2 or Tier
3 may be used to report CO2 mass
emissions in 2010. We are amending 40
CFR 98.33(b)(5) to clarify that sources
can begin monitoring CO2 emissions
data prior to January 1, 2011 from CEMS
that successfully complete certification
testing in 2010. Note that changes in
methodology during a reporting year are
allowed by Part 98, and must be
documented in the annual GHG
emissions report (see 40 CFR 98.3(c)(6)).
This revision will allow sources to
discontinue using Tier 2 or 3 and begin
reporting their 2010 emissions under
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Tier 4 as of the date on which all
required certification tests are passed.
Data recorded during the certification
test period for a CEMS can also be used
for Part 98 reporting, provided that: All
required certification tests are passed in
sequence, with no test failures; and no
unscheduled maintenance or repair of
the CEMS is required during the test
period.
We are also amending 40 CFR
98.33(b)(5) by adding a new paragraph,
(b)(5)(iii), to address situations where
the owner or operator of an affected unit
that has been using Tier 1, 2, or 3 to
calculate CO2 mass emissions makes a
change that triggers Tier 4 applicability
by changing: The primary fuel, the
manner of unit operation, or the
installed continuous monitoring
equipment. In such cases, the owner or
operator will be required to begin using
Tier 4 no later than 180 days from the
date on which the change is
implemented. This allows adequate
time for the owner or operator to obtain
and/or certify any of the required Tier
4 continuous monitors.
Methane and nitrous oxide
calculations. Today’s amendments
remove the term ‘‘normal operation’’
from 40 CFR 98.33(c)(4)(i) and (c)(4)(ii).
Therefore, calculation of CH4 and N2O
emissions is simply required for each
Table C–2 fuel combusted in the unit
during the reporting year.
We are also further amending 40 CFR
98.33(c)(4)(ii), to allow additional
reporting flexibility for certain units that
combust more than one type of fuel;
specifically, for units that report heat
input data to EPA year-round using part
75 CEMS. Under the final amendments
to 40 CFR 98.33(c)(4)(ii), 40 CFR part 75
units that use the worst-case F-factor
reporting option can attribute 100
percent of the unit’s annual heat input
to the fuel with the highest F-factor, as
though it were the only fuel combusted
during the report year.
For Tier 4 units, the requirement to
use the best available information to
determine the annual heat input from
each type of fuel is being retained in 40
CFR 98.33(c)(4)(i), but we are also now
allowing it under 40 CFR
98.33(c)(4)(ii)(D) as an alternative for
part 75 units, in cases where fuelspecific heat input values cannot be
determined solely from the part 75
electronic data reports.
Carbon dioxide emissions from
sorbent. We are amending 40 CFR
98.33(d) to make it more generally
applicable to different types of CO2producing sorbents. The term ‘‘R’’ is
redefined as the number of moles of CO2
released upon capture of one mole of
acid gas. When the sorbent is CaCO3, the
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value of R is 1.00. For other CO2producing sorbents, a specific value of
R is determined by the reporting facility
from the chemical formula of the
sorbent and the chemical reaction with
the acid gas species that is being
removed.
Biogenic CO2 emissions from biomass
combustion.
The title and introductory text of 40
CFR 98.33(e) are being amended to more
precisely define the requirements for
reporting biogenic CO2 emissions. In
general, biogenic CO2 emissions
reporting is required only for the
combustion of the biomass fuels listed
in Table C–1 and for municipal solid
waste (which consists partly of biomass
and partly of fossil fuel derivatives).
We are also amending 40 CFR 98.33(e)
to describe three cases in which
reporters may not need to report
biogenic CO2 emissions separate from
total CO2 emissions, for units that
combust biomass:
1. If a biomass fuel is not listed in
Table C–1 and is combusted in a unit
that is not required to use Tier 4, a
reporter is not required to separately
report the biogenic CO2 emissions from
combustion of that fuel unless:
—The fuel is combusted in a large unit
(greater than 250 mmBtu/hr heat
input capacity).
—The biomass fuel accounts for 10
percent or more of the annual heat
input to the unit.
In that case, according to 40 CFR
98.33(b)(3)(iii), Tier 3 must be used to
determine the carbon content of the
biomass fuel and to calculate the
biogenic CO2 emissions.
2. If a unit is subject to subpart C or
D and uses the CO2 mass emissions
calculation methodologies in 40 CFR
part 75 to satisfy the Part 98 reporting
requirements, the reporter has the
option to report biogenic CO2 emissions
for the 2010 reporting year, but is
required to report them thereafter.
3. For the combustion of tires, which
are also partly biogenic (typically about
20 percent biomass, for car and truck
tires), the reporter has the option, but
not the requirement, to separately report
the biogenic CO2 emissions, by
following the applicable provisions in
40 CFR 98.33(e).
No comments were received on the
proposal to make biogenic CO2
emissions reporting optional for the
combustion of tires, and the proposal
has been finalized without modification.
However, tire-derived fuel has a
biomass component, and perhaps it
should be treated in the same manner as
MSW, which is also partly biogenic. A
number of units that are subject to Part
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98 combust tires as the primary fuel or
as a secondary fuel. Therefore, we are
considering whether these units should
be required to account for their biogenic
CO2 emissions. However, before making
this mandatory we intend to open it to
notice and comment in a future
rulemaking.
We are amending 40 CFR 98.33(e)(1)
by removing the restriction against
using Tier 1 to calculate biogenic CO2
emissions on units that use CEMS to
measure the total CO2 mass emissions.
However, the use of Tier 1 is not
allowed for calculating biogenic CO2
emissions for combustion of MSW, as
originally specified in 40 CFR
98.33(e)(1) of subpart C, and is also not
allowed for the combustion of tires, if
biogenic CO2 emissions are calculated
for tires.
We are amending the methodology in
40 CFR 98.33(e)(2), which is specifically
for units using a CEMS to measure CO2
mass emissions, by limiting it to cases
where the CO2 emissions measured by
the CEMS are solely from combustion,
i.e., the stack gas contains no additional
process CO2 or CO2 from sorbent; and
prohibiting its use if the unit combusts
MSW or tires.
For sources that combust MSW, we
are amending 40 CFR 98.33(e)(3) to
require, except as provided below, the
quarterly use of ASTM methods D7459–
08 and D6866–08, as described in 40
CFR 98.34(d), when any MSW is
combusted either as the primary fuel or
as the only fuel with a biogenic
component. We are also amending 40
CFR 98.33(e)(3) to allow the ASTM
methods to be used, as described in 40
CFR 98.34(e), for any unit in which
biogenic (or partly biogenic) fuels, and
non-biogenic fuels are combusted, in
any proportions.
In response to comments, we have
added an alternative calculation
methodology for biogenic CO2 emissions
from the combustion of MSW and/or
tires, which may be used when the total
contribution of these fuels to the unit’s
heat input is 10 percent or less. If a unit
combusts both MSW and tires and the
reporter exercises the option not to
separately report biogenic CO2
emissions from the tires, the alternative
calculation methodology may still be
used for the MSW, provided that the
contribution of MSW to the unit’s total
heat input does not exceed 10 percent.
The methodology may also be used for
small, batch incinerators that burn no
more than 1,000 tons of MSW per year.
Units that qualify for and elect to use
the alternative methodology will use
Tier 1 to calculate the total annual CO2
emissions from the combustion of the
MSW or tires, and multiply the result by
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an appropriate default factor that
represents the biomass fraction of the
fuel, to obtain an estimate of the annual
biogenic CO2 emissions. Based on
additional background research
conducted, we have concluded that
reasonable default factors are 0.20 for
tires and 0.60 for MSW (please refer to
the Background Technical Support
Document—Revision of Certain
Provisions).
We are also amending 40 CFR 98.33(e)
to delete and reserve 40 CFR 98.33(e)(4)
and the related subparagraphs.
Although 40 CFR 98.33(e)(4) allowed
the ASTM methods to be used to
determine biogenic CO2 emissions for
various combinations of biogenic and
fossil fuels, we are deleting and
reserving that paragraph because the
paragraph also included an unnecessary
restriction, i.e., it only applied to units
that use CEMS to measure total CO2
mass emissions. The amendments to 40
CFR 98.33(e)(3) described above will
achieve the same intended purpose as
paragraph (e)(4), without imposing this
restriction, so paragraph (e)(4) is no
longer needed.
We are amending 40 CFR 98.33(e)(5)
so that it also applies to units that are
using Tier 2 (Equation C–2a), as well as
Tier 1 (Equation C–1), for calculating
biogenic CO2 mass emissions. The
approach in 40 CFR 98.33(e)(5) for
estimating solid biomass fuel
consumption is equally applicable to
units using those two equations to
calculate biogenic CO2 emissions.
Equation C–2a applies when HHV data
for a biomass fuel are available at the
minimum frequency specified in 40 CFR
98.34(a)(2).
Finally, one commenter asked EPA to
allow Part 75 units to calculate biogenic
CO2 emissions using the same general
approach that is used in 40 CFR
98.33(c)(4)(ii) for the CH4 and N2O
emissions calculations. This requires a
heat input-based equation similar to
Equation C–10 to be added to the rule.
We find this request to be reasonable
and have added a new paragraph, (e)(6),
to 40 CFR 98.33(e). Paragraph (e)(6)
provides the required equation, i.e.,
Equation C–15a. In cases where (HI)A,
the fraction of unit heat input from
combustion of the biomass fuel, cannot
be determined from the information in
Part 75 electronic data reports (e.g., for
units that measure the total CO2
emissions with CEMS, if the ‘‘worstcase’’ F-factor option is used, or if
biomass and fossil fuels with identical
F-factors are combusted), facilities must
use the ‘‘best available information’’ (as
described in 40 CFR 98.33(c)(4)(ii)(C)
and (c)(4)(ii)(D)) to determine (HI)A.
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Fuel sampling for coal and fuel oil.
We are amending 40 CFR 98.34(a)(2), to
clarify the frequency at which the HHV
needs to be determined for different
types of fuels.
First, we are amending 40 CFR
98.34(a)(2)(ii) to expand the list of fuels
for which sampling of each fuel lot is
sufficient to include other solid or
liquid fuels that are delivered in lots.
Second, we are amending the
definition of the term ‘‘fuel lot’’ in 40
CFR 98.34(a)(2)(ii), as it pertains to
facilities that receive multiple deliveries
of a particular type of fuel from the
same supply source each month, either
by truck, rail, or pipeline. The
amendment clarifies that a fuel lot
consists of all of the deliveries of that
fuel for a given calendar month. Thus,
for these facilities, the required HHV
sampling has to be no more frequent
than once per month. We did receive
requests to clarify the meaning of the
terms ‘‘type of fuel’’ and ‘‘supply source,’’
pertaining to the proposal to require
only one monthly sample to represent
multiple fuel deliveries. The final rule
clarifies that for coal, the type of fuel
refers to the coal rank (i.e., anthracite,
bituminous, sub-bituminous, or lignite).
For fuel oil, the type of fuel refers to the
grade number or classification of the oil
(e.g., No. 2 oil, No. 6 oil, jet-A fuel, etc.).
The term ‘‘supply source’’ is not so
easily defined. For the reasons set forth
in the Response to Comments (Section
II.G.2 of this preamble), we have chosen
not to include a definition of ‘‘supply
source’’ in the final rule.
Third, we are adding parallel
language to 40 CFR 98.34(b)(3)(ii), the
Tier 3 fuel sampling provisions for coal
and fuel oil, for consistency with the
revisions to 40 CFR 98.34(a)(2)(ii).
Finally, we are amending 40 CFR
98.34(a)(2)(ii) and 40 CFR 98.34(b)(3)(ii)
to allow manual oil samples to be taken
after each addition of oil to the storage
tank. Daily manual sampling, flowproportional sampling, and continuous
drip sampling are also allowed. The
final rule requires at least one sample to
be obtained from each storage tank that
is currently in service, and whenever oil
is added, for as long as the tank remains
in service. If multiple additions (e.g.,
from multiple deliveries) are made on a
given day, taking one sample after the
final addition is sufficient. No sampling
is required for addition of fuel to a tank
that is out of service. Rather, a sample
must be taken when the tank is brought
into service and whenever oil is added
to the tank, for as long as the tank
remains in service. If the daily manual
sampling option is implemented,
sampling from a particular tank is
required only on those days when oil
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from that tank is combusted in the
unit(s).
Tier 3 sampling frequency for gaseous
fuels.
We are amending 40 CFR
98.34(b)(3)(ii)(E) to clarify that daily
sampling of gaseous fuels other than
natural gas and biogas for carbon
content and molecular weight is only
required where continuous, on-line
equipment is in place; weekly sampling
is required in all other cases.
GHG emissions from blended fuel
combustion. One of the most frequently
asked questions by the regulated
community since publication of the
October 30, 2009 final Part 98 is, ‘‘How
does one calculate CO2 mass emissions
from the combustion of blended fuels?’’
Subpart C provided only limited
guidance on this issue. We are now
finalizing amendments to 40 CFR
98.34(a)(3), (b)(1)(vi), and (b)(3)(v) to
clarify reporting requirements for
calculating emissions from blended
fuels. The amendments make a clear
distinction between cases where the
mass or volume of each fuel in the blend
is accurately measured prior to mixing
(e.g., using individual flow meters for
each component) and cases where the
exact composition of the blend is not
known. In the former case, the fact that
the fuels are blended is of no
consequence; because the exact quantity
of each fuel in the blend is known, the
CO2 emissions from combustion of each
component must be calculated
separately. In the latter case, the blend
is considered to be a distinct ‘‘fuel type,’’
and the reporter must measure its mass
or volume and essential properties (e.g.,
HHV, carbon content, etc.) at a
prescribed frequency.
When the mass or volume of each
individual component of a blend is not
precisely known prior to mixing, the
appropriate method used to calculate
the CO2 mass emissions from
combustion of the blend is as follows.
For smaller combustion units (heat
input capacity not more than 250
mmBtu/hr), Tier 2 (or possibly Tier 1)
can be used when all components of the
blend are listed in Table C–1 of subpart
C. In order to perform these CO2
emissions calculations for the blend, a
reasonable estimate of the percentage
composition of the blend would be
required, using the best available
information (e.g., from the typical or
expected range of values of each
component). A heat-weighted CO2
emission factor must be calculated,
using new Equation C–16. For Tier 1
applications, a heat-weighted default
HHV must be determined, using new
Equation C–17.
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In cases where a fuel blend consists
of a mixture of fuel(s) listed in Table C–
1 and fuel(s) not listed in Table C–1,
calculation of CO2 and other GHG
emissions from combustion of the blend
is required only for the Table C–1
fuel(s), using the best available estimate
of the mass or volume percentage(s) of
the Table C–1 fuel(s) in the blend. In
these cases, the use of Tier 1 is required,
with modifications to certain terms in
Equations C–17 and C–1, to account for
the fact that the blend is not composed
entirely of Table C–1 fuels. An example
calculation is provided in 40 CFR
98.34(a)(3)(iv).
For larger combustion units (heat
input capacity greater than 250 mmBtu/
hr) that do not qualify to use Tier 1 or
2, the owner or operator must use Tier
3 to calculate the CO2 mass emissions
from combustion of a blended fuel. The
mathematics for Tier 3 are simpler than
for Tiers 1 and 2, since no default values
are used in the calculations, and an
estimate of the percentage composition
of the blend is not required. To apply
Tier 3, the only requirements are to
accurately measure the annual
consumption of the blended fuel and to
determine its carbon content and (if
necessary) molecular weight, at a
prescribed frequency. By considering
the blended fuel to be a distinct ‘‘fuel
type,’’ in cases where that fuel is not
listed in Table C–1, GHG emissions
reporting is required in accordance with
40 CFR 98.33(b)(3)(iii), if the blended
fuel (as opposed to each individual
component of the blend) provides at
least 10 percent of the annual heat input
to a unit or group of units, and if the use
of Tier 4 is not required.
To address the calculation of CH4 and
N2O mass emissions from the
combustion of blended fuels, we are
adding a new paragraph, (c)(6), to 40
CFR 98.33. Calculation of CH4 and N2O
emissions is required only for
components of a blend that are listed in
Table C–2 of subpart C.
If the mass or volume of each
component of a blend is measured
before the fuels are mixed and
combusted, the existing CH4 and N2O
mass emissions calculation procedures
in 40 CFR 98.33(c)(1) through (5) must
be followed for each component
separately. The fact that the fuels are
mixed prior to combustion is of no
consequence in this case.
If the mass or volume of each
individual component is not measured
prior to mixing, a reasonable estimate of
the percentage composition of the blend
is required, based on the best available
information, and the procedures in 40
CFR 98.33(c)(6)(ii) will be followed.
First, the annual consumption of each
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component fuel in the blend is
calculated by multiplying the total
quantity of the blend combusted during
the reporting year by the estimated mass
or volume percentage of that
component. Next, the annual heat input
from the combustion of each component
is calculated by multiplying its annual
consumption by the appropriate HHV
(either the default HHV from Table C–
1 or, if available, the measured annual
average value). The annual CH4 and N2O
mass emissions for each component
must then be calculated using the
applicable equation in 40 CFR 98.33(c),
i.e., Equation C–8, C–9a, or C–10.
Finally, the calculated CH4 and N2O
emissions are summed across all
components, and these sums are
reported as the annual CH4 and N2O
mass emissions for the blend.
Use of consensus standard methods.
We are amending 40 CFR 98.33(a)(3)(iv)
and (a)(3)(v) to remove reference to
specific standard methods and allow the
use of standards from consensus-based
organizations or industry standard
practice. We are amending 40 CFR 98.34
to remove the specific ASTM and GPA
method list for fuel sampling and
analysis in 40 CFR 98.34(a)(6), to
remove the list of American Gas
Association (AGA) and American
Society of Mechanical Engineers
(ASME) methods for fuel meter
calibration in 40 CFR 98.34(b)(4), and to
delete the list of ASTM methods to
determine carbon content and molecular
weight in 40 CFR 98.34(b)(5). We are
also redesignating 40 CFR 98.34(b)(5) as
40 CFR 98.34(b)(4), and amending
newly designated 40 CFR 98.34(b)(4).
Finally, we are amending 40 CFR
98.34(b)(1)(A) to remove the crossreference to the fuel flow meter test
methods listed in 40 CFR 98.34(b)(4).
These amendments allow the owner or
operator to use manufacturers’
procedures, appropriate methods
published by consensus-based standards
organizations such as ASTM, ASME,
American Petroleum Institute (API),
AGA, ISO, etc.; or use industry-accepted
practice. The methods used must be
documented in the monitoring plan
under 40 CFR 98.3(g)(5).
CO2 monitor span values. The Tier 4
calculation method in 40 CFR
98.33(a)(4) requires a CO2 concentration
monitor and a stack gas flow rate
monitor to measure CO2 mass
emissions. The CO2 monitor must be
certified and quality-assured according
to one of the following: 40 CFR part 60,
40 CFR part 75, or an applicable State
CEM program. When the part 60 option
is selected, one of the required quality
assurance (QA) tests of the CO2 monitor
is a cylinder gas audit (CGA). The CGA
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checks the response of the CO2 analyzer
at two calibration gas concentrations,
i.e., one between 5 and 8 percent CO2
and one between 10 and 14 percent CO2.
These CO2 concentration levels are
appropriate for most stationary
combustion applications. However,
when CO2 emissions from an industrial
process (e.g., cement manufacturing) are
combined with combustion CO2
emissions, the resultant CO2
concentration in the stack gas can be
substantially higher than for the
combustion emissions alone. In such
cases, a span value of 30 percent CO2 (or
higher) may be required.
When the CO2 span exceeds 20
percent CO2, the CGA concentrations
specified in Part 60 only evaluate the
lower portion of the measurement scale
and are no longer representative.
Therefore, we are amending 40 CFR
98.34(c) by adding a new paragraph
(c)(6), which allows the CGA of a CO2
monitor to be performed using
calibration gas concentrations of 40 to
60 percent of span and 80 to 100 percent
of span, when the CO2 span value is set
higher than 20 percent CO2.
CEMS data validation. In subpart C,
40 CFR 98.34(c) provides the monitoring
and QA requirements for Tier 4.
However, no criteria for hourly CEMS
data validation were specified in the
final rule. We are adding a new
paragraph, (c)(7), to 40 CFR 98.34,
which requires hourly CEMS data
validation to be consistent with the
sections of 40 CFR part 60 or part 75
cited in the preceding paragraph of this
preamble. Alternatively, the hourly data
validation procedures in an applicable
State CEM program can be followed.
Use of ASTM Methods D7459–08 and
D6866–08. Sections 98.34(d) and (e) of
subpart C, respectively, outline
procedures for quantifying biogenic CO2
emissions for units that combust MSW
and other units that combust
combinations of fossil fuels and
biomass. Flue gas samples are taken
quarterly using ASTM Method D7459–
08 and analyzed using ASTM Method
D6866–08. We are amending 40 CFR
98.34(d) and (e), as discussed in the
following paragraphs.
The amendments to 40 CFR 98.34(d)
require the ASTM methods to be used
when MSW is combusted in a unit,
either as the primary fuel, or as the only
fuel with a biogenic component, unless
the unit qualifies for the alternative Tier
1 calculation methodology described
above, under ‘‘Biogenic CO2 emissions
from biomass combustion.’’ Quarterly
sampling with ASTM Method D7459–08
is required for a minimum of 24
cumulative hours of sampling per
quarter, except as provided below.
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We are amending 40 CFR 98.34(e) to
remove the restriction limiting the use
of ASTM Methods D7459–08 and
D6866–08 to units with CEMS. Rather,
any unit that combusts combinations of
fossil and biogenic fuels (or partly
biogenic fuels, such as tires), in any
proportions, is allowed to determine
biogenic CO2 emissions using the ASTM
methods on a quarterly basis. At least 24
cumulative hours of sampling per
quarter are required, except as provided
immediately below.
We are adding an option to 40 CFR
98.34(d) and (e), allowing sources to
demonstrate that 8 hours of sampling
per quarter is sufficient. The
demonstration requires a minimum of
two 8-hour tests and one 24-hour test,
performed under normal, stable
operating conditions. The
demonstration tests must be distinct,
i.e., no overlapping of the 8-hour and
24-hour test periods is permitted. If the
average biogenic fraction obtained from
the 8-hour tests is within ±5 percent of
the results from the 24-hour test, then,
in subsequent quarters, the Method
D7459–08 sampling time may be
reduced to 8 hours. The results of the
demonstration must be documented in
the monitoring plan.
We are also amending 40 CFR
98.34(d) by adding an alternative to
allow the owner or operator to collect an
integrated sample by extracting a small
amount of flue gas (1 to 5 cubic
centimeters (cc)) during every unit
operating hour in the quarter, in order
to obtain a more representative sample
for analysis.
Procedures for estimating missing
data. We are amending 40 CFR 98.35(a)
to clarify that the missing data
procedures in 40 CFR part 75 are only
to be followed by units that are in the
Acid Rain Program and those that
monitor and report emissions and heat
input data year round. Units that only
monitor and report during the ozone
season must follow the missing data
procedures in 40 CFR 98.35(b).
Electronic data reporting and
recordkeeping. We are amending the
data element lists in 40 CFR 98.36 by
adding a number of essential data
elements and eliminating or modifying
others. The most significant revisions to
the data element lists are summarized in
the following paragraphs. We are also
adding an alternative reporting option to
40 CFR 98.36(c) to reduce the reporting
burden for certain facilities.
We are adding the reporting of
methodology start and end dates in
several places throughout 40 CFR
98.36(b), (c), and (d).
We are amending the data element
lists in 40 CFR 98.36 to be consistent
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with respect to reporting of emissions
by fuel type and reporting of biogenic
CO2 emissions. Specifically, for clarity
and consistency with the changes to 40
CFR 98.3(c), we have modified the
amendments to 40 CFR 98.36(d)(1)(ii),
(d)(1)(ix), (d)(2)(ii)(I), and (d)(2)(iii)(I)
from the proposal. These sections state
that for units subject to 40 CFR part 75,
reporting of biogenic CO2 emissions is
optional only for the 2010 reporting
year. Reporting of these emissions
becomes mandatory starting with the
2011 reporting year.
We are removing 40 CFR 98.36(b)(10)
to remove the requirement to report the
customer meter number for units that
combust natural gas.
We are finalizing requirements in 40
CFR 98.36(c)(1)(ii) that only the
maximum rated heat input capacity of
the largest unit in a group must be
reported. We are also finalizing
requirements for 98.36(c)(3) in a similar
manner, for groups of units served by a
common pipe.
We are amending 40 CFR 98.36 to
remove the requirement to report the
combined annual GHG emissions from
fossil fuel combustion in metric tons of
CO2e (i.e., the sum of the CO2, CH4, and
N2O emissions) by removing 40 CFR
98.36(b)(9), (c)(1)(ix), (c)(2)(viii), and
(c)(3)(viii). These data elements were
duplicative of requirements in subpart
A.
We are amending 40 CFR 98.36(b), (c),
and (d) to require reporting the fuelspecific annual heat input estimates, for
the purpose of verifying the reported
CH4 and N2O emissions. Also, we are
amending 40 CFR 98.36(e)(2)(iv) to
require reporting of the annual average
HHV when measured HHV data are
used to calculate CH4 and N2O
emissions for a Tier 3 unit, in lieu of
using a default HHV from Table C–1.
We are amending 40 CFR 98.36(b) and
(d) to make the data elements reported
under Tiers 1 through 4 consistent for
the reporting of biogenic CO2 emissions
and CO2 from fossil fuel combustion.
Also, as previously noted in Section II.C
of this preamble, the amendments to 40
CFR 98.36(d) state that reporting of
biogenic CO2 emissions is optional only
for the 2010 reporting year for units
using the CO2 mass emissions
calculation methods in 40 CFR part 75.
For units that use the Tier 4
methodology to calculate CO2 mass
emissions, we are amending 40 CFR
98.36(b)(7)(i) and (b)(7)(ii) (redesignated
as 40 CFR 98.36(b)(9)(i) and (b)(9)(ii),
respectively) and 40 CFR 98.36(c)(2)(vi)
(redesignated as 40 CFR 98.36
(c)(2)(viii)). The amendments to these
sections require the annual ‘‘nonbiogenic’’ CO2 mass emissions to be
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reported instead of reporting the annual
CO2 mass emissions from fossil fuel
combustion.
We are adding a new alternative
reporting option, under 40 CFR
98.36(c)(4). This new option applies to
specific situations where a common
liquid or gaseous fuel supply is shared
between large combustion units such as
boilers or combustion turbines
(including Acid Rain Program units and
other combustion units that use the
methods in 40 CFR part 75 to calculate
CO2 mass emissions), and small
combustion sources such as space
heaters, hot water heaters, etc. In such
cases, a source can simplify reporting by
attributing all of the GHG emissions
from combustion of the shared fuel to
the large combustion unit(s), provided
that:
• The total quantity of the shared fuel
supply that is combusted during the
report year is measured, either at the
‘‘gate’’ to the facility or at a point inside
the facility, using a fuel flow meter, a
billing meter or tank drop
measurements; and
• On an annual basis, at least 95
percent of the shared fuel supply (by
mass or volume) is burned in the large
combustion unit(s) and the remainder of
the fuel is fed to the small combustion
sources.
Company records can be used to
determine the percentage distribution of
the shared fuel to the large and small
units. Facilities using this reporting
option are required to document in their
monitoring plan which units share the
common fuel supply and the method
used to determine that the reporting
option applies. For the small
combustion sources, a description of the
type(s) and approximate number of
units involved is sufficient.
Finally, we are amending 40 CFR
98.36(e)(2)(iii) to simplify the
recordkeeping requirements in cases
where the results of fuel analyses for
HHV are provided by the fuel supplier.
Parallel language is added in a new
paragraph, 40 CFR 98.36(e)(2)(v)(E), for
the results of carbon content and
molecular weight analyses received
from the fuel supplier. In both cases, the
owner or operator is required to keep
records of only the dates on which the
fuel sampling results are received,
rather than keeping records of the dates
on which the supplier’s fuel samples
were taken (which may not be readily
available).
Common stack reporting option.
Section 98.36(c)(2) of subpart C allows
subpart C stationary fuel combustion
units that share a common stack or duct
to use the Tier 4 Calculation
Methodology to monitor and report the
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combined CO2 mass emissions at the
common stack or duct, in lieu of
monitoring each unit individually.
However, 40 CFR 98.36(c)(2) does not
address circumstances where at least
one of the units sharing the common
stack is not a subpart C stationary fuel
combustion unit, but is subject to
another subpart of 40 CFR part 98. In
view of this, we are amending 40 CFR
98.36(c)(2) by extending the
applicability of the common stack
monitoring and reporting option to
situations where off-gases from multiple
process units or mixtures of combustion
products and process off-gases are
combined together and vented through
a common stack or duct.
The amendments to 40 CFR
98.36(c)(2) apply not only to ordinary
common stack or duct situations where
the gas streams from multiple units are
combined together, but also apply when
combustion and/or process off-gas
streams from a single unit (e.g., from a
kiln, furnace, petrochemical process
unit, or smelter) are routed to a stack.
To accommodate this variation on the
concept of a common stack, 40 CFR
98.36(c)(2)(ii) is amended to require
sources to report ‘‘1’’ as the ‘‘Number of
units sharing the common stack or duct’’
where combustion and/or process
emissions from a single unit are vented
through the same stack or duct.
Finally, since the concept of
maximum rated heat input capacity may
not be applicable to certain types of
process or manufacturing units, we are
amending 40 CFR 98.36(c)(2)(iii), to
require that the ‘‘combined maximum
rated heat input capacity of the units
sharing the common stack or duct’’ only
be reported when all of the units sharing
the common stack or duct are stationary
fuel combustion units.
Common fuel supply pipe reporting
option. Section 98.36(c)(3) of subpart C
allows units that are served by a
common fuel supply pipe to report the
combined CO2 emissions from all of the
units in lieu of reporting CO2 emissions
separately from each unit. To use this
reporting option, the total amount of
fuel combusted in the units must be
accurately measured with a flow meter
calibrated according to the requirements
in 40 CFR 98.34. Section 98.36(c)(3) also
states that the applicable tier to use for
this reporting option is based on the
maximum rated heat input of the largest
unit in the group.
We are amending 40 CFR 98.36(c)(3)
as follows. First, the erroneous citation
of ‘‘§ 98.34(a)’’ is corrected to read
‘‘§ 98.34(b).’’ Second, we are amending
the requirement in 40 CFR 98.36(c)(3) to
calibrate the fuel flow meter to the
accuracy required by 40 CFR 98.34(b)
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(which cross-references the accuracy
specifications in 40 CFR 98.3(i)), so that
this calibration requirement applies
only when Tier 3 is the required tier for
calculating CO2 mass emissions. This is
consistent with the final amendments to
40 CFR 98.3(i), where we clarify that the
equipment used to generate company
records under Tier 1 and 2 is not
required to meet the calibration
accuracy specifications of 40 CFR
98.3(i).
The applicable measurement tier for
the common pipe option, according to
subpart C, is based on the rated heat
input capacity of the largest unit in the
group. On the surface, this appears to
mean that the use of Tiers 1 and 2 is
restricted to common pipe
configurations where the highest rated
heat input capacity of any unit is 250
mmBtu/hr or less, and that Tier 3 is
required if any unit has a maximum
rated heat input capacity greater than
250 mmBtu/hr. In general, this is true.
However, there is one exception in the
current rule and we are amending the
rule to add a second one. Section
98.33(b)(2)(ii) of the current rule allows
the use of Tier 2 instead of Tier 3 for
the combustion of natural gas and/or
distillate oil in a unit with a rated heat
input capacity greater than 250 mmBtu/
hr. Today’s rule adds a new paragraph,
(b)(1)(v), to 40 CFR 98.33, allowing Tier
1 to be used when natural gas
consumption is determined from billing
records, and fuel usage on those records
is expressed in units of therms or
mmBtu. Therefore, we are also
amending 40 CFR 98.36(c)(3) to reflect
these two exceptions for common pipe
configurations that include a unit with
a maximum rated heat input capacity
greater than 250 mmBtu/hr.
Finally, we are amending the
provision in 40 CFR 98.36(c)(3)
regarding the partial diversion of a fuel
stream such as natural gas that is
measured ‘‘at the gate’’ to a facility (e.g.,
using a calibrated flow meter or a gas
billing meter). Subpart C specifies that
when part of a fuel stream is diverted to
a chemical or industrial process where
it is used but not combusted, and the
remainder of the fuel is sent to a group
of combustion units, you may subtract
the diverted portion of the fuel stream
from the total quantity of the fuel
measured at the gate before applying the
common pipe methodology to the
combustion units. We are amending the
rule to expand this provision to include
cases where the diverted portion of the
fuel stream is sent either to a flare or to
another stationary combustion unit (or
units) on site, including units that use
40 CFR part 75 methodologies to
calculate annual CO2 mass emissions
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(e.g., Acid Rain Program units).
Provided that the GHG emissions from
the flare and/or other combustion
unit(s) are properly accounted for
according to the applicable subpart(s) of
Part 98, you are allowed to subtract the
diverted portion of the fuel stream from
the total quantity of the fuel measured
at the gate, and then apply the common
pipe reporting option to the group of
combustion units served by the common
pipe, using the Tier 1, Tier 2, or Tier 3
calculation methodology (as applicable).
Table C–1. Table C–1 of subpart C
provides default HHV values and
default CO2 emission factors for various
types of fuel. We are finalizing several
amendments to Table C–1; specifically,
we have:
• Replaced the categories ‘‘fossil fuelderived fuels (solid)’’ and ‘‘fossil fuelderived fuels (gaseous)’’ with more
inclusive terms, i.e., ‘‘other fuels (solid)’’
and ‘‘other fuels (gaseous).’’ The ‘‘other
fuels (solid)’’ category includes four
fuels: plastics, municipal solid waste,
tires, and petroleum coke. The ‘‘other
fuels (gaseous)’’ category includes blast
furnace gas, coke oven gas, propane gas,
and fuel gas.
• Removed the word ‘‘pipeline’’ from
the description of natural gas.
• Retained the following fuels: ‘‘wood
residuals,’’ ‘‘agricultural by-products,’’
and ‘‘solid by-products’’, and added
definitions of these terms to 40 CFR 98.6
(see section II.F of this preamble for
further discussion).
• Added ‘‘Used oil’’ to the list of
petroleum products, and added a
definition to 40 CFR 98.6 (see section
II.F of this preamble for further
discussion).
• Removed ‘‘still gas’’ from the list of
petroleum products and added ‘‘fuel
gas.’’
• Corrected a typographic error in the
HHV for ethane; changing it to 0.069
mmBtu/gal, rather than 0.096 mmBtu/
gal.
• Revised footnote 1 regarding
municipal waste combustor (MWC)
units to make it clear that only MWC
units that produce steam are prohibited
from using the default HHV for MSW in
Table C–1; MWC units that produce
steam can still use the default CO2
emission factor for MSW.
• Modified footnote 1 to Table C–1, to
reflect the new biogenic CO2 emissions
calculation options for certain units that
combust MSW and/or tires.
• Revised footnote 2 to clarify that if
the conditions in 40 CFR 98.243(d)(2)(i)
and (d)(2)(ii) and 40 CFR 98.252(a)(1)
and (a)(2) do not apply, reporters subject
to 40 CFR 98.243(d) of subpart X or
subpart Y shall use either Tier 3 or Tier
4.
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• Remove the qualifier of 100 percent
for ethanol and biodiesel.
• Added a default CO2 emission
factor and a default high heat value for
petroleum-derived ethanol. These are
the same as the default values for
biomass-derived ethanol.
Table C–2. We are finalizing the
proposed amendments to remove the
first iteration of Table C–2 and make
minor corrections to the second one.
The amendments consist of correcting
the exponents (powers-of-ten) of several
emission factors.
Standard conditions. A number of
commenters requested that, for
consistency with the rest of Part 98, we
allow sources to use 60 °F as standard
temperature instead of 68 °F, when
Equation C–5 is used to calculate CO2
mass emissions from the combustion of
gaseous fuel. We proposed to allow this
alternative for subparts X and Y,
because the refining and petrochemical
industries use 60 °F as standard
temperature. We have concluded that
the commenters’ request to modify
Equation C–5 accordingly is reasonable,
and we are revising the definition of the
term ‘‘MVC (molar volume conversion)’’
in the nomenclature of Equation C–5
(see revised 40 CFR 98.33(a)(3)(iii)). The
revised definition of MVC allows
sources to use a MVC value of either
849.5 standard cubic feet per kilogram
mole (scf/kg mole) for a standard
temperature of 68 °F, or 836.6 scf/kg
mole for a standard temperature of 60
°F. A corresponding change has been
made to the definition of ‘‘Standard
conditions’’ in 40 CFR 98.6. For
verification purposes, a data element
has been added at 40 CFR
98.36(e)(2)(iv)(G), requiring sources
using Equation C–5 to report which
MVC value was used in the emissions
calculations.
Miscellaneous revisions. We are
amending 40 CFR 98.34(c) by adding the
citations from 40 CFR part 75 that
pertain to the initial certification of Tier
4 moisture monitoring systems. These
amendments also correct an inadvertent
omission in the verification section of
subpart C, specifically, in 40 CFR
98.36(e)(2)(v)(C). That section requires
units using the Tier 3 methodology to
keep records of the method(s) used for
carbon content determination. However,
no mention is made of keeping records
of the method(s) used to determine the
molecular weight, which is a
requirement for gaseous fuels. To
correct this inadvertent oversight, we
have amended 40 CFR 98.36(e)(2)(v)(C)
to require records to be kept of the
method(s) used for both carbon content
and (if applicable) molecular weight
determination. Finally, we have
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corrected typographical errors in the
definition of ‘‘CC’’ in the nomenclature
of Equation C–5. This equation applies
to gaseous fuels, not liquid fuels, and
the units of measure for CC must be kg
C per kg of fuel, rather than kg C per
gallon.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• A new equation has been added to
Tier 1 to accommodate situations in
which the fuel usage information on gas
billing records is expressed in mmBtu.
We have also added two new equations
to 40 CFR 98.33(c) for calculating CH4
and N2O emissions when the fuel usage
information on natural gas billing
records is in units of therms or mmBtu.
• For units using the Tier 2
methodology that receive HHV data less
frequently than monthly, or, for small
units (< 100 mmBtu/hr) regardless of the
HHV sampling frequency, we are
allowing Equation C–2b to be used to
calculate a fuel-weighted annual average
HHV, instead of calculating the
arithmetic average annual HHV.
• For consistency with other
subparts, we have revised the
nomenclature of Equation C–5, to allow
reporters to use a molar volume
conversion (MVC) constant referenced
to a standard temperature of either 60 °F
or 68 °F.
• For Tier 4 applications, we are
allowing site-specific moisture default
values to be based on fewer than nine
Method 4 runs in cases where moisture
data from the RATA of a CEMS are used
to derive the default value and the
applicable regulation allows a single
moisture run to represent two or more
RATA runs.
• We have modified the approach for
calculating CO2 mass emissions from an
exhaust stream diverted from a CEMS
monitored stack.
• For consistency with Subpart A, we
have added language in several places
stating that for Part 75 units, separate
reporting of biogenic CO2 emissions is
optional in reporting year 2010 and
mandatory thereafter.
• We have added a new paragraph,
(e)(6), to 40 CFR 98.33, allowing Part 75
units to calculate biogenic CO2
emissions using the same general
approach that is used in 40 CFR
98.33(c)(4)(ii) for the CH4 and N2O
emissions calculations.
• We have added an alternative
calculation methodology, for biogenic
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CO2 emissions from the combustion of
MSW and tires that may be used when
the total contribution of these fuels to
the unit’s heat input is 10 percent or
less. The methodology, which uses the
Tier 1 equation together with default
biogenic percentages, may also be used
for small, batch incinerators that burn
no more than 1,000 tons of MSW per
year.
• We have removed the term
‘‘consecutive’’ between the words ‘‘24’’
and ‘‘hours’’, in reference to the
minimum required sampling time for
determining the percentage of biogenic
CO2 in flue gas when ASTM Method
D7459–08 is used, thereby allowing
samples to be collected for 24 total
hours in a quarter, rather than 24
consecutive hours. We have also added
a provision allowing sources to perform
additional testing to demonstrate that
sampling for 8 hours is sufficient.
• We have added language to 40 CFR
98.34(a)(2)(ii) and (b)(3)(ii)(B)
explaining how to implement certain
fuel oil sampling options, specifically,
daily manual sampling and sampling
after each addition of oil to the tank.
• To minimize unnecessary burden
related to collecting information on
small units aggregated in a group and
for the common pipe configuration, we
are removing and reserving 40 CFR
98.36 (c)(1)(ii), (c)(1)(iii), and (c)(3)(ii).
We are no longer requiring sources to
report the number of units in, or the
cumulative heat input capacity of, an
aggregated group of units or a group of
units served by a common pipe. Only
the maximum rated heat input capacity
of the largest unit in the group must be
reported.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
comments received can be found in the
document, ‘‘Response to Comments:
Revision to Certain Provisions of the
Mandatory Reporting of Greenhouse
Gases Rule’’ (see EPA–HQ–OAR–2008–
0508).
Natural gas consumption expressed in
therms.
Comment: Commenters were
generally supportive of EPA’s proposal
to provide equations for cases where
natural gas consumption is expressed in
therms in billing records. One
commenter noted that the proposed rule
failed to take into account that on some
natural gas billing records, the fuel
usage is expressed in units of mmBtu.
The commenter also brought to our
attention that the proposed rule did not
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provide corresponding equations for
calculating CH4 and N2O emissions
when the fuel usage information on gas
billing records is expressed in therms.
Response: We agree with these
comments and have made the following
adjustments to the final rule text. First,
a new equation, Equation C–1b, has
been added to Tier 1 to accommodate
situations in which the fuel usage
information on gas billing records is
expressed in mmBtu. Second, we have
added two new equations to 40 CFR
98.33(c), i.e., Equations C–8a and C–8b,
for calculating CH4 and N2O emissions
when the fuel usage information on
natural gas billing records is in units of
therms or mmBtu.
Site-specific stack gas moisture
content values.
Comment: Commenters were
generally supportive of the proposed
rule changes related to determining the
site-specific moisture default values.
Two commenters requested that we
allow the site-specific moisture default
values to be based on fewer than nine
Method 4 runs, in cases where moisture
data from the RATA of a CEMS are used
to derive the default value and the
applicable regulation allows a single
moisture run to represent two or more
RATA runs.
Response: We believe that this is a
reasonable request and have
incorporated it into the final rule.
Determining emissions from an
exhaust stream diverted from a CEMS
monitored stack.
Comment: Commenters were
supportive of the intent of the proposed
amendments, but indicated that the
proposed methodology for estimating
the CO2 mass emissions from the
diverted gas stream would not be
implementable at every affected facility.
Specifically, commenters took issue
with EPA’s assumption that the CO2
concentration in the diverted stream
will be the same as the concentration in
the main stack. According to the
commenters, this is not the case,
because dilution air introduced via
auxiliary fans and other equipment will
lower the CO2 concentration of the side
stream.
Response: We agree with the
commenters’ assessment and have
modified the proposed approach for
quantifying emissions in the diverted
stream. The final rule requires annual
emission testing of the diverted gas
stream to be performed at a set point
that best represents normal operation,
using EPA Methods 2 and 3A and (if
moisture correction is necessary)
Method 4. A CO2 mass emission rate is
calculated from the test results. If, over
time, flow rate of the diverted stream
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varies little from the tested flow rate,
then the annual CO2 mass emissions for
the diverted stream (which must be
added to the CO2 mass emissions
measured at the main stack) will be
determined simply by multiplying the
CO2 mass emission rate from the
emission testing by the number of
operating hours in which a portion of
the flue gas was diverted from the main
flue gas exhaust system. However, if the
flow rate of the diverted stream varies
significantly over the reporting year, the
owner or operator must either perform
additional stack testing or use the best
available information (e.g., fan settings
and damper positions) and engineering
judgment to estimate the CO2 mass
emission rate at a minimum of two
additional set points, to represent the
variation across the normal operating
range. Then, the most appropriate CO2
mass emission rate must be applied to
each hour in which a portion of flue gas
is diverted from the main exhaust
system. The procedures used to
determine the annual CO2 mass
emissions for the diverted stream must
be documented in the monitoring plan.
Fuel sampling for coal and fuel oil.
Comment: Commenters were
generally supportive of the proposed
amendments to 40 CFR 98.34(a)(2)(ii)
and 40 CFR 98.34(b)(3)(ii) regarding the
definition of ‘‘fuel lot.’’ However, we did
receive requests to clarify the meaning
of the terms ‘‘type of fuel’’ and ‘‘supply
source,’’ pertaining to the proposal to
require only one monthly sample to
represent multiple fuel deliveries.
Response: The final rule clarifies that
for coal, the type of fuel refers to the
coal rank (i.e., anthracite, bituminous,
sub-bituminous, or lignite). For fuel oil,
the type of fuel refers to the grade
number or classification of the oil (e.g.,
No. 2 oil, No. 6 oil, jet-A fuel, etc.). The
term ‘‘supply source’’ is not so easily
defined, however, and we have chosen
not to include a definition to the final
rule. Instead, you may use the following
general guidelines. The term ‘‘supply
source’’ can certainly refer to the coal
mine, bulk terminal, or refinery from
which the fuel is obtained. However, it
also can apply to a fuel vendor who
receives a particular type of fuel from
different locations and distributes the
fuel to his customers, provided the
important properties of the fuel, such as
its heating value, sulfur content, carbon
content, etc., are guaranteed to be
within specified ranges.
Comment: With respect to the HHV
sampling requirements for each fuel lot,
commenters expressed concern that the
option to sample fuel oil after each
addition of fuel to the storage tank
might not represent the fuel actually
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being combusted. For instance, fuel may
be added to an empty or a partly full
tank that is out of service. Also, for a
tank that is currently in service, due to
infrequent combustion of fuel oil, it may
have been months, or even years, since
oil was last added to the tank, and it
may be months or years before oil is
added again.
Response: To address these concerns,
the final rule requires at least one
sample to be obtained from each storage
tank that is currently in service, and an
additional sample whenever fuel is
added to the tank while it remains in
service. If multiple additions are made
to an in-service tank on a given day
(e.g., from multiple deliveries) one
sample taken after the final addition is
sufficient. No sampling is required for
addition of fuel to a tank that is out of
service. Rather, a sample must be taken
when the tank is brought into service
and whenever oil is added to the tank,
for as long as the tank remains in
service.
Tier 4 monitoring threshold for units
that combust MSW.
Comment: Commenters were
generally supportive of the proposed
amendment to increase the Tier 4
monitoring threshold for combustion of
municipal solid waste from 250 to 600
tons per day. One concern was that the
amendment might not be finalized
before the end of 2010; therefore, they
asked for the final rule to provide a six
month extension of the January 1, 2011
regulatory deadline for installing and
certifying CEMS. Some commenters
were concerned that this proposed
change would affect the quantity of
emissions reported under the program
and were, therefore, concerned about
finalizing this proposed amendment.
Response: There is no need for the
requested extension because units at or
above the 600 ton per day threshold
have been on notice since the 2009 final
rule that they are required to use CEMS.
The proposed revision to the Tier 4
monitoring threshold should not have
caused them to think otherwise. For
units in-between the original threshold
of 250 tons per day and the revised
threshold of 600 tons per day, an
extension is unnecessary because these
units can use Tier 2 for the 2010
reporting year. We disagree with
concerns that the final amendments will
impact the quantity of data reported to
the program, because the final
amendments still require the same units
to report GHG emissions. The only
difference is that they may be using the
Tier 2 methodology instead of Tier 4.
Biogenic CO2 emissions from biomass
combustion.
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Comment: Regarding the proposed
revisions to the optional biogenic CO2
emissions calculation methodology for
units with CEMS described in 40 CFR
98.33(e)(2), one commenter
recommended that we make the
methodology more flexible by
modifying Equation C–13. The change
to this equation proposed by the
commenter would allow the volume of
CO2 from combustion of the biomass
fuel (rather than the fossil fuel) to be
calculated directly and then used in
Equation C–14 to calculate the biogenic
percentage of the annual CO2 mass
emissions.
Response: EPA has not incorporated
the commenter’s proposed changes.
Although the proposed modification to
the methodology could work for fuels
such as wood residue and bark (which
have F-factors listed in Table 1 in
section 3.3.5 of 40 CFR part 75,
appendix F), the commenter appears to
be unaware that we proposed to remove
from 40 CFR 98.33(e)(1) the restriction
prohibiting units with CEMS from using
the Tier 1 methodology to calculate
biogenic CO2 emissions. As stated
above, we are finalizing that amendment
as proposed. Therefore, since both Tier
1 and the commenter’s suggested
methodology require sources to quantify
the amount of biomass fuel combusted,
and since the Tier 1 methodology is
significantly simpler than the
commenter’s proposal, there is no need
to revise the calculation procedures in
40 CFR 98.33(e)(2).
Comment: Many units and industrial
processes burn relatively small amounts
of partly biogenic fuels such as tires and
MSW, as supplementary fuels. Quarterly
sampling and analysis of the flue gas
using ASTM Methods D7459–08 and
D6866–08 is the only available
methodology in Part 98 for quantifying
biogenic CO2 emissions from these
fuels. Some commenters requested relief
from reporting biogenic CO2 emissions
from such fuels when they account for
less than 10 percent of a unit’s heat
input. Another commenter asked EPA to
either make reporting of biogenic CO2
optional or reduce the amount of
required testing with the ASTM
methods to once every five years, for
small batch incinerators that combust
MSW. The commenter provided data for
a typical batch incinerator, showing that
in 2009, less than 400 metric tons of
biogenic CO2 were emitted from the
unit.
Response: We do not intend to grant
a reporting exemption for MSW
combustion, and, for tires, although the
reporting is optional at present, we
intend to revisit this issue in the future.
However, we are persuaded that the cost
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of performing the ASTM methods
(roughly $5,000 to $10,000 each quarter)
is unreasonably high for sources that
burn very small amounts of MSW and/
or tires and emit comparatively little
biogenic CO2. Also, for sources that
combust tires and wish to report
biogenic CO2, the ASTM methods are
their only option. In view of these
considerations, we have added an
alternative calculation methodology for
biogenic CO2 emissions from the
combustion of tires and/or MSW. The
methodology is found at 40 CFR
98.33(e)(3)(iv), and may be used when
the total contribution of these fuels to
the unit’s heat input is 10 percent or
less. We are also allowing this
methodology to be used for small batch
incinerators that burn no more than
1,000 tons of MSW per year.
Supplementary information provided by
the commenter who requested reduced
testing of these incinerators indicates
that the rated capacities of the units can
be as high as 1,300 lb/hr of MSW, but
that in practice, since the units operate
in batch mode, a more realistic estimate
of the actual, annualized capacity of the
units is somewhere between 100 and
200 lb/hr (see EPA–HQ–OAR–2008–
0508). If one of these incinerators were
to combust as much as 200 lb/hr of
MSW on an annualized basis, this
would equate to approximately 875 tons
of MSW per year. The total annual CO2
emissions from the combustion of 875
tons of MSW is estimated to be about
800 metric tons, based on the default
emission factors in Table C–1.
Assuming a biogenic fraction of 0.60 for
MSW, the biogenic portion of the total
annual CO2 emissions would be 480
metric tons, which is less than 2 percent
of the 25,000 metric ton applicability
threshold in 40 CFR 98.2 for Part 98
facilities. Based on the above analysis,
we have concluded that it is appropriate
to allow Tier 1 to be used together with
a default biogenic percentage of 0.60 to
estimate the biogenic CO2 emissions
from MSW combustion in small batch
incinerators, in lieu of using ASTM
Methods D7459–08 and D6866–08. To
allow for some possible variation in the
annualized capacity of these units, the
final rule extends the use of the
alternative calculation methodology to
batch incinerators that combust no more
than 1,000 tons of MSW per year (which
corresponds to about 540 tons of
biogenic CO2 per year).
Comment: With regard to the use of
ASTM Methods D7459–08 and D6866–
08, two commenters from facilities that
combust refuse-derived fuel (RDF) asked
us to consider shortening the sampling
time to 8 hours, in cases where the fuel
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is relatively homogeneous. Both
commenters submitted data comparing
the results of 8-hour samples against the
results of 24-hour samples. For one
source, the 8-hour sample results were
within 3.3 percent of the 24-hour
results, and for the other source the
results were within 1.7 percent.
Response: EPA agrees that under
certain circumstances, it may be
appropriate to shorten the sampling
time. Therefore, we are adding an
option to 40 CFR 98.34(d) and (e),
allowing sources to demonstrate that 8
hours of sampling per quarter is
sufficient. The demonstration requires a
minimum of two 8-hour tests and one
24-hour test, performed under normal,
stable operating conditions. The
demonstration tests must be distinct,
i.e., no overlapping of the 8-hour and
24-hour test periods is permitted. If the
average biogenic fraction obtained from
the 8-hour tests is within ± 5 percent of
the results from the 24-hour test, then,
in subsequent quarters, the Method
D7459–08 sampling time may be
reduced to 8 hours. The results of the
demonstration must be documented in
the monitoring plan. Note that although
the data provided by the commenters
showed that the 8-hour and 24-hour
sample results differed by no more that
3.3 percent, we believe that ± 5 percent
is a more reasonable acceptance
criterion. This is because the
methodology will likely be used for the
combustion of tires as well as MSW.
Tire-derived fuel (TDF) has a much
lower biogenic fraction than MSW
(typically about 0.20, compared to 0.60
for MSW). An acceptance criterion
lower than 5 percent for TDF
combustion would require the
difference between the 8-hour and 24hour sample results to be less than 0.01,
and would be overly stringent.
Use of consensus standard methods.
Comment: We received both
supportive and adverse comments on
the proposed amendments to remove
reference to specific consensus
standards. Commenters that objected to
the proposal stated that elimination of
the lists of acceptable methods and
allowing the use of ‘‘industry standard
practice’’ weakens the rule. According to
these commenters, there is no way to
evaluate the technical merits of an
‘‘industry standard practice,’’ and the
quality of the reported GHG emissions
data could suffer as a result.
Response: We do not agree with the
objections raised by these commenters.
Subpart C covers a large range of
industries, perhaps including some that
we are not even aware of yet that are
significant emitters of GHG emissions
and therefore covered by the rule. In
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these early years of the program, we
want to ensure that the methods
required by the rule are appropriate for
all facilities subject to subpart C of the
rule. Although we attempted to
assemble a comprehensive list of
methods and provide appropriate
alternatives in the 2009 final rule, based
on questions received we determined
that it was likely that other valid
methods from these organizations and
practices were overlooked. For instance,
under the 2009 final rule, even updates
to the IBR methods to reflect the latest
practices would not have been
acceptable without a rulemaking. The
commenters did not sufficiently justify
why opening up to industry consensus
standards would compromise data
quality. In fact, the opposite could be
said where more updated versions of
previously incorporated standards are
now allowable.
Further, subpart C already includes a
mechanism by which we can evaluate
the methods being used by industry.
Sections 98.36(e)(2)(iii) and
98.36(e)(2)(v) require that records be
kept of the methods that are used for
flow meter calibration and for HHV and
carbon content determinations, and 40
CFR 98.36(e)(4) requires sources to
provide this information to EPA within
30 days of receiving a request for it.
We note that we have not opened all
subparts more broadly to industry
consensus standards. Please see the
responses to comments in Section II.K
(Hydrogen Production) and Section II.M
(Petrochemical Production) of this
preamble for our response to similar
comments under these subparts.
Electronic data reporting and
recordkeeping.
Comment: Two commenters asked us
to either remove or modify the proposed
requirement to report the number of
units in an aggregated group of units.
One commenter suggested that reporting
would be simplified if very small
sources such as water heaters, space
heaters, lab burners, etc., were lumped
together and counted as one unit. The
other commenter stated that it is
burdensome to keep an accurate count
of these small domestic units at large,
complex industrial facilities. That same
commenter also suggested that only
units with heat input ratings of 10
mmBtu or greater should be included in
the count. A third commenter noted that
it is also difficult to report the
cumulative maximum heat input rating
of a group of units, as required under 40
CFR 98.36(c)(1)(iii), when numerous
small domestic units, some of which
may not have a heat input rating, are
included in an aggregated group.
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Response: We believe these comments
have merit. After careful consideration,
we have concluded that for verification
purposes, we do not need to know
either the exact number of units in an
aggregated group or the combined
maximum rated heat input of the group.
The only critical data element is the
maximum rated heat input capacity of
the largest unit in the group. This
information is needed to confirm that
none of the units exceeds 250 mmBtu/
hr, which is the condition that must be
met to use the unit aggregation option
in 40 CFR 98.36(c)(1). Therefore, in the
final rule, we are withdrawing the
proposed requirement to report the
number of units in an aggregated group
of units, and are removing the
requirement to report the combined
maximum rated heat input of the group.
We also are withdrawing the proposed
requirement under 40 CFR
98.36(c)(3)(ii) to report the number of
units served by a common fuel pipe.
The issue is the same for the common
pipe configuration as for the aggregated
group of units, i.e., hundreds of small,
domestic units may be served by the
common pipe. To effect these rule
changes, 40 CFR 98.36(c)(1)(ii),
(c)(1)(iii), and (c)(3)(ii) have been
removed and reserved.
Table C–1.
Comment: Two commenters
questioned the appropriateness of
listing MSW with plastics and
petroleum coke. Further, they noted that
petroleum coke is listed twice in the
table, first under petroleum products
and then again under ‘‘other fuels
(solid).’’ According to the commenters,
petroleum coke is a petroleum
derivative, and is more appropriately
listed with the other ‘‘petroleum
products.’’
Response: The category ‘‘other fuels
(solid)’’ in Table C–1 is not intended to
make any policy statement about the
nature of the fuels included in the
category. The fuels included in ‘‘other
fuels (solid)’’ are miscellaneous fuels
that do not fit into any other existing
category for the purposes of this rule.
Petroleum coke was included as a
petroleum product in the 2009 final rule
(74 FR 56409). However, the HHV units
of measure for petroleum products
listed in Table C–1 are in mmBtu per
gallon and some reporters were
confused about how to appropriately
calculate CO2 emissions from petroleum
coke, since it is actually a solid fuel, and
is nominally measured in units of short
tons. By listing petroleum coke as a
solid fuel with a heating value in units
of mmBtu/short ton, EPA intends to
alleviate confusion about how emissions
are to be calculated for petroleum coke.
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However, we also understand that some
facilities report petroleum coke usage to
the Energy Information Administration
(EIA) in units of equivalent barrels of
petroleum, and may prefer to report
petroleum coke consumption in units of
gallons under this rule. As such, EPA is
not proposing to remove petroleum coke
from the list of petroleum products in
Table C–1. The two HHVs for petroleum
coke differ only in units of measure.
They will give equivalent results when
CO2 mass emissions are calculated.
Comment: Two commenters asserted
that plastics are a small component of
MSW and there is no reason why
plastics should be listed as a separate
fuel in Table C–1. These commenters
stated that to the best of their
knowledge, plastics are not combusted
as a separate fuel stream, and they
recommended that EPA delete plastics
from Table C–1.
Two other commenters, however,
stated that plastics are, in fact,
sometimes separated out from MSW as
a separate stream. These commenters
provided a suggested definition of
‘‘plastics’’ and requested that we add it
to 40 CFR 98.6. The commenters also
asked us to modify the definition of
MSW, to specifically exclude plastics
that are recovered from MSW, processed
separately, and disposed.
Response: As mentioned in the
preamble to the August 11, 2010
proposed rule (75 FR 48764), facilities
have questioned EPA as to why plastics
and waste oil, two fuels that appeared
in Table C–2 of the April 10, 2009
proposed rule, were left out of the
October 30, 2009 final rule. Responding
to these concerns, on August 11, 2010
we proposed to add both fuels to Table
C–1. Today’s rule retains these entries,
except that waste oil has been
redesignated as ‘‘used oil.’’ In view of the
input received from the commenters
who brought to our attention that
plastics (including such things as
‘‘* * * bottles, containers, bags, CD
cases, sheeting, packaging, broken
consumer goods, etc. * * *’’) are
sometimes recovered from MSW and
processed separately, we decided not to
incorporate the recommendation of the
other commenters who asked us to
delete plastics from the table.
We see no need to add a definition of
plastics to 40 CFR 98.6, since plastic
materials are readily identifiable.
However, to address the commenters’
chief concern, we have modified the
definition of MSW to clearly state that
insofar as plastics (along with certain
other materials) are separated out from
MSW, processed and disposed of, they
are not considered to be ‘‘municipal
solid waste.’’
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Comment: Two commenters argued
against the inclusion of default factors
for ‘‘fuel gas’’ in Table C–1. They argued
that this would have a negative impact
on chemical plant fuel gas streams that
were previously exempt from Tier 3
requirements when the streams provide
less than 10 percent of the annual heat
input to a unit rated greater than 250
mmBtu/hr) because Table C–1
previously had no factors for fuel gas.
According to the commenters, the
proposed inclusion of default factors for
‘‘fuel gas’’ in Table C–1 requires
monitoring and reporting of GHG
emissions from these gas streams. Both
commenters suggested that Table C–1
should include default factors for
‘‘refinery fuel gas’’ rather than ‘‘fuel gas.’’
One commenter also suggested revising
the definition of ‘‘fuel’’ and Footnote 2
associated with the default values for
fuel gas in Table C–1 to clarify that fuel
gas is specific to refineries and
petrochemical plants, but excludes
process off-gases from chemical
production plants.
Response: Default values for fuel gas
in Table C–1 are necessary to allow
refineries and petrochemical plants to
use Tier 1 or Tier 2 methods for certain
small fuel gas streams that were
proposed to be excluded from the
requirement to use Tier 3 for fuel gas in
subparts X and Y. In providing these
factors, we did not intend to require
chemical plants to monitor and report
GHG emissions generated by the
combustion of ‘‘fuel gas’’ that were
excluded from reporting requirements
in the October 30, 2009, final Part 98.
Therefore, we agree that some
additional clarification of terms is
needed to prevent the fuel gas factor
from requiring measurement and
reporting of GHG from the chemical
plant vent gases.
While changing the term used in
Table C–1 to ‘‘refinery fuel gas’’ may
have helped to clarify the intent, we do
not believe, given the definition of ‘‘fuel
gas’’ in the final rule, that this would
adequately address the issue. ‘‘Fuel gas’’
as defined in the October 30, 2009, final
Part 98 means ‘‘gas generated at a
petroleum refinery, petrochemical plant,
or similar industrial process unit, and
that is combusted separately or in any
combination with any type of gas.’’ The
inclusion of the phrase ‘‘or similar
industrial process unit’’ within the
definition of fuel gas expanded the
meaning of fuel gas beyond refineries
and petrochemical plants. Without
specifically defining the term ‘‘refinery
fuel gas’’ we expect that the rule
language would have remained
ambiguous, especially since refinery
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fuel gas was still intended to apply to
some petrochemical processes.
To clarify our original intent of the
proposed inclusion of default factors for
fuel gas in Table C–1, we are revising
the definition of ‘‘fuel gas’’ to delete
reference to other similar industrial
process units. In Part 98, the term ‘‘fuel
gas’’ is intended to apply to petroleum
refineries and petrochemical plants, so
this revision does not affect other Part
98 requirements; it simply clarifies that
‘‘fuel gas’’ and the fuel gas factors are
specific to petroleum refineries and
petrochemical plants.
The commenter suggested revising the
definition of fuel to mean ‘‘solid, liquid
or gaseous combustible material, but
excludes process waste off gases from
chemical production plants that are not
petroleum refineries or petrochemical
plants.’’ We have determined that this
change is not necessary because we
have addressed the commenter’s
concerns through the change in the
definition of fuel gas. We are amending
Footnote 2 of Table C–1, as requested,
to clarify further that only reporters
subject to 40 CFR 98.243(d) of subpart
X or subpart Y are required to use Tier
3 or Tier 4 methodologies when the
specific conditions outlined in the
footnote do not exist.
H. Subpart D—Electricity Generation
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1. Summary of Final Amendments and
Major Changes Since Proposal
We are amending 40 CFR 98.40(a) by
adding the word ‘‘mass’’ between the
words ‘‘CO2’’ and ‘‘emissions’’ to make it
clear that subpart D applies only to
units in two categories: ARP units and
non-ARP electricity generating units
(EGUs) that are required to report CO2
mass emissions data to EPA year-round.
Optional reporting of biogenic CO2.
For consistency with the amendments to
subpart C, we have revised 40 CFR
98.43 to clarify that for subpart D units,
reporting of biogenic CO2 emissions is
optional only for the 2010 reporting
year, and mandatory thereafter. We are
also adding a new paragraph 40 CFR
98.43(b) indicating that biogenic CO2
emissions must be calculated and
reported by following the applicable
methods specified in 40 CFR 98.33(e).
Fossil CO2 emissions are calculated by
subtracting the biogenic CO2 mass
emissions calculated according to 40
CFR 98.33(e) from the cumulative
annual CO2 mass emissions from
paragraph (a)(1) of this section.
Data reporting requirements. Section
98.46 of subpart D specified that the
owner or operator of a subpart D unit
must comply with the data reporting
requirements of 40 CFR 98.36(b) and, if
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applicable, 40 CFR 98.36(c)(2) or (c)(3).
These section citations were incorrect.
Subpart D units all use the CO2 mass
emissions calculation methodologies in
40 CFR part 75. Therefore, the
applicable data reporting section for
these units is 40 CFR 98.36(d), not 40
CFR 98.36(b), 40 CFR 98.36(c)(2), or 40
CFR 98.36(c)(3). We are amending 40
CFR 98.46 to correct this error.
Recordkeeping. We are amending 40
CFR 98.47 to state that the records kept
under 40 CFR 75.57(h) for missing data
events satisfy the recordkeeping
requirements of 40 CFR 98.3(g)(4) for
those same events. We have concluded
that, as a practical matter, the missing
data records required to be kept under
40 CFR 75.57(h) are substantially
equivalent to the records required under
40 CFR 98.3(g)(4).
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Making separate reporting of
biogenic emissions optional for part 75
units in the 2010 reporting year and
mandatory every year thereafter. See
sections II.C and II.G of this preamble.
• Adding a provision to subpart D to
clarify how to calculate and report
biogenic CO2 emissions, referencing the
applicable methods in 40 CFR 98.33(e)
and the reporting requirements in 40
CFR 98.3(c)(4) and (c)(12).
2. Summary of Comments and
Responses
No significant comments were
received on the specific technical
amendments to subpart D. Comments
related to the proposed separate
reporting of biogenic emissions for units
subject to 40 CFR part 75 can be found
in Sections II.C and II.G of this
preamble.
I. Subpart F—Aluminum Production
1. Summary of Final Amendments and
Major Changes Since Proposal
Throughout subpart F we are making
corrections as needed for typographical
errors and alphanumeric sequencing.
We are amending 40 CFR 98.63 to
clarify that each perfluorocarbon (PFC)
compound (perfluoromethane, CF4, also
called tetrafluoromethane, and
perfluoroethane, C2F6, also called
hexafluoroethane) must be quantified
and reported and to clarify in 40 CFR
98.63(c) that reporters must use CEMS
if the process CO2 emissions from anode
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consumption during electrolysis or
anode baking of prebake cells are vented
through the same stack as a combustion
unit required to use CEMS. This
requirement existed in the final rule,
however, the cross-reference was
omitted from the introductory language
of 40 CFR 98.63(c).
We are amending 40 CFR 98.64 to
clarify the type of parameters that must
be measured in accordance with the
recommendations of the EPA/IAI
Protocol for Measurement of
Tetrafluoromethane (CF4) and
Hexafluoroethane (C2F6) Emissions from
Primary Aluminum Production (2008),
and the frequency of monitoring for
those parameters that are not measured
annually, but are instead measured on a
more or less frequent basis. We are also
inserting dates into this paragraph. In
inserting these dates, we have decided
to use dates in reference to the effective
date of the 2009 final rule, as opposed
to the publication date as was written in
the final rule. It was determined to be
more appropriate to use the effective
date of the rule as the basis for the
timing of the requirements. Therefore,
we are amending the paragraph to read
‘‘December 31, 2010’’ in place of ‘‘one
year after publication of the rule’’ and
are inserting ‘‘December 31, 2012’’ in
place of ‘‘three years after publication of
the rule.’’
We are amending Table F–2 to clarify
that default CO2 emissions from pitch
volatiles combustion are relevant only
for center work pre-bake (CWPB) and
side work pre-bake (SWPB)
technologies.
We are also amending Table F–1 to
spell out the acronyms for the
technologies covered by that table; i.e.,
CWPB, SWPB, vertical stud S2010
17:17 Dec 16, 2010
Jkt 223001
manufacturing process unit that is then
used to produce urea and the method
used to determine that quantity of CO2
consumed.
In addition, we are amending subpart
G to correct several typographical errors
and an incorrect cross-reference to
another subpart in 40 CFR part 98. We
are correcting the terms and definitions
for annual CO2 emissions arising from
gaseous, liquid, and solid fuel feedstock
consumption in Equations G–1, G–2,
and G–3, respectively, in 40 CFR 98.73.
We are correcting 40 CFR 98.76(a) by
changing the cross-reference from
‘‘§ 98.37(e)(2)(vi)’’ to ‘‘§ 98.37.’’
We are amending the data reporting
requirements in 40 CFR 98.76(b)(6) and
(15) for consistency with the calculation
procedures in 40 CFR 98.73(b)(6). We
are amending 40 CFR 98.76(b)(6) to
change ‘‘petroleum coke’’ to ‘‘feedstock’’
because petroleum coke is the incorrect
term, and amending 40 CFR 98.76(b)(15)
to specify that the carbon content
analysis method being reported is for
each month. We are also removing 40
CFR 98.76(b)(17) for the reporting of
urea produced, if known, as well as
reporting requirements in 40 CFR
98.76(c) for total pounds of synthetic
fertilizer produced and total nitrogen
contained in that fertilizer.
No major changes have been made to
the amendatory language since
proposal.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: One commenter was
supportive of all proposed amendments
to subpart G. However, we received
adverse comments on the proposed
amendment to remove requirements to
report the total quantity of synthetic
fertilizer produced and the nitrogen
content of fertilizer. The commenter
asserted that EPA does not offer a reason
for the deletion of fertilizer reporting
requirements, and noted that synthetic
fertilizer application drives a large
fraction of N2O emissions from
agricultural soils. They asserted that the
reporting requirements should be
retained for several reasons, including
that collecting information for N2O
emissions, even if it is from less than
one-half of the total fertilizer produced,
is valuable. Further, the commenter
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contended that justifying removal of the
reporting requirement because of the
availability of other data through the
Association of American Plant Food
Control Officials is not appropriate
because those other data may not be
available reliably into the future and do
not map emissions back to specific
facilities. They argued that reporting of
synthetic fertilizer production is a good
first step in estimating N2O emissions
from agricultural soils.
Another commenter countered many
of the points raised above, asserting that
data on domestic synthetic fertilizer
production is not a good indicator of
N2O emissions from farming because the
rule did not capture all fertilizer
production and not all fertilizer is
applied to fields.
Response: EPA has finalized, as
proposed, the amendment to remove
reporting requirements of the total
amount of synthetic fertilizer produced
and nitrogen contained in that fertilizer.
EPA has concluded that the burden
placed on fertilizer production facilities
to report on total pounds of synthetic
fertilizer and total nitrogen contained in
that fertilizer would not be
commensurate with the value of the
data we would receive in terms of
improving our ability to estimate N2O
emissions from soils. Specifically,
facility specific data from producers on
the nitrogen content of synthetic
fertilizer is of minimal value in
estimating soil N2O emissions by itself.
As explained in the proposal preamble
(75 FR 48767), there are a variety of
inputs that would be valuable to
consider to estimate N2O emissions
from agricultural soils, including
fertilizer application rates, timing of
application, and the use of slow release
fertilizers and nitrification/release
inhibitors, none of which would be
provided through the provision
removed from the rule. Given that the
information required from the final rule
would not provide sufficient
information to estimate N2O emissions
from fertilizer application to soils, we
are removing the reporting requirement
at this time. While there is concern over
the potential future loss of the
Association of American Plant Food
Control Officials data, EPA has
determined that it is preferable to
remove the incomplete reporting
requirement at this time and, if
appropriate in the future, reconsider in
a comprehensive manner reporting of
information on fertilizer production,
import and use practices.
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K. Subpart P—Hydrogen Production
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1. Summary of Final Amendments and
Major Changes Since Proposal
We are amending the definition of the
terms for the average carbon content
(CCn) and molecular weight (MWn) in
Equation P–1 of 40 CFR 98.163 to clarify
that, where measurements are taken
more frequently than monthly, CCn and
MWn should be calculated using the
arithmetic average of measurement
values within the month.
We are amending 40 CFR 98.164(b)(1)
so it is consistent with today’s
amendments to 40 CFR 98.3(i). First, we
are limiting the flow meter calibration
accuracy requirements of 40 CFR
98.3(i)(2) and (i)(3) to meters that are
used to measure liquid and gaseous
feedstock volumes. In accordance with
40 CFR 98.3(i)(1), all other measurement
devices that are used to provide data for
the GHG emissions calculations have to
be calibrated only to an accuracy within
the appropriate error range for the
specific measurement technology, based
on an applicable operating standard,
such as the manufacturer’s
specifications. Second, we are removing
the requirements for solids weighing
equipment and oil tank drop
measurements to be calibrated
according to 40 CFR 98.3(i), because the
provisions of 40 CFR 98.3(i) apply only
to gas and liquid flow meters. For oil
tank drop measurements, the QA
requirements of 40 CFR 98.34(b)(2)
apply.
As a harmonizing amendment with
the amendment allowing the use of a gas
chromatograph (described in 40 CFR
98.164(b)(5)), we are adding the phrase
‘‘no less frequent’’ to 40 CFR
98.164(b)(2). This change indicates that
when determining the carbon content
and the molecular weight of ‘‘other
gaseous fuels and feedstocks’’ (e.g.,
biogas, refinery gas, or process gas), you
must undertake sampling and analysis
no less frequently than weekly.
Replacing a ‘‘weekly’’ requirement with
‘‘no less frequent than weekly’’ allows
for the use of continuous, on-line
equipment gas chromatographs.
We are amending 40 CFR 98.164(b)(5)
to allow the use of chromatographic
analysis of the fuel, provided that the
gas chromatograph is operated,
maintained, and calibrated according to
the manufacturer’s instructions.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
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of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Modification of Equation P–1 to
account for measurements taken more
frequently than monthly to determine
the molecular weight of the gaseous fuel
and feedstock.
• Inclusion of the option to use a gas
chromatograph (both continuous and
non-continuous) for determining the
carbon content and molecular weight of
gaseous fuels.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: One commenter noted that
the fuels and feedstocks to a hydrogen
plant subject to subpart P requirements
are often the same fuels that are burned
in combustion units subject to subpart
C requirements. The commenter further
noted that both subparts had different
monitoring and QA/QC requirements
which would pose a problem for a
facility trying to determine which
method to use.
Response: No change has been made
as a result of this comment. We did not
receive sufficient information from the
commenter as to why they would not be
able to comply using the methods
already prescribed in subpart P for
determining carbon content and
molecular weight. As noted by the
commenter, facilities only subject to
subpart C must use a method published
by a consensus standards organization if
such a method exists, or an industry
consensus standard practice. Therefore,
the methods in the 2009 final rule for
subpart P could be used to meet the
requirements in subpart C. We
determined that it was appropriate to
open the methods to industry consensus
standards or industry standard practices
for facilities subject to subpart C only,
because the industries covered by
subpart C could be wide ranging and the
specific methods listed may not be
appropriate for certain industry types.
Because the commenter does not
provide specific concerns as to why the
methods listed in subpart P are not
appropriate, we have decided not to
remove the applicable methods listed in
subpart P and replace them with the
option to use consensus based standards
or industry consensus standards.
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Comment: One commenter requested
that EPA allow the use of gas
chromatographs as an alternative
method for determining the carbon
content in gaseous fuels and feedstocks.
Response: EPA acknowledges the
commenter’s recommendation to
include the option to use gas
chromatographs for measuring the
carbon content and molecular weight of
fuels and feedstocks in subpart P. As a
result, EPA has revised the monitoring
and QA/QC requirements to allow the
use of gas chromatographs, both
continuous and non-continuous, to
determine the carbon content and
molecular weight of fuels and
feedstocks provided that the gas
chromatograph is operated, maintained,
and calibrated according to the
manufacturer’s instructions.
L. Subpart V—Nitric Acid Production
1. Summary of Final Amendments and
Major Changes Since Proposal
We are amending 40 CFR 98.226 to
remove the synthetic fertilizer and total
nitrogen reporting requirement in 40
CFR 98.226(o). The detailed rationale
for this amendment is provided in
Section II.J of this preamble.
2. Summary of Comments and
Responses
Several comments were received on
the proposal to remove the synthetic
fertilizer and total nitrogen reporting
requirement in 40 CFR 98.226(o). Please
see section II.J (Ammonia Production) of
this preamble for the comments and
responses related to reporting of
fertilizer production data.
M. Subpart X—Petrochemical
Production
1. Summary of Final Amendments and
Major Changes Since Proposal
Numerous issues have been raised by
owners and operators in relation to the
requirements in subpart X for
petrochemical production facilities. The
issues being addressed by the
amendments include the following:
• Distillation and recycling of waste
solvent.
• Process vent emissions monitored
by CEMS.
• Process off-gas combustion in flares.
• CH4 and N2O emissions from
combustion of process off-gas.
• Molar volume conversion (MVC)
factors.
• Methodology for small ethylene offgas streams.
• Monitoring and QA/QC
requirements.
• Reporting requirements under the
CEMS compliance option.
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• Reporting requirements for the
ethylene-specific option.
• Reporting measurement device
calibrations.
• For the mass balance option,
sampling frequency when receiving
multiple deliveries from same supply
source.
Distillation and recycling of waste
solvent. We are adding a new paragraph,
as proposed, to 40 CFR 98.240(g) to
specify that a process that distills or
recycles waste solvent that contains a
petrochemical is not part of the
petrochemical production source
category.
Process vent emissions monitored by
CEMS. We are adding a sentence, as
proposed, to 40 CFR 98.242(a)(1) that
specifies CO2 emissions from process
vents routed to stacks that are not
associated with stationary combustion
units must be reported under subpart X
when you comply with the CEMS
option in 40 CFR 98.243(b).
Process off-gas combustion in flares.
We are amending 40 CFR 98.242(b), as
proposed, by removing the reference to
flares.
CH4 and N2O emissions from
combustion of process off-gas. We are
amending 40 CFR 98.243(b), as
proposed, to clarify that either the
default HHV for fuel gas or a sitespecific calculated HHV may be used
when using Tier 3 procedures to
calculate CH4 and N2O emissions from
combustion units that burn
petrochemical process off-gas and are
monitored with a CO2 CEMS.
Sampling frequency for mass balance
method. We are amending 40 CFR
98.243(c)(3) to clarify that when
multiple deliveries of a particular liquid
or solid feedstock are received from the
same supply source in a month, one
representative sample is sufficient for
the month. The amendment is being
made in response to a comment
received. As explained in section II.M.2
of this preamble, we are amending 40
CFR 98.243(c)(3) to make the language
in subpart X consistent with a similar
amendment for fuel sampling in 40 CFR
98.34(b)(3)(ii)(B). The new language
does not change the requirements in 40
CFR 98.243(c).
Molar volume conversion (MVC)
factors. We are amending Equation X–
1, as proposed, to provide two
alternative values of MVC that
correspond to the two most common
standard conditions output by the flow
monitors. Additionally, the reporting
requirements related to this equation are
being amended, as proposed, to include
reporting of the standard temperature at
which the gaseous feedstock and
product volumes were determined
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(either 60 °F or 68 °F) and to afford
verification of the reported emissions.
Methodology for small ethylene offgas streams. We are finalizing
amendments to 40 CFR 98.243(d), as
proposed, to allow the use of Tier 1 or
Tier 2 methods for small flows (in cases
where a flow meter is not already
installed). Specifically, Tier 1 or Tier 2
methods may be used for ethylene
process off-gas streams that meet either
of the following conditions:
• The annual average flow rate of fuel
gas (that contains ethylene process offgas) in the fuel gas line to the
combustion unit, prior to any split to
individual burners or ports, does not
exceed 345 standard cubic feet per
minute (scfm) at 60 °F and 14.7 pounds
per square inch absolute (psia) and a
flow meter is not installed at any point
in the line supplying fuel gas or at an
upstream common pipe.
• The combustion unit has a
maximum rated heat input capacity of
less than 30 mm Btu/hr, and a flow
meter is not installed at any point in the
line supplying fuel gas (that contains
ethylene process off-gas) or an upstream
common pipe.
As in the proposal, this amendment
also specifies how to calculate the
annual average flow rate under the first
condition. Specifically, the total flow
obtained from company records is to be
evenly distributed over 525,600 minutes
per year. In response to comments we
are making an editorial change to the
introductory paragraph of 40 CFR
98.243(d) to clarify that the common
pipe reporting alternative may be used
when applicable; the intent of the
requirements in this section are not
changed by this editorial change. We are
also making a number of other editorial
changes to 40 CFR 98.243(d), as
proposed, to integrate the amended
option with the existing requirements.
Finally, we are amending 40 CFR
98.246(d)(2) and 98.247(c), as proposed,
to add reporting and recordkeeping
requirements that are related to the
amendments in 40 CFR 98.243(d)(2).
Monitoring methods for determining
carbon content and composition. We are
finalizing the proposed addition of
ASTM D2593–93 (Reapproved 2009),
Standard Test Method for Butadiene
Purity and Hydrocarbon Impurities by
Gas Chromatography, to 40 CFR
98.244(b)(4). We are further amending
40 CFR 98.244(b)(4), as proposed, by
adding a new paragraph that will allow
the use of industry standard practice to
determine the carbon content or
composition of carbon black feedstock
oils and carbon black products.
We also added two more published
methods to the list in 40 CFR
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98.244(b)(4) of the final rule: ASTM
D7633, Standard Test Method for
Carbon Black—Carbon Content, and
EPA Method 9060A in EPA publication
SW–846, Test Methods for Evaluating
Solid Waste, Physical/Chemical
Methods. We also added an option,
already proposed in subparts C and Y,
to use results of chromatographic
analysis of feedstocks and products,
provided that the gas chromatograph is
operated, maintained, and calibrated
according to the manufacturer’s
instructions. Finally, we added an
option to use results of a mass
spectrometer analysis of a feedstock or
product, provided that the mass
spectrometer is operated, maintained,
and calibrated according to the
manufacturer’s instructions.
We are also amending 40 CFR
98.244(b)(4), as proposed, to provide
facilities the option to determine carbon
content or composition of feedstocks or
products using modified versions of the
analytical methods listed in 40 CFR
98.244(b)(4) if the listed methods are not
appropriate for reasons noted below.
The proposed amendments in this
section would have allowed the use of
‘‘other analytical methods’’ if methods
listed in 40 CFR 98.244(b)(4) are not
appropriate for any of the same reasons.
However, in response to comments, we
revised this provision to allow the use
of ‘‘other methods’’ rather than ‘‘other
analytical methods’’ so that nonanalytical methods also can be used.
The conditions under which the listed
methods may be considered
inappropriate are the same as at
proposal. Specifically, a listed method
may be considered inappropriate if the
relevant compounds cannot be detected,
the quality control requirements are not
technically feasible, or use of the
method will be unsafe.
We are amending the reporting
requirements in 40 CFR 98.246(a)(11), as
proposed, so that if an alternative
method is used, facilities must include
in the annual report the name or title of
the method used and, the first time it is
used, a copy of the method and an
explanation of why the use of the
alternative method is necessary. Also as
proposed, the amendments to 40 CFR
98.244(b)(4) may be used for the 2010
reporting year.
QA/QC requirements. To maintain
consistency with the amendments to 40
CFR 98.3(i), we are amending, as
proposed, the QA/QC provisions for
weighing devices, flow meters, and tank
level measurement devices in 40 CFR
98.244 (b)(1), (b)(2), and (b)(3).
Reporting requirements under the
CEMS compliance option. As proposed,
we are making a number of changes in
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40 CFR 98.246(b)(1) through (b)(5) to
clarify the reporting requirements under
the CEMS compliance option.
First, we are moving the requirement
for reporting of the petrochemical
process ID from 40 CFR 98.246(b)(3) to
40 CFR 98.246(b)(1) to be consistent
with the structure in other reporting
sections, and we are renumbering the
existing paragraphs (b)(1) and (b)(2).
Second, we are adding a statement in
the renumbered paragraph 40 CFR
98.246(b)(2) to specify that the reporting
requirements in 40 CFR 98.36(b)(9)(iii)
(as numbered in today’s action) for CH4
and N2O do not apply under subpart X
because applicable reporting
requirements are specified in 40 CFR
98.246(b)(5).
Third, in the renumbered 40 CFR
98.246(b)(3), we are deleting the
requirement to report information
required under 40 CFR 98.36(e)(2)(vii)
because the referenced section specifies
recordkeeping requirements, not
reporting requirements. Note that one
must still keep the applicable records
because 40 CFR 98.247(a) references 40
CFR 98.37, which in turn requires you
to keep all of the applicable records in
40 CFR 98.36(e). We are also amending
the reference to 40 CFR 98.36(e)(2)(vii)
to a more general reference of 40 CFR
98.36. This makes the reporting
requirements consistent with the
methodology for calculating emissions
in 40 CFR 98.243(b).
Fourth, we are amending 40 CFR
98.246(b)(4) to clarify our intent. The
first sentence in 40 CFR 98.246(b)(4)
requires reporting of the total CO2
emissions from each stack that is
monitored with CO2 CEMS; this
requirement will be unchanged. We are
amending the second sentence in 40
CFR 98.246(b)(4) to clarify that for each
CEMS that monitors a combustion unit
stack, you must estimate the fraction of
the total CO2 emissions that is from
combustion of the petrochemical
process off-gas in the fuel gas. This
estimate will give an indication of the
total petrochemical process emissions,
whereas the CEMS data alone will also
include emissions from combustion of
supplemental fuel (if any).
Finally, as proposed, we are finalizing
several amendments to 40 CFR
98.246(b)(5). In general, as noted above,
the requirements in this paragraph are
consistent with the requirements in 40
CFR 98.36(b)(9)(iii) (as numbered in this
action). Most of the amendments to 40
CFR 98.246(b)(5) restate requirements
from 40 CFR 98.36(b)(9)(iii); for
example, the amendments clarify that
emissions are to be reported in metric
tons of each gas and in metric tons of
CO2e. However, because 40 CFR
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98.36(b)(9)(iii) allows you to consider
petrochemical process off-gas as a part
of ‘‘fuel gas’’ rather than as a separate
fuel, under 40 CFR 98.246(b)(5) you
must also estimate the fraction of total
CH4 and N2O emissions in the exhaust
from each stack that is from combustion
of the petrochemical process off-gas. In
addition, because 40 CFR 98.243(b)
requires you to determine CH4 and N20
emissions using Equation C–8 in
subpart C (rather than Equation C–10),
the amendments to 40 CFR 98.246(b)(5)
require reporting of the HHV that you
use in Equation C–8. We are also
deleting the erroneous reference to
Equation C–10 that was included in 40
CFR 98.246(b)(5).
Reporting requirements for the
ethylene-specific option. As proposed,
we are finalizing several amendments to
clarify the reporting requirements in 40
CFR 98.246(c) for the combustion-based
methodology that is available to the
ethylene-specific option. First, we are
adding a requirement to report each
ethylene process ID to allow
identification of the applicable process
units at facilities with more than one
ethylene process unit. Second, we are
making editorial changes to clarify that
you must estimate the fraction of total
combustion emissions that is due to
combustion of ethylene process off-gas,
consistent with the requirements
described above for combustion units
that are monitored with CEMS. Third,
we are replacing the requirement to
report the ‘‘annual quantity of each type
of petrochemical produced from each
process unit’’ with a requirement to
report the ‘‘annual quantity of ethylene
produced from each process unit.’’
Reporting measurement device
calibrations. As proposed in 40 CFR
98.246(a)(7) we are deleting the
requirement for reporting of the dates
and summarized results of calibrations
of each measurement device under the
mass balance option, and we are also
adding 40 CFR 98.247(b)(4) to require
retention of these records.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Additional methods for determining
carbon content or composition of
feedstocks and products were added to
40 CFR 98.244(b)(4).
• For the optional combustion
method for ethylene processes, the
introductory paragraph in 40 CFR
98.243(d) was edited to require
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calculation of GHG emissions from
‘‘combustion units’’ rather than from
‘‘each combustion unit.’’ This change
makes it clear that the common pipe
reporting alternative specified in 40 CFR
98.36(c)(3) of subpart C may be used
when applicable, and it makes 40 CFR
98.243(d) consistent with the reporting
requirements for the ethylene process
option as specified in 40 CFR 98.246(c).
• For the mass balance option, 40
CFR 98.243(c)(3) was revised to specify
that multiple deliveries of a particular
liquid or solid feedstock in a month
from the same supply source may be
considered a single feedstock lot,
requiring only one representative
sample for carbon content analysis. This
change makes the analysis requirements
for feedstocks consistent with the
amended requirements for fuels in 40
CFR 98.34(b)(3)(ii)(B).
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: Several commenters
requested either the addition of specific
carbon content or composition
measurement methods in 40 CFR
98.244(b)(4) or other changes that would
increase measurement flexibility. One
commenter requested that EPA Method
9060 of SW–846 be added to the list of
methods, and that the list of methods be
modified to allow for the use of a
company-specific method for measuring
acetonitrile as an alternative to using
EPA Method 8015 in SW–846. One
commenter requested that ASTM
D7633, Standard Test Method for
Carbon Black—Carbon Content, be
added to the list of methods because it
has recently been accepted and
approved by ASTM. This commenter
also noted that ASTM is currently
reviewing a method for carbon content
in carbon black feedstock oils and
requested addition of a statement
indicating that once this method is
approved and assigned an official
number by ASTM that it is effective as
of January 1, 2010. One commenter
requested that EPA remove the reference
to ‘‘analytical’’ in the phrase ‘‘other
analytical methods’’ in proposed 40 CFR
98.244(b)(4)(xiii) (renumbered as
paragraph (xv)(A) in the final
amendments) so that the carbon content
of ethylene oxide and water solutions
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could be measured using a
densitometer. One commenter stated
that 40 CFR 98.244(b)(4) should be
expanded to allow the use of an on-line
mass spectrometer to determine the
carbon content and molecular weights.
One commenter stated that
requirements for gas chromatography
should be consistent across all subparts
and that EPA should extend the
requirements for the use of gas
chromatographs under subpart C to
subpart X. Specifically, the commenter
requested that the use of gas
chromatographs be allowed, ‘‘provided
that the gas chromatograph is operated,
maintained, and calibrated according to
the manufacturer’s instructions.’’ One
commenter noted that the proposed
amendments to subpart C added
flexibility to the carbon content analysis
requirements for fuels by eliminating
the list of specific methods and instead
allowing a broader array of methods
(i.e., industry consensus standard
practice, method published by a
consensus-based standards organization,
or results of gas chromatographic
analysis). This commenter stated that
the same flexibility should be allowed
for feedstock and product analysis
under subpart X.
Response: In the preamble to the
proposed amendments we indicated
that we would consider adding carbon
content methods for carbon black and
carbon black feedstock oil if they were
approved by ASTM before publication
of the final amendments. Because it has
been approved by ASTM, we have
added Method D7633, Standard Test
Method for Carbon Black—Carbon
Content, to 40 CFR 98.244(b)(4). We
have not added the requested statement
regarding the method for determining
carbon content in carbon black
feedstock oil because we cannot cite a
specific method without being able to
incorporate it by reference, and
incorporation by reference is possible
only if a copy of the method is available.
However, if this method is a current
industry standard practice, its use since
January 1, 2010, is allowed by 40 CFR
98.244(b)(4)(xv) of the final
amendments.
We have also decided to make four of
the other changes suggested by
commenters. First, we have added EPA
Method 9060A in SW–846 because a
commenter indicated that it is much
more effective at detecting organic
compounds in a liquid waste stream
than any of the listed methods. Because
none of the currently listed methods
effectively detect these compounds in
the waste stream, an alternative method
such as EPA Method 9060A in SW–846
would already be allowed under 40 CFR
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98.244(b)(4)(xv)(A) of the final
amendments. However, specifically
listing the method will make
demonstrating compliance more
straightforward.
Second, we have deleted the word
‘‘analytical’’ from the phrase ‘‘other
analytical methods’’ in 40 CFR
98.244(b)(4)(xv)(A) of the final
amendments so that non-analytical
methods can be used. We agree with the
commenter that this change is needed so
that a densitometer can be used to
determine the carbon content in an
ethylene oxide and water solution. We
also agree that a non-analytical
alternative must be available in cases
where the carbon content of the solution
cannot safely be determined using any
of the listed analytical methods or
modifications of them.
Third, we have added the option from
subpart C to use results from a gas
chromatograph, provided the
instrument is operated, maintained, and
calibrated according to the
manufacturer’s instructions. This
change means there is a common option
in both subparts C and X, which we
have determined is important because
some materials may be a fuel in some
applications and a petrochemical
feedstock in others (e.g., ethylene
feedstocks). With this change, a facility
would not have to use two methods to
determine the carbon content of the
same material.
Fourth, we have added an option to
use a mass spectrometer to determine
the carbon content of a feedstock or
product. Although a mass spectrometer
would more commonly be used as one
type of detector to determine the
concentration of individual compounds
separated in a gas chromatograph, using
a mass spectrometer alone to determine
the overall carbon content is also
acceptable.
Finally, we have decided not to delete
the list of specified methods and replace
them with a general statement allowing
the use of any industry consensus
standard practice or method published
by a consensus-based standards
organization. We have received
considerable input from the industry on
methods that are actually being used.
We conclude that the existing flexibility
in the final amendments is sufficient,
and that there is no need to allow the
use of other unspecified methods. We
recognize that this is not consistent with
the methodologies allowed for
determining carbon content in subpart
C; however, we have concluded that this
is justified given the wide variety of
industries subject to subpart C versus
the more narrowly-focused sources
subject to subpart X.
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We are not specifically allowing the
use of a company-specific method for
the determination of carbon content in
acetonitrile because we are not
convinced that it is necessary. The
commenter indicated that they can use
EPA Method 8015 of SW–846, and they
have not indicated any problems with
using this method. It is also possible
that their company-specific method
would qualify as a modification to a
listed method that would be allowed if
any of the criteria in 40 CFR
98.244(b)(4)(xv)(A) of the final
amendments are met. Therefore, we
have not made the requested change.
Comment: One commenter requested
a modification to 40 CFR 98.243(c)(3)
for carbon black production processes
that specifies all deliveries of a fuel or
feedstock oil in a month from the same
supply source are considered to be a
fuel lot, and carbon content must be
determined for only one representative
sample from the lot.
Response: Although we did not
propose amendments to the sampling
and analysis requirements in 40 CFR
98.243(c)(3), we did propose a change
similar to that suggested by the
commenter in 40 CFR 98.34(b)(3)(ii)(B)
of subpart C for fuels. Subpart X
currently requires you to determine the
carbon content for at least one sample
of each feedstock and product per
month. In addition, if you make more
than one valid carbon content
measurement during the month (from
separate samples), then you must
average the results arithmetically. (Note
that this language does not require
sampling and analysis for each delivery
of a feedstock. Furthermore, each
delivery of the same material, even from
different suppliers, is not considered to
be a separate feedstock.) However, we
agree with the commenter that if
multiple deliveries of the same
feedstock are received from the same
supply source, one representative
sample is sufficient for the month.
Therefore, we have amended 40 CFR
98.243(c)(3) in the interest of improving
the operating flexibility of the rule. We
have also broadened the statement so
that it applies for any liquid or solid
feedstock. Please see the amended rule
language to 40 CFR 98.243(c)(3).
Comment: One commenter stated that
the proposed term ‘‘each combustion
unit’’ in the introductory paragraph of
40 CFR 98.243(d) appears to preclude
the use of the common pipe reporting
alternative in 40 CFR 98.36(c)(3).
According to the commenter, the
common pipe option is appropriate for
ethylene processes, and precluding it
will not improve the quality of GHG
emission estimates. Therefore, the
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commenter requests that ‘‘each
combustion unit’’ be changed to
‘‘combustion units.’’
Response: We have made the
suggested change in the final
amendments because we agree with the
commenter’s assessment of the
proposed language. We did not intend
to preclude the use of the common pipe
option, as evidenced by the fact that 40
CFR 98.243(d)(2)(i) and (ii) both specify
that the determination of when Tier 1
and Tier 2 procedures may be used is
to be based on whether there is an
existing flow meter either in the line to
the combustion device or an upstream
common pipe. Moreover, the reporting
requirements in 40 CFR 98.246(c)(2)
require reporting for each stationary
combustion unit, or group of stationary
sources with a common pipe.
N. Subpart Y—Petroleum Refineries
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1. Summary of Final Amendments and
Major Changes Since Proposal
Numerous issues have been raised by
owners and operators in relation to the
requirements in subpart Y for petroleum
refineries. The issues being addressed
by the amendments include the
following:
• GHG emissions from flares.
• GHG emissions to report from
combustion of fuel gas.
• GHG emissions to report from nonmerchant hydrogen production process
units.
• Calculating GHG emissions from
fuel gas combustion.
• Calculating combustion GHG
emissions from flares and asphalt
blowing operations controlled by
thermal oxidizer or flare.
• Molar volume conversion factors.
• Combined stacks monitored by
CEMS.
• Nitrogen concentration monitoring
to determine exhaust gas flow rate.
• Calculating CO2 emissions from
catalytic reforming units.
• Calculating GHG emissions from
sulfur recovery plants.
• Calculating CO2 emissions from
coke calcining units.
• Calculating CO2 emissions from
process vents.
• Monitoring and QA/QC
requirements.
• Reporting requirements.
GHG emissions from flares. We are
finalizing corrections to 40 CFR
98.252(a) (GHGs to report) as proposed
to clarify the required emissions
methods for flares. We are proposing to
amend the second sentence in 40 CFR
98.252(a) to correctly require reporters
to ‘‘Calculate and report the emissions
from stationary combustion units under
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subpart C * * *’’ and we are proposing
to add an additional sentence at the end
of this section to clarify that reporters
must ‘‘Calculate and report the
emissions from flares under this
subpart.’’
GHG emissions to report from
combustion of fuel gas. We are
finalizing amendments to 40 CFR
98.252(a) as proposed to clarify that
reporting of CH4 and N2O emissions is
required for the stationary combustion
units fired with fuel gas. As described
in Section II.G of this preamble, we are
also amending the definition of fuel gas.
GHG emissions to report from nonmerchant hydrogen production process
units. As proposed, we are amending 40
CFR 98.252(i) to clarify that reporting of
only CO2 emissions is required for nonmerchant hydrogen production process
units.
Calculating GHG emissions from fuel
gas combustion. We are finalizing
amendments to 40 CFR 98.252(a), as
proposed, so that petroleum refineries
subject to subpart Y can use the Tier 1
or 2 methodologies in subpart C for
combustion of fuel gas when either of
the following conditions exists:
• The annual average fuel gas flow rate
in the fuel gas line to the combustion
unit, prior to any split to individual
burners or ports, does not exceed 345
scfm at 60 °F and 14.7 psia, and either
of the following conditions exists:
—A flow meter is not installed at any
point in the line supplying fuel gas
or an upstream common pipe; or
—The fuel gas line contains only
vapors from loading or unloading,
waste or wastewater handling, and
remediation activities that are
combusted in a thermal oxidizer or
thermal incinerator.
• The combustion unit has a maximum
rated heat input capacity of less than
30 mmBtu/hr, and either of the
following conditions exists:
—A flow meter is not installed at any
point in the line supplying fuel gas
or an upstream common pipe; or
—The fuel gas line contains only
vapors from loading or unloading,
waste or wastewater handling, and
remediation activities that are
combusted in a thermal oxidizer or
thermal incinerator.
Calculating combustion GHG
emissions from flares and asphalt
blowing operations controlled by
thermal oxidizer or flare. As proposed,
we are finalizing amendments to 40 CFR
98.253 to renumber existing Equations
Y–1 and Y–16 as Equations Y–1a and
Y–16a, and adding the more detailed
Equations Y–1b and Y–16b that provide
more detailed alternative methods for
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calculating emissions. We are also
finalizing corresponding amendments in
40 CFR 98.256 as proposed to require
reporting of which equation was used
and, if the new equations are used,
reporting of the additional equation
parameters.
Molar volume conversion factors. We
are finalizing amendments to Equations
Y–1, Y–3, Y–6, Y–12, Y–18, Y–19, Y–20,
and Y–23 in subpart Y as proposed to
provide two alternative values of MVC
depending on the standard conditions
output by the flow monitors. For
reasons outlined in the ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508), we are also
finalizing a similar amendment to
Equation Y–2, as a logical outgrowth of
the proposal and comments received to
provide two alternative values of MVC
in this equation (if mass flow monitors
are used) depending on the standard
conditions at which the higher heating
value is determined. Additionally, the
reporting requirements related to each
of these equations are being amended to
include reporting of the value of MVC
used to support the calculations and to
allow verification of the reported
emissions.
Combined stacks monitored by CEMS.
As proposed, we are amending the
language in 40 CFR 98.253(c)(1)(ii) and
also the reporting requirements in 40
CFR 98.256(f)(6) to generalize the
language to include other CO2 emission
sources, not just a CO boiler.
Nitrogen concentration monitoring to
determine exhaust gas flow rate. As
proposed, we are amending 40 CFR
98.253(c)(2)(ii) to renumber Equation Y–
7 as Equation Y–7a and to add an
Equation Y–7b to provide an alternative
N2 concentration monitoring approach
for determining the exhaust gas flow
rate. We are also finalizing reporting
requirements in 40 CFR 98.256(f)(9) to
report the input parameters for Equation
Y–7b if it is used.
Calculating CO2 emissions from
catalytic reforming units. We are
finalizing amendments to the definition
of the coke burn-off quantity, CBQ, and
the term ‘‘n’’ in Equation Y–11 in 40 CFR
98.253(e)(3) as proposed to clarify the
application of Equation Y–11 to
continuously regenerated catalytic
reforming units.
Calculating GHG emissions from
sulfur recovery plants. We are amending
40 CFR 98.253(f) as proposed to add
‘‘and for sour gas sent off site for sulfur
recovery’’ to clarify that this calculation
methodology applies ‘‘For on-site sulfur
recovery plants and for sour gas sent off
site for sulfur recovery, * * *’’ and to
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allow non-Claus sulfur recovery plants
to alternatively follow the requirements
in 40 CFR 98.253(j) for process vents.
We also are finalizing amendments to
the reporting requirements in 40 CFR
98.256(h) as proposed to include the
type of sulfur recovery plant, an
indication of the method used to
calculate CO2 emissions, and reporting
requirements for non-Claus sulfur
recovery plants that elect to follow the
requirements in 40 CFR 98.253(j) for
process vents.
Calculating CO2 emissions from coke
calcining units. We are amending the
definition of Mdust (the mass of dust
collected in the dust collection system)
in Equation Y–13 in 40 CFR 98.253(g) as
proposed to clarify that dust recycled
back to the coke calciner is not included
in the mass of dust collected in the dust
collection system (Mdust). We also are
finalizing amendments to 40 CFR
98.256(i)(5), as proposed, to require
facilities that use Equation Y–13 to
indicate whether or not the collected
dust is recycled to the coke calciner.
Calculating CO2 emissions from
process vents. We are finalizing
amendments to the process vent
requirements in 40 CFR 98.253(j) as
proposed to account for the additional
sources that may elect to use Equation
Y–19, specifically non-Claus sulfur
recovery units (as previously described)
and uncontrolled blowdown vents
(inadvertently not referenced). We are
also amending the reporting
requirements for process vents in 40
CFR 98.256(l) as proposed to clarify that
the requirements apply to each process
vent, and 40 CFR 98.256(l)(5) to require
an indication of the measurement or
estimation method for the volumetric
flow rate and the mole fraction of the
GHG in the vent.
Finally, we are finalizing amendments
to 40 CFR 98.253(n) as proposed to
delete the words ‘‘equilibrium’’ and
‘‘product-specific’’ to clarify that the true
vapor phase of the loading operation
system should be used when
determining whether the vapor-phase
concentration of methane is 0.5 volume
percent or more.
Monitoring and QA/QC requirements.
We are finalizing amendments to the
monitoring and QA/QC requirements in
subpart Y, 40 CFR 98.254 as proposed,
except as provided below. We proposed
amendments to require all gas flow
meters on process vents subject to
reporting under 40 CFR 98.253(j) to
comply with the monitoring
requirements in 40 CFR 98.254(f).
However, for the reasons set forth in the
Response to Comments (Section N.2. of
this preamble), we are finalizing
amendments for gas flow meters on
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process vents subject to reporting under
40 CFR 98.253(j) to comply with the
monitoring requirements in 40 CFR
98.254(c).
A summary of the amendments to the
monitoring and QA/QC requirements
that we are finalizing as proposed is
below. Paragraph (a) of 40 CFR 98.254
is amended to include also the phrase
‘‘sources that use a CEMS to measure
CO2 emissions according to subpart C of
this part * * *’’ to separate further these
sources from those that are covered by
40 CFR 98.254(b). We also are rewording the phrase ‘‘follow the
monitoring and QA/QC requirements in
§ 98.34’’ with ‘‘meet the applicable
monitoring and QA/QC requirements in
§ 98.34’’ to clarify that the monitors
must meet the requirements for the
specific tier for which monitoring was
required (Tier 3 sources will comply
with the Tier 3 requirements; Tier 4
sources will comply with the Tier 4
requirements; etc.).
Because the QA/QC requirements for
CO2 CEMS that were formerly included
in 40 CFR 98.254(l) will be included in
the amended paragraph 40 CFR
98.254(a), we are removing 40 CFR
98.254(l).
Paragraph (b) of 40 CFR 98.254 is
amended to clarify that these
requirements apply to gas flow meters,
gas composition monitors, and heating
value monitors other than those subject
to 40 CFR 98.254(a). We are correcting
the reference to ‘‘paragraphs (c) through
(e)’’ to correctly reference ‘‘paragraphs
(c) through (g)’’ as gas monitoring system
requirements are specified in 40 CFR
98.254(c) through (g). We are also
clarifying that the calibration
requirements in 40 CFR 98.3(i) only
apply to gas flow meters and allowing
recalibration of gas flow meters
biennially (every two years), at the
minimum frequency specified by the
manufacturer, or at the interval
specified by the industry consensus
standard practice used. Paragraph (b) of
40 CFR 98.254 is also amended to
clarify that gas composition and heating
value monitors must be recalibrated
either annually, at the minimum
frequency specified by the
manufacturer, or at the interval
specified by the industry consensus
standard practice used.
Paragraph (c) of 40 CFR 98.254 is
amended to clarify that the flare or sour
gas flow meters must be calibrated (in
addition to operated and maintained)
using either a method published by a
consensus-based standards organization
(e.g., ASTM, API, etc.) or the procedures
specified by the flow meter
manufacturer. The ±5 percent accuracy
specification is being removed from 40
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79125
CFR 98.254(c). We are also amending 40
CFR 98.254(c) by removing the list of
methods as this is redundant to the
existing phrase, ‘‘a method published by
a consensus-based standards
organization.’’
Paragraphs (d) and (e) of 40 CFR
98.254 are amended to allow the use of
any chromatographic analysis to
determine flare gas composition and
high heat value, as an alternative to the
methods listed in 40 CFR 98.254(d) and
(e), provided that the gas chromatograph
is operated, maintained, and calibrated
according to the manufacturer’s
instructions. The methods used for
operation, maintenance, and calibration
of the gas chromatograph must be
documented in the written monitoring
plan for the unit under 40 CFR
98.3(g)(5). Paragraph (d) in 40 CFR
98.254 is also amended to apply to all
gas composition monitors, other than
those included in 40 CFR 98.254(g), and
not just flare gas composition monitors.
We are also amending 40 CFR
98.254(d) to specify that the methods in
this paragraph are also to be used for
determining average molecular weight
of the gas, which is needed in Equations
Y–1a and Y–3. We are also adding an
additional method (ASTM D2503–92) to
this section for determining average
molecular weight.
We are making a number of
amendments to 40 CFR 98.254(f). The
term ‘‘exhaust gas flow meter’’ is
replaced with the term ‘‘gas flow meter,’’
as proposed.
We are retaining 40 CFR 98.254(f)(3)
and portions of 40 CFR 98.254(f)(1) but
only as general, supplementary
guidelines for flow monitor installation
and operation. Thus, we are amending
40 CFR 98.254 to require that reporters
must do all of the following:
• Install, operate, calibrate, and
maintain each stack gas flow meter
according to the requirements in 40 CFR
63.1572(c);
• Locate the flow monitor at a site
that provides representative flow rates
(avoiding locations where there is
swirling flow or abnormal velocity
distributions); and
• Use a monitoring system capable of
correcting for the temperature, pressure,
and moisture content to output flow in
dry standard cubic feet (standard
conditions as defined in 40 CFR 98.6).
We are making a technical correction
to 40 CFR 98.254(g) to correct the crossreference from 40 CFR 63.1572(a) to 40
CFR 63.1572(c).
We are amending 40 CFR 98.254(h) to
require calibration of mass measurement
equipment according to the procedures
specified by National Institute of
Standards and Technology (NIST)
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Handbook 44 or the procedures
specified by the manufacturer, and
removing reference to the calibration
requirements in 40 CFR 98.3(i).
Reporting requirements. This section
covers reporting requirements that have
not been described in previous sections
of this preamble.
We are amending the reporting
requirements in 40 CFR 98.256(e)(6) and
(8) for Equations Y–1 (renumbered to Y–
1a) and Y–2, respectively, to require
reporting of whether daily or weekly
measurement periods are used, for
verification purposes.
In 40 CFR 98.256(f)(6), 40 CFR
98.256(h)(6), and 40 CFR 98.256(i)(6),
we are amending the references to 40
CFR 98.36(e)(2)(vi) to reference 40 CFR
98.36 more generally. This will make
the references consistent with the
associated requirements in 40 CFR
98.253.
We are amending 40 CFR 98.256(f) to
require reporting of the unit-specific
emission factor for CH4 and N2O, if
used, in the newly designated 40 CFR
98.256(f)(11) and (12), respectively.
We are amending 40 CFR 98.256(i)(8)
to make it consistent with the
information collected in 40 CFR
98.245(i)(7).
We are also amending 40 CFR
98.256(j)(2) to clarify that the reporting
requirements for asphalt blowing apply
at the unit level.
We are also amending 40 CFR
98.256(o) to re-organize the reporting
requirements to separate and clarify the
reporting requirement for storage tanks
used for processing unstabilized crude
oil from those reporting requirements
for other types of storage tanks.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• Amending Equation Y–2 in subpart
Y to provide two alternative values of
MVC in this equation (if mass flow
monitors are used) depending on the
standard conditions at which the higher
heating value is determined.
• Amending requirements for gas
flow meters on process vents subject to
reporting under 40 CFR 98.253(j) to
comply with the monitoring
requirements in 40 CFR 98.254(c) rather
than 40 CFR 98.254(f).
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
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Several comments were received on this
subpart. Responses to additional
comments received can be found in the
document, ‘‘Response to Comments:
Revision to Certain Provisions of the
Mandatory Reporting of Greenhouse
Gases Rule’’ (see EPA–HQ–OAR–2008–
0508).
Comment: One commenter stated that
they have identified gas streams that
would otherwise fit the requirements for
the use of the Tier 1 or Tier 2
methodologies, as proposed in 40 CFR
98.252(a)(1) and (2), if it were not for the
fact that they are equipped with flow
meters. According to the commenter,
these streams are not what industry
would define as ‘‘refinery fuel gas’’ but
would fall under the realm of ‘‘fuel gas’’
as originally defined in 40 CFR 98.6 in
the October 30, 2009, final Part 98, and
in the amended definition. These can
include streams that are process off-gas
or vent gases with properties much
different from traditional ‘‘refinery fuel
gas’’ streams and are not part of the
refinery’s fuel gas system. According to
the commenter, these off-gas streams
may not be sampled currently. The
commenter asserted that many of these
streams are difficult to sample (for
example, because of low pressure) or
may present hazardous sampling
conditions. According to the
commenter, the added rigor associated
with Tier 3 requirements is not justified
for the increased safety risk, considering
the very small contribution of emissions
(on the order of 0.1 percent of a
refinery’s total greenhouse gas
emissions as estimated by the
commenter).
Response: The proposed amendments
provided limited exclusions to the Tier
3 requirement for very small fuel gas
lines or combustion units that are not
equipped with a flow meter. As noted
in the preamble of the August 11, 2010,
proposed amendments, the exclusion
was specifically targeted to prevent the
need to install flow meters for these
small fuel gas lines. EPA noted that ‘‘[i]f
flow meters are in place at the process
heater or at a common pipe location, we
consider that the Tier 3 monitoring
requirements are reasonable and
justified.’’ (See 75 FR 48772.) The
commenter indicated that these gas
streams could have a significantly
different composition than typical
refinery fuel gas, which suggests the
default fuel gas factor would have
considerable uncertainty for these gas
streams, further indicating that Tier 3
sampling is necessary. While we
recognize that there are inherent safety
issues with sampling any fuel gas
streams, the commenter has not
provided any supporting information for
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the assertion that sampling these
‘‘process off-gas or vent gases’’ is more
hazardous than other fuel gas streams at
the refinery. Therefore, we are not
expanding the proposed exclusion to
the Tier 3 methodology for fuel gas lines
that have a flow meter already installed
in the line or upstream common pipe.
We also note that today’s final
amendments are not imposing new
requirements to sample these fuel gas
streams; the October 30, 2009, final Part
98 already required these fuel gas
streams to be sampled for carbon
content no less than once per calendar
week.
Comment: One commenter objected to
the proposed revision of 40 CFR
98.254(f) to also require exhaust gas
flow meters associated with process
vents (i.e., subject to 40 CFR 98.253(j)
requirements) to be installed, operated,
calibrated and maintained according the
Petroleum Refineries NESHAP (40 CFR
part 63, subpart UUU) requirements in
40 CFR 63.1572(c). According to the
commenter, the Petroleum Refineries
NESHAP requirements in 40 CFR
63.1572(c) contain provisions that are
more stringent than the monitoring and
QA/QC requirements throughout Part
98. For example, 40 CFR 63.1572(c)
requires each monitoring system to have
valid hourly average data from at least
75 percent of the hours during which
the process operated and to complete a
minimum of one cycle of operation for
each successive 15-minute period with
a minimum of four successive cycles of
operation to have a valid hour of data
(or at least two if a calibration check is
performed during that hour or if the
continuous parameter monitoring
system is out-of-control). The
commenter stated that, since the flow
monitoring requirements for the
Petroleum Refineries NESHAP in 40
CFR 63.1572(c) were established to
demonstrate compliance with emission
limits, they should not be used as a
template for requirements of flow
metering for GHG reporting. The
commenter recommended that the
process vent exhaust flow meter
requirements should be consistent with
the requirements in 40 CFR 98.254(c) for
flare and sour gas flow meters.
Response: We proposed to include the
requirements for flow meters used to
comply with the 40 CFR 98.253(j) for
process vents within the monitoring
provisions of 40 CFR 98.254(f) because
these meters are exhaust gas flow meters
rather than fuel gas flow meters.
However, we agree with the commenter
that the inclusion of flow meters used
to comply with the 40 CFR 98.253(j)
within the monitoring provisions of 40
CFR 98.254(f) added new requirements
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calculated using the emission factors
included in Table C–1. We have
determined that this sludge falls within
the definition of ‘‘Wood and Wood
Residuals’’ included in Table C–1.
Therefore, per 40 CFR 98.33(b)(1)(iii),
emissions from the combustion of this
type of sludge may be determined using
Tier 1 in subpart C. In order to further
clarify this, we are adding the definition
of ‘‘Wood and Wood Residuals’’ to 40
CFR 98.6 and including wastewater
process sludge from paper mills in this
definition, as further described in
Section II.F of this preamble.
We are adding solid petroleum coke
to both Table C–1 and Table AA–2. We
have concluded that it is not necessary
to have emission factors for petroleum
coke specific to kraft calciners in Table
AA–2 because we do not believe that
any kraft calciners are combusting this
fuel, nor were any comments received
suggesting this was not the case.
There were no comments received
specifically on subpart AA, therefore the
amendments are being finalized as
proposed.
O. Subpart AA—Pulp and Paper
Manufacturing
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to these flow meters. While we believe
that the flow meter requirements in 40
CFR 63.1572(c) of the Petroleum
Refineries NESHAP are reasonable
requirements for exhaust gas flow
meters in general (40 CFR 63.1572(c) are
requirements for parameter monitoring
systems, not continuous emission
monitoring systems), we agree with the
commenter that it is inappropriate to
add these requirements to process vent
flow meters at this juncture.
Furthermore, the provisions in 40 CFR
98.253(j) allow use of process
knowledge or engineering calculations
as an alternative to direct flow
measurement. As such, it is incongruous
to subject facilities that have flow
meters on these process vents to
additional requirements when facilities
that do not have flow meters on these
process vents may use process
knowledge or engineering calculations.
Therefore, we are finalizing
requirements for flow meters used to
comply with 40 CFR 98.253(j) for
process vents to meet the monitoring
provisions of 40 CFR 98.254(c) rather
than 40 CFR 98.254(f) as was required
per the October 30, 2009 final Part 98.
1. Summary of Final Amendments and
Major Changes Since Proposal
1. Summary of Final Amendments and
Major Changes Since Proposal
We are amending 40 CFR 98.273(a)(1),
(b)(1) and (c)(1) to clarify that owners
and operators may choose to use a tier
other than Tier 1 from 40 CFR 98.33 to
calculate fossil-fuel based CO2
emissions.
We have removed the CO2 emission
factors from Table AA–2 and revised 40
CFR 98.273(c)(1) to direct owners and
operators to use the CO2 emission
factors from Table C–1 of subpart C to
calculate CO2 emissions from lime kilns.
With respect to calculating CH4 and
N2O emissions from fossil fuel
combustion at lime kilns, and consistent
with the amendments to allow use of
higher tiers than Tier 1 for units subject
to subpart AA, we are amending 40 CFR
98.273(a)(2), (b)(2), and (c)(2) to allow
reporters to also use site-specific high
heating values, as opposed to default
values, when calculating CH4 and N2O
emissions. We are making harmonizing
amendments to the definition of EF
under Equation AA–1 to clarify that
default or site-specific emission factors
may be used. Similarly, we are
amending 40 CFR 98.276(e) to reflect
the option to use default or site-specific
values.
We are clarifying through this final
rule that emissions from the combustion
of wastewater treatment sludge are
Threshold for natural gas local
distribution companies. We are
amending 40 CFR Table A–5 of subpart
A of 40 CFR part 98 to establish an
applicability threshold so that only local
distribution companies (LDCs) that
deliver 460,000 thousand standard
cubic feet (mscf) or more of natural gas
per year are subject to the reporting rule.
No major changes have been made since
proposal.
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P. Subpart NN—Suppliers of Natural
Gas and Natural Gas Liquids
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: Two commenters requested
that EPA apply the 460,000 thousand
standard cubic feet (mscf) applicability
threshold throughout 40 CFR part 98
wherever a threshold is expressed in
mtCO2e. Specifically, they contended
that 40 CFR 98.2(i)(1) and (2) should be
changed to allow LDCs to stop reporting
if they deliver less than 460 million
cubic feet (mmcf) for 5 consecutive
years or less than 276 mmcf for 3
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consecutive years (25,000 mtCO2e is
approximately equivalent to the CO2
emissions from the combustion of 460
mmcf of natural gas and 15,000 mtCO2e
is approximately equivalent to 276
mmcf of natural gas). The commenters
urged EPA to clarify that the threshold
for natural gas distributors (460,000
mscf) is equivalent to the threshold of
25,000 mtCO2e wherever that metric ton
threshold appears in the rule.
Response: EPA has finalized an
applicability threshold for LDCs of
460,000 mscf or more of natural gas
delivered per year. As noted by the
commenters, we decided that it would
be easier for LDCs to determine whether
or not they were above a reporting
threshold expressed in mscf than if that
threshold were expressed in metric tons
of carbon dioxide equivalent for the first
year of this reporting program.
However, we have not changed the
conditions for ceasing reporting. In the
2009 final rule, 40 CFR 98.2(i) states,
‘‘Except as provided in this paragraph,
once a facility or supplier is subject to
the requirements of this part, the owner
or operator must continue for each year
thereafter to comply with all
requirements of this part, including the
requirement to submit annual GHG
reports, even if the facility or supplier
does not meet the applicability
requirements in paragraph (a) of this
section in a future year.’’ As noted by
the commenter, facilities and suppliers
can cease reporting when reported
emissions are below 25,000 mtCO2e for
five consecutive years or below 15,000
mtCO2e for three consecutive years, as
specified in 40 CFR 98.2(i)(1) and (i)(2),
respectively. It is clear in the final rule
that other than these two exceptions, a
facility or supplier must continue to
report even if the facility or supplier no
longer meets the threshold for reporting
EPA has concluded that applying a
consistent threshold, expressed in
mtCO2e, in 98.2(i)(1) and 98.2(i)(2) for
all reporters levels the playing field for
all reporters and is most logical. EPA
does not intend to provide equivalent
thresholds under 40 CFR 98.2(i) for
various categories because it becomes
too cumbersome. LDCs are required to
report, under 40 CFR 98.406(b)(8), the
total annual CO2 mass emissions that
would result from complete combustion
of the natural gas delivered to end-users.
By performing this required calculation,
LDCs have the necessary data to
determine whether they may cease
reporting.
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Q. Subpart OO—Suppliers of Industrial
Greenhouse Gases
1. Summary of Final Amendments and
Major Changes Since Proposal
We are making several changes to
subpart OO to respond to concerns
raised by producers of fluorinated GHGs
regarding the scope of the monitoring
and reporting requirements, and clarify
the scope and due dates for certain
reporting and recordkeeping
requirements.
Producers of fluorinated GHGs
requested that EPA clarify that subpart
OO does not apply to fluorinated GHGs
that are either emitted or destroyed at
the facility before the fluorinated GHG
product is packaged for sale or for
shipment to another facility for
destruction; are produced and
transformed at the same facility; or
occur as low-concentration constituents
(e.g., impurities) in fluorinated GHG
products. The producers also requested
that EPA amend the rule to account for
the fact that some fluorinated GHGs do
not have global warming potential
values (GWPs) listed in Table A–1 of
subpart A. For fluorinated GHGs
without GWPs in Table A–1, facilities
cannot calculate CO2-equivalent
production as required by subpart A,
and importers and exporters cannot take
advantage of the reporting exemptions
for small shipments under 40 CFR
98.416(c) and (d), which are expressed
in CO2-equivalents.
In response to the concern regarding
fluorinated GHGs that are emitted or
destroyed before the product is
packaged for sale, we are amending the
definition of ‘‘produce a fluorinated
GHG’’ at 40 CFR 98.410(b) to explicitly
exclude the ‘‘creation of fluorinated
GHGs that are released or destroyed at
the production facility before the
production measurement at § 98.414(a).’’
We are also removing the requirements
at 40 CFR 98.414(j) and 98.416(a)(4) to
monitor and report the destruction of
fluorinated GHGs ‘‘that are not included
in the calculation of the mass produced
in § 98.413(a) because they are removed
from the production process as byproducts or wastes.’’ Finally, we are
modifying the requirements at 40 CFR
98.414(h), 98.416(a)(3), and
98.416(a)(11) to limit them to the mass
of each fluorinated GHG that is fed into
the destruction device (or ‘‘destroyed’’ in
the case of 40 CFR 98.416(a)(3)) and that
was previously produced as defined at
40 CFR 98.410(b).
These amendments will clarify that
the scope of subpart OO is that which
EPA has always intended, and they will
modify the destruction monitoring and
reporting requirements to be fully
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consistent with that scope. As noted in
the preamble to the final Part 98 (74 FR
56259), and in the response to
comments document, the intent of
subpart OO is to track the quantities of
fluorinated GHGs entering and leaving
the U.S. supply of fluorinated GHGs.
Specifically, subpart OO is intended to
address production of fluorinated GHGs,
not emissions or destruction of
fluorinated GHGs that occur during the
production process.
As noted in the proposed Part 98 (74
FR 16580), the production measurement
at 40 CFR 98.414(a) could occur
wherever it traditionally occurs, e.g., at
the inlet to the day tank or at the
shipping dock, as long as the subpart
OO monitoring requirements were met
(e.g., one-percent precision and
accuracy for the mass produced and for
container heels, if applicable).
Emissions upstream of the production
measurement will be subject to the
recently promulgated subpart L, which
was signed by EPA Administrator Lisa
Jackson on November 8, 2010 and are
not part of the subpart OO source
category.
We are also amending 40 CFR
98.416(a)(3) and (a)(11) to limit the
monitoring and reporting of destroyed
fluorinated GHGs to those destroyed
fluorinated GHGs that were previously
‘‘produced’’ under today’s revised
definition.6 Such fluorinated GHGs
include but are not limited to quantities
that are shipped to the facility by
another facility for destruction, and
quantities that are returned to the
facility for reclamation but are found to
be irretrievably contaminated. While
monitoring of some destroyed streams
appears to pose significant technical
challenges,7 monitoring of quantities of
6 In Part 98, EPA required the monitoring of all
streams being destroyed because it was our
understanding, based on conversations with
fluorinated GHG producers, that the mass flow of
destroyed fluorinated GHG streams was routinely
monitored. To arrive at the quantities being
removed from the supply, EPA required facilities to
estimate the share of the total quantity of
fluorinated GHGs destroyed that consisted of
fluorinated GHGs that were not included in the
calculation of the mass produced. This share could
then be subtracted from the total to arrive at the
amounts destroyed that were removed from the
supply. In other words, monitoring and reporting of
the destruction of fluorinated GHGs that were not
included in the mass produced was required in
order to estimate the destruction of fluorinated
GHGs that had been produced.
7 These include (1) low-pressure conditions that
make it challenging to achieve good accuracies and
precisions and under which the installation of a
flowmeter may lead to low- or no-flow conditions,
interfering with operations upstream of the meter,
(2) corrosive conditions that require the use of
Tefzel-lined flow meters, which are currently
available in a limited range of sizes and precisions,
and (3) variations in stream flow rates and
compositions that are associated with purging of
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fluorinated GHGs that were previously
produced does not. These quantities can
be weighed and analyzed by the facility
upon receipt or upon the facility’s
conclusion that they cannot be brought
back to the specifications for new or
reusable product.
In response to the concern regarding
fluorinated GHGs that are produced and
transformed at the same facility, we are
amending the definition of ‘‘produce a
fluorinated GHG’’ to exclude ‘‘the
creation of intermediates that are
created and transformed in a single
process with no storage of the
intermediates.’’ We are also amending
the definition of ‘‘produce a fluorinated
GHG’’ in 40 CFR 98.410(b) to explicitly
include ‘‘the manufacture of a
fluorinated GHG as an isolated
intermediate for use in a process that
will result in its transformation either at
or outside of the production facility.’’
We are also adding a definition of
‘‘isolated intermediate’’ to 40 CFR
98.418. Finally, we are adding
provisions to 40 CFR 98.414, 98.416,
and 98.417 to clarify that isolated
intermediates that are produced and
transformed at the same facility are
exempt from subpart OO monitoring,
reporting, and recordkeeping
requirements respectively.
As noted by the producers,
fluorinated GHGs that are produced and
transformed at the same facility never
enter the U.S. supply of industrial
greenhouse gases; thus, they do not
need to be reported under subpart OO.
This is true both of isolated
intermediates and of intermediates that
are created and transformed in a single
process with no storage of the
intermediate. However, while we are
excluding the latter from the definition
of ‘‘produce a fluorinated GHG,’’ we are
including the former in that definition.
This is because the manufacture of
isolated intermediates, which can lead
to emissions of those intermediates, will
be of interest under the recently
promulgated subpart L and it is
desirable to use the same definition of
‘‘produce a fluorinated GHG’’ for subpart
L as for subpart OO for consistency and
clarity. Thus, instead of excluding the
manufacture of isolated intermediates
that are transformed at the same facility
from the definition of ‘‘produce a
fluorinated GHG,’’ we are adding
provisions to exclude it from the
subpart OO monitoring, reporting, and
recordkeeping requirements. We are
also adding a definition of ‘‘isolated
vessels and columns and that make it difficult to
select a meter that will measure the full range of
flows to the required accuracy and precision.
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intermediate’’ that is the same as that for
the recently promulgated subpart L.
In response to the concern regarding
fluorinated GHGs that occur as lowconcentration constituents of
fluorinated GHG products, we are
defining and excluding lowconcentration constituents from the
monitoring, reporting, and
recordkeeping requirements for
fluorinated GHG production, exports,
and imports. For purposes of production
and export, we are defining a lowconcentration constituent in 40 CFR
98.418 as a fluorinated GHG constituent
of a fluorinated GHG product that
occurs in the product in concentrations
below 0.1 percent by mass. This
concentration is the same as that used
in the definition of ‘‘trace concentration’’
used elsewhere in subpart OO. It is also
consistent with industry purity
standards for HFC refrigerants (AirConditioning, Heating, and Refrigeration
Institute (AHRI) 700), for SF6 used as an
insulator in electrical equipment
(International Electrotechnical
Commission (IEC) 60376), and for
perfluorocarbons and other fluorinated
GHGs used in electronics manufacturing
(Semiconductor Equipment and
Materials International (SEMI) C3
series). To meet these standards, which
set limits that range from less than 0.1
percent to 0.5 percent for all fluorinated
GHG impurities combined, fluorinated
GHG producers are likely to have
identified and quantified the
concentrations of impurities at
concentrations at or above 0.1 percent
for the products subject to the
standards. Finally, below concentrations
of 0.1 percent, fluorinated GHG
impurities are not likely to have a
significant impact on the GWP of the
product. For example, if a lowconcentration constituent occurs in
concentrations of just less than 0.1
percent and has a GWP that is ten times
as large as the GWP of the main
constituent of the product, it will
increase the weighted GWP of the
product by just less than one percent.
To ensure that fluorinated GHG
production facilities rely on data of
known and acceptable quality when
determining whether or not to report a
minor fluorinated GHG constituent of a
product, we are adding product
sampling and analytical requirements at
40 CFR 98.414(n), corresponding
calibration requirements at 40 CFR
98.414(o), and a corresponding
reporting requirement at 40 CFR
98.416(f). We are also clarifying in 40
CFR 98.414(a) how to calculate
production of each fluorinated GHG
constituent of a product.
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For purposes of fluorinated GHG
imports, we are defining a ‘‘lowconcentration constituent’’ in 40 CFR
98.418 as a fluorinated GHG constituent
of a fluorinated GHG product that
occurs in the product in concentrations
below 0.5 percent by mass. We are
defining a higher concentration for
fluorinated GHG imports than for
fluorinated GHG production and exports
because importers are less likely than
producers to have detailed information
on the identities and concentrations of
minor fluorinated GHG constituents in
their products.
In response to the concerns regarding
fluorinated GHGs that do not have
GWPs listed in Table A–1, we are
amending subpart A to exempt such
compounds from the general subpart A
requirement to report supply flows in
terms of CO2 equivalents and revising
the reporting exemptions for import and
export of small shipments to be in terms
of kilograms of fluorinated GHGs or
N2O, rather than tons of CO2equivalents. The amendment to subpart
A is discussed in more detail in Section
II.F of this preamble. The exemptions
for import and export will be applied to
shipments of less than 25 kilograms of
fluorinated GHGs or N2O rather than to
shipments of less than 250 metric tons
of CO2e. This will enable small
shipments of fluorinated GHGs to be
exempt from reporting regardless of
whether or not the fluorinated GHG has
a GWP listed in Table A–1.
Other corrections. We are also
amending the reporting and
recordkeeping provisions in subpart OO
to clarify those requirements and to
correct internal inconsistencies in the
subpart.
We are amending the reporting
requirements in 40 CFR 98.416(a)(15)
and (c)(10) to remove N2O from the list
of GHGs that must be reported when
they are transferred off site for
destruction, because N2O transferred off
site for destruction is not required to be
monitored.
We are amending 40 CFR 98.416(b)
and (e) to clarify the due dates of the
one-time reports required by those
paragraphs. The due date for the onetime reports is March 31, 2011, or
within 60 days of commencing
fluorinated GHG destruction or
production (as applicable). The due date
in 40 CFR 98.416(e) in subpart OO was
originally April 1, 2011, and there was
no provision for fluorinated GHG
destruction or production commenced
after that date.
We are amending the recordkeeping
requirements in 40 CFR 98.417(a)(2) to
correct and update an internal reference.
The correct reference is to ‘‘§ 98.414(m)
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79129
and (o),’’ instead of ‘‘§ 98.417(j) and (k).’’
We are amending 40 CFR 98.417(b) to
remove the reference to the ‘‘annual
destruction device outlet reports’’ in 40
CFR 98.416(e) since no such reporting
requirement exists.
Finally, we are amending 40 CFR
98.417(d)(2) to correct a typographical
error; that paragraph should refer to ‘‘the
invoice for the export,’’ rather than for
the ‘‘import.’’
EPA is making one clarifying editorial
change in the final rule amendments
that was not in the proposed
amendments. As discussed above and in
the preamble to the proposed
amendments, 40 CFR 98.414(h) requires
facilities to measure the mass of each
fluorinated GHG that is fed into the
destruction device and that was
previously produced. If the mass being
fed into the destruction device includes
more than trace concentrations of
materials other than the fluorinated
GHG being destroyed, facilities must
estimate the concentrations of the
fluorinated GHGs being destroyed. They
must then multiply these concentrations
by the mass measurement to obtain the
mass of the fluorinated GHGs fed into
the destruction device. In the proposed
paragraph (h), the final sentence read,
‘‘You must multiply this concentration
(mass fraction) by the mass
measurement to obtain the mass of the
fluorinated GHG destroyed.’’ To be
consistent with the beginning of the
paragraph and to be mathematically
correct, this sentence has been corrected
in the final rule to read, ‘‘You must
multiply this concentration (mass
fraction) by the mass measurement to
obtain the mass of the fluorinated GHG
fed into the destruction device.’’ As
specified in Equation OO–4 of 40 CFR
98.413(d), the mass of the fluorinated
GHG destroyed is obtained by
multiplying the mass of the fluorinated
GHG fed into the destruction device by
the destruction efficiency of the
destruction device.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: Two commenters
expressed concerns that exempting lowconcentration constituents of products
from monitoring and reporting would
exempt a significant amount of
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emissions from reporting. These
commenters requested additional
information on the GWPs of these lowconcentration constituents and on the
emissions affected by the exemption.
Response: We analyzed the potential
impact of low-concentration
constituents on the total calculated
flows of fluorinated GHGs into the U.S.
economy, considering both the possible
masses of the low-concentration
constituents and their CO2-equivalents.
We concluded that at a level of 0.1
percent of production and 0.5 percent of
imports, identification of such
constituents would have a negligible
impact on the total calculated flows of
fluorinated GHGs into the U.S. supply.
It is important to note that, under the
exemption for low-concentration
constituents, the masses and CO2e of
low-concentration constituents are not
equated to zero. Instead, the mass of the
low-concentration constituent is
assigned to the main constituent of the
product, and the GWP is assumed to be
that of the main constituent of the
product. Only if the GWP or
atmospheric lifetime of the lowconcentration constituent is
significantly higher than that of the
main constituent is there a potential
concern associated with these
assumptions.
As noted in the preamble to the
proposed rule, low-concentration
constituents are generally by-products
of the reaction used to produce the
fluorinated GHG product. Although we
do not have information on every
product and by-product combination,
we believe, based on the examples of
which we are aware, that by-products
rarely have GWPs that are more than ten
times as large as that of the product. We
analyzed the potential impact of a byproduct that had ten times the GWP of
the product on the weighted GWP of the
combination of the two. At a
concentration of 0.1 percent, the byproduct would raise the weighted GWP
(and CO2e) above that of the product by
just under one percent. Given that the
impacts of most low-concentration
constituents are likely to fall below this
level, we do not consider them
significant.
We also performed an analysis in
which we conservatively assumed that
every HFC, PFC, and SF6 product had a
PFC by-product that was shipped along
with it at a concentration of 0.1 percent.
This was intended to address the
possibility that low-concentration
constituents had very long atmospheric
lifetimes. Based on this worst-case
assumption, the quantity of PFCs
flowing into the U.S. fluorinated GHG
supply was increased by less than 10
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percent. It is extremely unlikely that
every HFC, PFC, and SF6 product has a
PFC by-product; in fact, the highestvolume products, the HFCs, are unlikely
to have PFC by-products. Therefore, in
consideration of this analysis and the
GWP analysis, we have concluded that
the exemption for low-concentration
constituents is very unlikely to lead to
significant errors in our understanding
of potential emissions of fluorinated
GHGs from the U.S. supply.
Comment: Two commenters
expressed concerns regarding the
proposal to exclude from subpart OO
fluorinated GHGs that are emitted or
destroyed before the fluorinated product
is packaged for sale. They requested that
EPA ensure that these emissions were
fully captured under the reporting rule
(e.g., subpart L) and requested that EPA
document the magnitude of these
emissions and the identities and GWPs
of the compounds emitted.
Response: As proposed, we are
excluding from the definition of
‘‘produce a fluorinated GHG’’ the
creation of fluorinated GHGs that are
released or destroyed at the production
facility before the production
measurement. As discussed in the
preamble to the proposed amendments,
such fluorinated GHGs never enter the
U.S. supply of fluorinated GHGs, and
the goal of subpart OO is to monitor
fluorinated GHG flows into and out of
this supply. However, the recently
promulgated subpart L requires
monitoring and reporting of emissions
that occur before the production
measurement. We have worked to
ensure that no fluorinated GHG
emissions from fluorinated GHG
production are ‘‘missed’’ under the
combined oversight of these two
subparts. The magnitudes, identities,
and GWPs of the emissions that will be
reported under subpart L of 40 CFR part
98 are discussed in the preamble to the
proposed rule including subpart L (75
FR 18652, April 12, 2010) and in the
Technical Support Document for
subpart L.
R. Subpart PP—Suppliers of Carbon
Dioxide
1. Summary of Final Amendments and
Major Changes Since Proposal
We are removing the words ‘‘each’’
from 40 CFR 98.422(a) and (b). This
change will align this section with the
requirements of the rest of subpart PP,
which allow for monitoring of an
aggregated flow of CO2, versus
monitoring at each production well or
process unit, if the monitoring is done
at a gathering point downstream of
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individual production wells or
production process units.
We are allowing suppliers to calculate
the annual mass of CO2 supplied in
containers by using weigh bills, scales,
load cells, or loaded container volume
readings as an alternative to flow
meters. We are making multiple
amendments to the regulatory text to
accommodate this provision. First, we
are redesignating 40 CFR 98.423(b) as 40
CFR 98.423(c) and adding a new 40 CFR
98.423(b) with calculation procedures
for CO2 supplied in containers. Second,
we are amending the first sentence of 40
CFR 98.423(a) to allow use of the
alternative procedures in 40 CFR
98.423(b). Third, we are adding new
QA/QC procedures for suppliers of CO2
in containers to 40 CFR 98.424(a)(2).
Fourth, we are adding missing data
procedures for suppliers of CO2 in
containers to 40 CFR 98.425(d) and
specifying that the missing data
procedures in 40 CFR 98.425(a) are for
suppliers using flow meters. Finally, we
are making multiple amendments to
regulatory text in 40 CFR 98.426 so that
all data collected with weigh bills,
scales, load cells, or loaded container
volume readings must be reported just
as for all data collected with flow
meters.
We are removing the requirement that
CO2 measurement must be made prior to
subsequent purification, processing, or
compression at 40 CFR 98.423(a)(1),
(a)(2), and (b) (which we are
redesignating as 40 CFR 98.423(c)).
Because the purpose of subpart PP is to
collect accurate data on CO2 supplied to
the economy, we have concluded that
measurements made after purification,
compression, or processing will
continue to meet the level of data
quality and accuracy needed with
respect to subpart PP, while minimizing
the burden on industry and providing
greater flexibility in measuring CO2
streams.
To ensure that all reporters account
for the appropriate quantity of CO2 in
situations where a CO2 stream is
segregated such that only a portion is
captured for commercial application or
for injection and where a flow meter is
used, we are making a number of
amendments. First, we are adding
language at 40 CFR 98.424(a) regarding
flow meter location. Reporters who have
a flow meter(s) on the main, captured
CO2 stream(s) only must locate the flow
meter(s) after the point(s) of segregation.
Reporters who have a flow meter(s) on
the main, captured CO2 stream and a
subsequent flow meter(s) on the CO2
stream(s) diverted for on-site use and
who choose to use the subsequent flow
meter(s) to calculate CO2 supply (i.e. the
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two meter method) must locate the main
flow meter(s) prior to the point(s) of
segregation and the subsequent flow
meter(s) on the CO2 stream(s) for on-site
use after the point(s) of segregation. We
are also amending existing language in
40 CFR 98.424(a) to reference this new
requirement. Second, we are amending
40 CFR 98.423(a)(3) to provide reporters
using the two meter approach a new
equation (Equation PP–3b) to calculate
total CO2 supplied. As a harmonizing
change, we are redesignating Equation
PP–3 as Equation PP–3a. Third, we are
amending 40 CFR 98.426(c) so that
reporters using the new Equation PP–3b
are required to report the equation
inputs and output and the location of
flow meters with respect to the point of
segregation.
Because the amendments will allow
flow meters to be located after
purification, compression, or
processing, we are adding data reporting
requirements in 40 CFR 98.426 to
collect additional information on flow
meter location. Specifically, we are
adding that facilities will report
information on the placement of each
flow meter used in relation to the points
of CO2 stream capture, dehydration,
compression, and other processing.
Knowing where in the production
process the flow meter is located will
enable EPA to effectively compare data
across reporters and learn about the
efficacy of various CO2 stream capture
processes.
We are specifying standard conditions
under subpart PP as a temperature and
an absolute pressure of 60 °F and 1
atmosphere. It is our understanding that
60° F and 1 atmosphere (which is
equivalent to 14.7 psia) are more
commonly used by the industries
covered by subpart PP.
We are making several amendments to
allow the reporter to determine the mass
of a CO2 stream by converting the
volumetric flow of the CO2 stream from
operating conditions to standard
conditions and then applying the
density value for CO2 at standard
conditions and the measured
concentration of CO2 in the flow as a
volume percent. First, we are specifying
that, at the revised standard conditions,
the density of CO2 is 0.001868 metric
tons per standard cubic meter. This is
slightly different than the density value
proposed (0.018704) as the result of
additional research we have conducted.
We are specifying that a reporter who
applies the density value for CO2 at
standard conditions must use this
specified value.
Second, we are revising the
definitions of two of the input variables
to Equation PP–2 in paragraph (a)(2).
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Since it was finalized (74 FR 56260,
October 30, 2009), Equation PP–2 allows
a reporter to calculate annual mass of
CO2 with an input for CO2 concentration
in weight percent and an input for
density of the CO2 stream. So that
reporters can avail themselves of the
density value for CO2 being finalized in
this action, however, Equation PP–2 can
now also be used to calculate annual
mass of CO2 with an input for CO2
concentration in volume percent and an
input for density of CO2. We note that
when we proposed this action, we did
not propose to revise the definitions of
the input variables because we
erroneously overlooked the mismatch
between the density value we were
providing (CO2) and the density value
required by Equation PP–2 (the CO2
stream). In order to provide all reporters
with lower burden calculation
procedures, as intended by proposing a
density value for CO2, we are correcting
this omission and harmonizing Equation
PP–2 with the finalized density value.
We note that the revision to the two
input variables is being applied for both
reporters using flow meters and
reporters using containers.
Third, we are amending 40 CFR
98.426(b)(3) and (b)(4) to require that for
volumetric flow meters, the reporter
must report quarterly concentration
either in volume or weight percent and
a density value for either CO2 or the CO2
stream, depending on which of the two
equation input descriptions provided
the reporter uses.
Fourth, we are amending language in
40 CFR 98.424(a)(5), (a)(5)(i) and
(a)(5)(ii) to allow reporters to choose
either a method published by a
consensus-based standards organization
or an industry standard practice to
determine the density of the CO2 stream.
We are also replacing the word
‘‘measure’’ with the word ‘‘determine.’’
Previously, subpart PP required a
reporter to use an appropriate method
published by a consensus-based
standards organization to measure
density for CO2 at standard conditions,
if such a method existed. Only where no
such method existed could an industry
standard practice be used. However, we
have been unable to identify any
method published by a consensus-based
standards organization for measuring
the density of the CO2 stream.
Therefore, we are providing reporters
with more flexibility on this
requirement so that they can use an
industry standard practice to calculate
the density of the CO2 stream rather
than directly measure density with an
instrument, if preferred.
Finally, we are amending the
reference to the U.S. Food and Drug
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Administration food-grade
specifications for CO2 in 40 CFR
98.424(b)(2) to correct a typographical
error. The correct reference is 21 CFR
184.1240, not 21 CFR 184.1250.
Major changes since proposal are
identified in the following list. The
rationale for these and any other
significant changes can be found in this
preamble or the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
• We are adding a second aggregation
equation (Equation PP–3b) with
appropriate flow meter location
requirements so that a reporter can
select either the one-meter or two-meter
approach for calculating total annual
mass of CO2.
• We are revising the definitions of
two of the input variables to Equation
PP–2 in paragraphs 40 CFR 98.423(a)(2)
and (b)(2) so that the equation can be
used to calculate annual mass of CO2
with an input for CO2 concentration in
either volume percent and an input for
density of CO2, or weight percent CO2
and the density of the whole stream.
2. Summary of Comments and
Responses
This section contains a brief summary
of major comments and responses.
Several comments were received on this
subpart. Responses to additional
significant comments received can be
found in the document, ‘‘Response to
Comments: Revision to Certain
Provisions of the Mandatory Reporting
of Greenhouse Gases Rule’’ (see EPA–
HQ–OAR–2008–0508).
Comment: One commenter asserted
that one of their facilities has already
installed a CO2 meter prior to
purification, processing, or
compression—as was required by 40
CFR 98.424 when Part 98 was finalized
(74 FR 56260, October 30, 2009)—and
because this facility has segregation, this
results in a flow meter location prior to
segregation. The commenter suggested
that this facility and others like it
should be allowed to keep their flow
meters in place rather than be required
to move them to a location after
segregation, as was proposed in the
amendments of August 11, 2010. The
commenter suggested a two-meter
approach, whereby a facility locates a
main flow meter prior to segregation on
the main, captured CO2 stream and a
subsequent flow meter after segregation
on the diverted CO2 stream and then
calculates the CO2 for off-site
commercial use as the difference
between the two. The commenter stated
that this two-meter approach should be
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equally acceptable to the approach
proposed.
Response: EPA agrees that a reporter
can calculate CO2 supplied for
commercial transaction or injection
with sufficient accuracy with the twometer approach suggested by the
commenter, as long as the CO2 stream
diverted for on site use is the only CO2
stream diversion after the location of the
main flow meter. If any of the main CO2
stream remaining after on-site diversion
is further diverted (to a vent for
emission, for example) then the
difference between the captured CO2
stream and the CO2 stream diverted for
on-site use will not be an accurate
reflection of the CO2 supplied for
commercial transaction or injection.
Therefore, EPA is finalizing two
approaches for calculating CO2
supplied, including aggregation
equations with flow meter location
requirements, so that a reporter can
select either the one-meter or two-meter
approach. However, we are specifying
in the monitoring and QA/QC
requirements (40 CFR 98.424) that a
reporter may only follow the two-meter
approach if the CO2 stream(s) for on-site
use is/are the only diversion(s) from the
main, captured CO2 stream after the
main flow meter(s) location.
III. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review
This action is not a ‘‘significant
regulatory action’’ under the terms of
Executive Order 12866 (58 FR 51735,
October 4, 1993) and is therefore not
subject to review under the executive
order.
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B. Paperwork Reduction Act
This action does not impose any new
information collection burden. These
amendments do not make substantive
changes to the reporting requirements in
any of the amended subparts. In many
cases, the amendments to the reporting
requirements reduce the reporting
burden by making the reporting
requirements conform more closely to
current industry practices. While the
final rule results in a net decrease in
collection burden, there is a new
reporting requirement for facilities with
part 75 units. Previously, facilities with
these units had the option of reporting
biogenic CO2 emissions separately. This
final rule requires separate reporting of
biogenic CO2 emissions beginning in
2011; however facilities may use
simplified methods based on available
information. The Office of Management
and Budget (OMB) has previously
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approved the information collection
requirements contained in the
regulations promulgated on October 30,
2009, under 40 CFR part 98 under the
provisions of the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. and has
assigned OMB control number 2060–
0629. Burden is defined at 5 CFR
1320.3(b). An agency may not conduct
or sponsor, and a person is not required
to respond to, a collection of
information unless it displays a
currently valid OMB control number.
The OMB control numbers for EPA’s
regulations in 40 CFR are listed in 40
CFR part 9.
Further information on EPA’s
assessment on the impact on burden can
be found in the Revisions Cost Memo
(EPA–HQ–OAR–2008–0508).
C. Regulatory Flexibility Act (RFA)
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the Administrative Procedure Act
or any other statute unless the agency
certifies that the rule will not have a
significant economic impact on a
substantial number of small entities.
Small entities include small businesses,
small organizations, and small
governmental jurisdictions.
For purposes of assessing the impacts
of these amendments on small entities,
small entity is defined as: (1) A small
business as defined by the Small
Business Administration’s regulations at
13 CFR 121.201; (2) a small
governmental jurisdiction that is a
government of a city, county, town,
school district or special district with a
population of less than 50,000; and (3)
a small organization that is any not-forprofit enterprise which is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of these rule amendments on
small entities, I certify that this action
will not have a significant economic
impact on a substantial number of small
entities.
The rule amendments will not impose
any new significant requirements on
small entities that are not currently
required by the rules promulgated on
October 30, 2009 (i.e., calculating and
reporting annual GHG emissions).
Broadly, in developing the 2009 final
rule EPA took several steps to reduce
the impact on small entities. For
example, EPA determined appropriate
thresholds that reduced the number of
small businesses reporting. In addition,
EPA did not require facilities to install
CEMS if they did not already have them.
Facilities without CEMS can calculate
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emissions using readily available data or
data that are less expensive to collect
such as process data or material
consumption data. For some source
categories, EPA developed tiered
methods that are simpler and less
burdensome. Also, EPA required annual
instead of more frequent reporting.
Finally, EPA continues to conduct
significant outreach on the mandatory
GHG reporting rule and maintains an
‘‘open door’’ policy for stakeholders to
help inform EPA’s understanding of key
issues for the industries.
D. Unfunded Mandates Reform Act
(UMRA)
This action contains no Federal
mandates under the provisions of Title
II of the Unfunded Mandates Reform
Act of 1995 (UMRA), 2 U.S.C. 1531–
1538 for State, local, or tribal
governments or the private sector. The
action imposes no enforceable duty on
any State, local or tribal governments or
the private sector. In addition, EPA
determined that the rule amendments
contain no regulatory requirements that
might significantly or uniquely affect
small governments because the
amendments will not impose any new
requirements that are not currently
required by the rule promulgated on
October 30, 2009 (i.e., calculating and
reporting annual GHG emissions), and
the rule amendments will not unfairly
apply to small governments. Therefore,
this action is not subject to the
requirements of section 203 of the
UMRA.
E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the States, on the
relationship between the national
government and the States, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. However, for a
more detailed discussion about how
these rule amendments will relate to
existing State programs, please see
Section II of the preamble for the
proposed GHG reporting rule (74 FR
16457 to 16461, April 10, 2009).
These amendments apply directly to
facilities that supply fuel that when
used emit greenhouse gases or facilities
that directly emit greenhouses gases.
They do not apply to governmental
entities unless the government entity
owns a facility that directly emits
greenhouse gases above threshold levels
(such as a landfill or stationary
combustion source), so relatively few
government facilities will be affected.
This regulation also does not limit the
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power of States or localities to collect
GHG data and/or regulate GHG
emissions. Thus, Executive Order 13132
does not apply to this action.
Although section 6 of Executive Order
13132 does not apply to this action, EPA
did consult with State and local officials
or representatives of State and local
governments in developing the 2009
final rule. A summary of EPA’s
consultations with State and local
governments is provided in Section
VIII.E of the preamble to the 2009 final
rule (74 FR 56260, October 30, 2009).
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175 (65 FR 67249, November 9,
2000). The rule amendments will not
result in any changes to the
requirements of Part 98. Thus, Executive
Order 13175 does not apply to this
action.
Although Executive Order 13175 does
not apply to this action, EPA sought
opportunities to provide information to
Tribal governments and representatives
during the development of the rules
promulgated on October 30, 2009. A
summary of the EPA’s consultations
with Tribal officials is provided
Sections VIII.E and VIII.F of the
preamble to the final GHG Reporting
Rule (74 FR 56260, October 30, 2009).
srobinson on DSKHWCL6B1PROD with RULES2
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
EPA interprets Executive Order 13045
(62 FR 19885, April 23, 1997) as
applying only to those regulatory
actions that concern health or safety
risks, such that the analysis required
under section 5–501 of the Executive
Order has the potential to influence the
regulation. This action is not subject to
Executive Order 13045 because it does
not establish an environmental standard
intended to mitigate health or safety
risks.
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
This action is not subject to Executive
Order 13211 (66 FR 28355 (May 22,
2001)), because it is not a significant
regulatory action under Executive Order
12866.
I. National Technology Transfer and
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (NTTAA), Public Law 104–
113 (15 U.S.C. 272 note) directs EPA to
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use voluntary consensus standards in its
regulatory activities unless to do so
would be inconsistent with applicable
law or otherwise impractical. Voluntary
consensus standards are technical
standards (e.g., materials specifications,
test methods, sampling procedures, and
business practices) that are developed or
adopted by voluntary consensus
standards bodies. NTTAA directs EPA
to provide Congress, through OMB,
explanations when the Agency decides
not to use available and applicable
voluntary consensus standards.
This rulemaking involves the use of
two new voluntary consensus standards
from ASTM International. Specifically,
EPA will allow facilities in the
petroleum refining and petrochemical
production industries to use ASTM
D2593–93(2009) Standard Test Method
for Butadiene Purity and Hydrocarbon
Impurities by Gas Chromatography, and
ASTM D7633–10 Standard Test Method
for Carbon Black—Carbon Content, in
addition to the methods incorporated by
reference in Part 98. These additional
voluntary consensus standards will
provide alternative method that owners
or operators in these industries can use
to monitor GHG emissions.
This rulemaking also involves the use
of several standard methods that are in
EPA publications. These include the
following:
• Protocol for Measurement of
Tetrafluoromethane (CF4) and
Hexafluoroethane (C2F6) Emissions from
Primary Aluminum Production (April
2008); IBR approved for 40 CFR
98.64(a).
• AP 42, Section 5.2, Transportation
and Marketing of Petroleum Liquids,
July 2008 (AP 42, Section 5.2); https://
www.epa.gov/ttn/chief/ap42/ch05/final/
c05s02.pdf; in Chapter 5, Petroleum
Industry, of AP 42, Compilation of Air
Pollutant Emission Factors, 5th Edition,
Volume I; IBR approved for 40 CFR
98.253(n).
• AP 42, Section 7.1, Organic Liquid
Storage Tanks, November 2006 (AP 42,
Section 7.1), https://www.epa.gov/ttn/
chief/ap42/ch07/final/c07s01.pdf; in
Chapter 7, Liquid Storage Tanks, of AP
42, Compilation of Air Pollutant
Emission Factors, 5th Edition, Volume
1; IBR approved for 40 CFR 98.243(m)(1)
and 40 CFR 98.256(o)(2)(i).
• Method 8015C, Nonhalogenated
Organics By Gas Chromatography,
Revision 3, February 2007 (Method
8015C), https://www.epa.gov/osw/
hazard/testmethods/sw846/pdfs/
8015c.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
Waste, Physical/Chemical Methods,’’
Third Edition; IBR approved for 40 CFR
98.244(b)(4)(viii).
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79133
• Method 8021B, Aromatic And
Halogenated Volatiles By Gas
Chromatography Using Photoionization
And/Or Electrolytic Conductivity
Detectors, Revision 2, December 1996
(Method 8021B). https://www.epa.gov/
osw/hazard/testmethods/sw846/pdfs/
8021b.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
Waste, Physical/Chemical Methods,’’
Third Edition; IBR approved for 40 CFR
98.244(b)(4)(viii).
• Method 8031, Acrylonitrile By Gas
Chromatography, Revision 0, September
1994 (Method 8031), https://www.epa.
gov/osw/hazard/testmethods/sw846/
pdfs/8031.pdf; in EPA Publication No.
SW–846, ‘‘Test Methods for Evaluating
Solid Waste, Physical/Chemical
Methods,’’ Third Edition; IBR approved
for 40 CFR 98.244(b)(4)(viii).
• Method 9060A, Total Organic
Carbon, Revision 1, November 2004
(Method 9060A), https://www.epa.gov/
osw/hazard/testmethods/sw846/pdfs/
9060a.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
Waste, Physical/Chemical Methods,’’
Third Edition; IBR approved for 40 CFR
98.244(b)(4)(viii).
These methods are being added by the
final rule amendments as a result of
working with affected industries to
identify existing methods that can be
used to provide the data needed to
calculate GHG emissions, proposing the
addition of the methods, and
considering the public comments on the
addition of the methods in the final rule
making.
No new test methods were developed
for this action.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
executive policy on environmental
justice. Its main provision directs
Federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has determined that Part 98 does
not have disproportionately high and
adverse human health or environmental
effects on minority or low-income
populations because it does not affect
the level of protection provided to
human health or the environment
because it is a rule addressing
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information collection and reporting
procedures.
K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996 (SBREFA),
generally provides that before a rule
may take effect, the agency
promulgating the rule must submit a
rule report, which includes a copy of
the rule, to each House of the Congress
and to the Comptroller General of the
United States. EPA will submit a report
containing this rule and other required
information to the U.S. Senate, the U.S.
House of Representatives, and the
Comptroller General of the U.S. prior to
publication of the rule in the Federal
Register. A major rule cannot take effect
until 60 days after it is published in the
Federal Register. This action is not a
‘‘major rule’’ as defined by 5 U.S.C.
804(2). This rule will be effective on
December 31, 2010.
List of Subjects in 40 CFR Part 98
Environmental protection,
Administrative practice and procedure,
Greenhouse gases, Incorporation by
reference, Suppliers, Reporting and
recordkeeping requirements.
Dated: November 24, 2010.
Lisa P. Jackson,
Administrator.
For the reasons stated in the preamble,
title 40, chapter I, of the Code of Federal
Regulations is amended as follows:
■
PART 98—[AMENDED]
1. The authority citation for part 98
continues to read as follows:
■
Authority: 42 U.S.C. 7401–7671q.
Subpart A—[Amended]
2. Section 98.3 is amended by:
a. Revising paragraphs (c)(1), (c)(4)
introductory text, (c)(4)(i), (c)(4)(ii), and
(c)(4)(iii) introductory text.
■ b. Adding paragraph (c)(4)(vi).
■ c. Adding a new sentence to the end
of paragraph (c)(5)(i).
■ d. Adding paragraph (c)(12).
■ e. Revising the third sentence of
paragraph (d)(3) introductory text.
■ f. Revising the first sentence of
paragraph (f).
■ g. Revising paragraphs (g)(4) and
(g)(5)(iii).
■ h. Revising paragraph (h).
■ i. Revising paragraph (i).
■ j. Adding paragraph (j).
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■
■
§ 98.3 What are the general monitoring,
reporting, recordkeeping and verification
requirements of this part?
*
*
*
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(c) * * *
(1) Facility name or supplier name (as
appropriate), and physical street address
of the facility or supplier, including the
city, State, and zip code.
*
*
*
*
*
(4) For facilities, except as otherwise
provided in paragraph (c)(12) of this
section, report annual emissions of CO2,
CH4, N2O, and each fluorinated GHG (as
defined in § 98.6) as follows.
(i) Annual emissions (excluding
biogenic CO2) aggregated for all GHG
from all applicable source categories,
expressed in metric tons of CO2e
calculated using Equation A–1 of this
subpart.
(ii) Annual emissions of biogenic CO2
aggregated for all applicable source
categories, expressed in metric tons.
(iii) Annual emissions from each
applicable source category, expressed in
metric tons of each applicable GHG
listed in paragraphs (c)(4)(iii)(A)
through (c)(4)(iii)(E) of this section.
*
*
*
*
*
(vi) Applicable source categories
means stationary fuel combustion
sources (subpart C of this part),
miscellaneous use of carbonates
(subpart U of this part), and all of the
source categories listed in Table A–3
and Table A–4 of this subpart present at
the facility.
(5) * * *
(i) * * * For fluorinated GHGs,
calculate and report CO2e for only those
fluorinated GHGs listed in Table A–1 of
this subpart.
*
*
*
*
*
(12) For the 2010 reporting year only,
facilities that have ‘‘part 75 units’’ (i.e.
units that are subject to subpart D of this
part or units that use the methods in
part 75 of this chapter to quantify CO2
mass emissions in accordance with
§ 98.33(a)(5)) must report annual GHG
emissions either in full accordance with
paragraphs (c)(4)(i) through (c)(4)(iii) of
this section or in full accordance with
paragraphs (c)(12)(i) through (c)(12)(iii)
of this section. If the latter reporting
option is chosen, you must report:
(i) Annual emissions aggregated for all
GHG from all applicable source
categories, expressed in metric tons of
CO2e calculated using Equation A–1 of
this subpart. You must include biogenic
CO2 emissions from part 75 units in
these annual emissions, but exclude
biogenic CO2 emissions from any nonpart 75 units and other source
categories.
(ii) Annual emissions of biogenic CO2,
expressed in metric tons (excluding
biogenic CO2 emissions from part 75
units), aggregated for all applicable
source categories.
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(iii) Annual emissions from each
applicable source category, expressed in
metric tons of each applicable GHG
listed in paragraphs (c)(12)(iii)(A)
through (c)(12)(iii)(E) of this section.
(A) Biogenic CO2 (excluding biogenic
CO2 emissions from part 75 units).
(B) CO2. You must include biogenic
CO2 emissions from part 75 units in
these totals and exclude biogenic CO2
emissions from other non-part 75 units
and other source categories.
(C) CH4.
(D) N2O.
(E) Each fluorinated GHG (including
those not listed in Table A–1 of this
subpart).
(d) * * *
(3) * * * An owner or operator that
submits an abbreviated report must
submit a full GHG report according to
the requirements of paragraph (c) of this
section beginning in calendar year 2012.
***
*
*
*
*
*
(f) Verification. To verify the
completeness and accuracy of reported
GHG emissions, the Administrator may
review the certification statements
described in paragraphs (c)(9) and
(d)(3)(vi) of this section and any other
credible evidence, in conjunction with a
comprehensive review of the GHG
reports and periodic audits of selected
reporting facilities. * * *
(g) * * *
(4) Missing data computations. For
each missing data event, also retain a
record of the cause of the event and the
corrective actions taken to restore
malfunctioning monitoring equipment.
(5) * * *
(iii) The owner or operator shall
revise the GHG Monitoring Plan as
needed to reflect changes in production
processes, monitoring instrumentation,
and quality assurance procedures; or to
improve procedures for the maintenance
and repair of monitoring systems to
reduce the frequency of monitoring
equipment downtime.
*
*
*
*
*
(h) Annual GHG report revisions. (1)
The owner or operator shall submit a
revised annual GHG report within 45
days of discovering that an annual GHG
report that the owner or operator
previously submitted contains one or
more substantive errors. The revised
report must correct all substantive
errors.
(2) The Administrator may notify the
owner or operator in writing that an
annual GHG report previously
submitted by the owner or operator
contains one or more substantive errors.
Such notification will identify each
such substantive error. The owner or
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79135
information’’ is specified in an
applicable subpart of this part to
quantify fuel usage and/or other
parameters. Further, the provisions of
this paragraph (i) do not apply to
stationary fuel combustion units that
use the methodologies in part 75 of this
chapter to calculate CO2 mass
emissions.
(1) Except as otherwise provided in
paragraphs (i)(4) through (i)(6) of this
section, flow meters that measure liquid
and gaseous fuel feed rates, process
stream flow rates, or feedstock flow
rates and provide data for the GHG
emissions calculations shall be
calibrated prior to April 1, 2010 using
the procedures specified in this
paragraph (i) when such calibration is
specified in a relevant subpart of this
part. Each of these flow meters shall
meet the applicable accuracy
specification in paragraph (i)(2) or (i)(3)
of this section. All other measurement
devices (e.g., weighing devices) that are
required by a relevant subpart of this
part, and that are used to provide data
for the GHG emissions calculations,
shall also be calibrated prior to April 1,
2010; however, the accuracy
specifications in paragraphs (i)(2) and
(i)(3) of this section do not apply to
these devices. Rather, each of these
measurement devices shall be calibrated
to meet the accuracy requirement
specified for the device in the
applicable subpart of this part, or, in the
absence of such accuracy requirement,
the device must be calibrated to an
accuracy within the appropriate error
range for the specific measurement
technology, based on an applicable
operating standard, including but not
limited to manufacturer’s specifications
and industry standards. The procedures
and methods used to quality-assure the
data from each measurement device
shall be documented in the written
monitoring plan, pursuant to paragraph
(g)(5)(i)(C) of this section.
(i) All flow meters and other
measurement devices that are subject to
the provisions of this paragraph (i) must
be calibrated according to one of the
following: You may use the
manufacturer’s recommended
procedures; an appropriate industry
consensus standard method; or a
method specified in a relevant subpart
of this part. The calibration method(s)
used shall be documented in the
monitoring plan required under
paragraph (g) of this section.
(ii) For facilities and suppliers that
become subject to this part after April 1,
2010, all flow meters and other
measurement devices (if any) that are
required by the relevant subpart(s) of
this part to provide data for the GHG
emissions calculations shall be installed
no later than the date on which data
collection is required to begin using the
measurement device, and the initial
calibration(s) required by this paragraph
(i) (if any) shall be performed no later
than that date.
(iii) Except as otherwise provided in
paragraphs (i)(4) through (i)(6) of this
section, subsequent recalibrations of the
flow meters and other measurement
devices subject to the requirements of
this paragraph (i) shall be performed at
one of the following frequencies:
(A) You may use the frequency
specified in each applicable subpart of
this part.
(B) You may use the frequency
recommended by the manufacturer or
by an industry consensus standard
practice, if no recalibration frequency is
specified in an applicable subpart.
(2) Perform all flow meter calibration
at measurement points that are
representative of the normal operating
range of the meter. Except for the
orifice, nozzle, and venturi flow meters
described in paragraph (i)(3) of this
section, calculate the calibration error at
each measurement point using Equation
A–2 of this section. The terms ‘‘R’’ and
‘‘A’’ in Equation A–2 must be expressed
in consistent units of measure (e.g.,
gallons/minute, ft3/min). The
calibration error at each measurement
point shall not exceed 5.0 percent of the
reference value.
Where:
CE = Calibration error (%).
R = Reference value.
A = Flow meter response to the reference
value.
of the differential pressure (delta-P),
total pressure, and temperature
transmitters.
(i) Calibrate each transmitter at a zero
point and at least one upscale point.
Fixed reference points, such as the
freezing point of water, may be used for
temperature transmitter calibrations.
Calculate the calibration error of each
transmitter at each measurement point,
using Equation A–3 of this subpart. The
terms ‘‘R,’’ ‘‘A,’’ and ‘‘FS’’ in Equation A–
3 of this subpart must be in consistent
units of measure (e.g., milliamperes,
inches of water, psi, degrees). For each
transmitter, the CE value at each
(3) For orifice, nozzle, and venturi
flow meters, the initial quality
assurance consists of in-situ calibration
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operator shall, within 45 days of receipt
of the notification, either resubmit the
report that, for each identified
substantive error, corrects the identified
substantive error (in accordance with
the applicable requirements of this part)
or provide information demonstrating
that the previously submitted report
does not contain the identified
substantive error or that the identified
error is not a substantive error.
(3) A substantive error is an error that
impacts the quantity of GHG emissions
reported or otherwise prevents the
reported data from being validated or
verified.
(4) Notwithstanding paragraphs (h)(1)
and (h)(2) of this section, upon request
by the owner or operator, the
Administrator may provide reasonable
extensions of the 45-day period for
submission of the revised report or
information under paragraphs (h)(1) and
(h)(2) of this section. If the
Administrator receives a request for
extension of the 45-day period, by email to an address prescribed by the
Administrator, at least two business
days prior to the expiration of the 45day period, and the Administrator does
not respond to the request by the end of
such period, the extension request is
deemed to be automatically granted for
30 more days. During the automatic 30day extension, the Administrator will
determine what extension, if any,
beyond the automatic extension is
reasonable and will provide any such
additional extension.
(5) The owner or operator shall retain
documentation for 3 years to support
any revision made to an annual GHG
report.
(i) Calibration accuracy requirements.
The owner or operator of a facility or
supplier that is subject to the
requirements of this part must meet the
applicable flow meter calibration and
accuracy requirements of this paragraph
(i). The accuracy specifications in this
paragraph (i) do not apply where either
the use of company records (as defined
in § 98.6) or the use of ‘‘best available
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
upscale level) does not exceed 6.0
percent.
paragraph (g)(5)(i)(C) of this section.
You must also include the data from the
demonstration, the mathematical
correlation(s) between the remote
readings and actual flow meter
conditions derived from the data, and
any supporting engineering calculations
in the GHG Monitoring Plan. You must
maintain all of this information in a
format suitable for auditing and
inspection.
(D) You must use the mathematical
correlation(s) derived from the
demonstration described in paragraph
(i)(3)(ii)(A) of this section to convert the
remote temperature or the total pressure
readings, or both, to the actual
temperature or total pressure at the flow
meter, or both, on a daily basis. You
shall then use the actual temperature
and total pressure values to correct the
measured flow rates to standard
conditions.
(E) You shall periodically check the
correlation(s) between the remote and
actual readings (at least once a year),
and make any necessary adjustments to
the mathematical relationship(s).
(4) Fuel billing meters are exempted
from the calibration requirements of this
section and from the GHG Monitoring
Plan and recordkeeping provisions of
paragraphs (g)(5)(i)(C), (g)(6), and (g)(7)
of this section, provided that the fuel
supplier and any unit combusting the
fuel do not have any common owners
and are not owned by subsidiaries or
affiliates of the same company. Meters
used exclusively to measure the flow
rates of fuels that are used for unit
startup are also exempted from the
calibration requirements of this section.
(5) For a flow meter that has been
previously calibrated in accordance
with paragraph (i)(1) of this section, an
additional calibration is not required by
the date specified in paragraph (i)(1) of
this section if, as of that date, the
previous calibration is still active (i.e.,
the device is not yet due for
recalibration because the time interval
between successive calibrations has not
elapsed). In this case, the deadline for
the successive calibrations of the flow
meter shall be set according to one of
the following. You may use either the
manufacturer’s recommended
calibration schedule or you may use the
industry consensus calibration
schedule.
(6) For units and processes that
operate continuously with infrequent
outages, it may not be possible to meet
the April 1, 2010 deadline for the initial
calibration of a flow meter or other
measurement device without disrupting
normal process operation. In such cases,
the owner or operator may postpone the
initial calibration until the next
scheduled maintenance outage. The best
available information from company
records may be used in the interim. The
subsequent required recalibrations of
the flow meters may be similarly
postponed. Such postponements shall
be documented in the monitoring plan
that is required under paragraph (g)(5)
of this section.
(7) If the results of an initial
calibration or a recalibration fail to meet
the required accuracy specification, data
from the flow meter shall be considered
invalid, beginning with the hour of the
failed calibration and continuing until a
successful calibration is completed. You
shall follow the missing data provisions
provided in the relevant missing data
sections during the period of data
invalidation.
(j) Measurement device installation—
(1) General. If an owner or operator
required to report under subpart P,
subpart X or subpart Y of this part has
process equipment or units that operate
continuously and it is not possible to
install a required flow meter or other
measurement device by April 1, 2010,
(or by any later date in 2010 approved
by the Administrator as part of an
extension of best available monitoring
methods per paragraph (d) of this
section) without process equipment or
unit shutdown, or through a hot tap, the
owner or operator may request an
extension from the Administrator to
delay installing the measurement device
until the next scheduled process
equipment or unit shutdown. If
approval for such an extension is
granted by the Administrator, the owner
or operator must use best available
monitoring methods during the
extension period.
(2) Requests for extension of the use
of best available monitoring methods for
measurement device installation. The
owner or operator must first provide the
(ii) In cases where there are only two
transmitters (i.e., differential pressure
and either temperature or total pressure)
in the immediate vicinity of the flow
meter’s primary element (e.g., the orifice
plate), or when there is only a
differential pressure transmitter in close
proximity to the primary element,
calibration of these existing transmitters
to a CE of 2.0 percent or less at each
measurement point is still required, in
accordance with paragraph (i)(3)(i) of
this section; alternatively, when two
transmitters are calibrated, the results
are acceptable if the sum of the CE
values for the two transmitters at each
calibration level does not exceed 4.0
percent. However, note that installation
and calibration of an additional
transmitter (or transmitters) at the flow
monitor location to measure
temperature or total pressure or both is
not required in these cases. Instead, you
may use assumed values for temperature
and/or total pressure, based on
measurements of these parameters at a
remote location (or locations), provided
that the following conditions are met:
(A) You must demonstrate that
measurements at the remote location(s)
can, when appropriate correction factors
are applied, reliably and accurately
represent the actual temperature or total
pressure at the flow meter under all
expected ambient conditions.
(B) You must make all temperature
and/or total pressure measurements in
the demonstration described in
paragraph (i)(3)(ii)(A) of this section
with calibrated gauges, sensors,
transmitters, or other appropriate
measurement devices. At a minimum,
calibrate each of these devices to an
accuracy within the appropriate error
range for the specific measurement
technology, according to one of the
following. You may calibrate using a
manufacturer’s specification or an
industry consensus standard.
(C) You must document the methods
used for the demonstration described in
paragraph (i)(3)(ii)(A) of this section in
the written GHG Monitoring Plan under
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calculated CE values for the three
transmitters at each calibration level
(i.e., at the zero level and at each
Where:
CE = Calibration error (%).
R = Reference value.
A = Transmitter response to the reference
value.
FS = Full-scale value of the transmitter.
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measurement point shall not exceed 2.0
percent of full-scale. Alternatively, the
results are acceptable if the sum of the
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Administrator an initial notification of
the intent to submit an extension
request for use of best available
monitoring methods beyond December
31, 2010 (or an earlier date approved by
EPA) in cases where measurement
device installation would require a
process equipment or unit shutdown, or
could only be done through a hot tap.
The owner or operator must follow-up
this initial notification with the
complete extension request containing
the information specified in paragraph
(j)(4) of this section.
(3) Timing of request. (i) The initial
notice of intent must be submitted no
later than January 1, 2011, or by the end
of the approved use of best available
monitoring methods extension in 2010,
whichever is earlier. The completed
extension request must be submitted to
the Administrator no later than
February 15, 2011.
(ii) Any subsequent extensions to the
original request must be submitted to
the Administrator within 4 weeks of the
owner or operator identifying the need
to extend the request, but in any event
no later than 4 weeks before the date for
the planned process equipment or unit
shutdown that was provided in the
original request.
(4) Content of the request. Requests
must contain the following information:
(i) Specific measurement device for
which the request is being made and the
location where each measurement
device will be installed.
(ii) Identification of the specific rule
requirements (by rule subpart, section,
and paragraph numbers) requiring the
measurement device.
(iii) A description of the reasons why
the needed equipment could not be
installed before April 1, 2010, or by the
expiration date for the use of best
available monitoring methods, in cases
where an extension has been granted
under § 98.3(d).
(iv) Supporting documentation
showing that it is not practicable to
isolate the process equipment or unit
and install the measurement device
without a full shutdown or a hot tap,
and that there was no opportunity
during 2010 to install the device.
Include the date of the three most recent
shutdowns for each relevant process
equipment or unit, the frequency of
shutdowns for each relevant process
equipment or unit, and the date of the
next planned process equipment or unit
shutdown.
(v) Include a description of the
proposed best available monitoring
method for estimating GHG emissions
during the time prior to installation of
the meter.
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(5) Approval criteria. The owner or
operator must demonstrate to the
Administrator’s satisfaction that it is not
reasonably feasible to install the
measurement device before April 1,
2010 (or by the expiration date for the
use of best available monitoring
methods, in cases where an extension
has been granted under paragraph (d) of
this section) without a process
equipment or unit shutdown, or through
a hot tap, and that the proposed method
for estimating GHG emissions during
the time before which the measurement
device will be installed is appropriate.
The Administrator will not initially
approve the use of the proposed best
available monitoring method past
December 31, 2013.
(6) Measurement device installation
deadline. Any owner or operator that
submits both a timely initial notice of
intent and a timely completed extension
request under paragraph (j)(3) of this
section to extend use of best available
monitoring methods for measurement
device installation must install all such
devices by July 1, 2011 unless the
extension request under this paragraph
(j) is approved by the Administrator
before July 1, 2011.
(7) One time extension past December
31, 2013. If an owner or operator
determines that a scheduled process
equipment or unit shutdown will not
occur by December 31, 2013, the owner
or operator may re-apply to use best
available monitoring methods for one
additional time period, not to extend
beyond December 31, 2015. To extend
use of best available monitoring
methods past December 31, 2013, the
owner or operator must submit a new
extension request by June 1, 2013 that
contains the information required in
paragraph (j)(4) of this section. The
owner or operator must demonstrate to
the Administrator’s satisfaction that it
continues to not be reasonably feasible
to install the measurement device before
December 31, 2013 without a process
equipment or unit shutdown, or that
installation of the measurement device
could only be done through a hot tap,
and that the proposed method for
estimating GHG emissions during the
time before which the measurement
device will be installed is appropriate.
An owner or operator that submits a
request under this paragraph to extend
use of best available monitoring
methods for measurement device
installation must install all such devices
by December 31, 2013, unless the
extension request under this paragraph
is approved by the Administrator.
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79137
3. Section 98.4 is amended by revising
paragraphs (i)(2) and (m)(2)(i) to read as
follows:
■
§ 98.4 Authorization and responsibilities of
the designated representative.
*
*
*
*
*
(i) * * *
(2) The name, organization name
(company affiliation-employer), address,
e-mail address (if any), telephone
number, and facsimile transmission
number (if any) of the designated
representative and any alternate
designated representative.
*
*
*
*
*
(m) * * *
(2) * * *
(i) The name, organization name
(company affiliation-employer) address,
e-mail address (if any), telephone
number, and facsimile transmission
number (if any) of such designated
representative or alternate designated
representative.
*
*
*
*
*
■ 4. Section 98.6 is amended by:
■ a. Adding in alphabetical order
definitions for ‘‘Agricultural byproducts,’’ ‘‘Primary fuel,’’ ‘‘Solid byproducts,’’ ‘‘Used oil,’’ and ‘‘Wood
residuals.’’
■ b. Revising the definitions for ‘‘Bulk
natural gas liquid or NGL,’’ ‘‘Distillate
Fuel Oil,’’ ‘‘Fossil fuel,’’ ‘‘Fuel gas,’’
‘‘Municipal solid waste or MSW,’’
‘‘Natural gas,’’ ‘‘Natural gas liquids
(NGLs) and ‘‘Standard conditions or
standard temperature and pressure
(STP).’’
■ c. Removing the definition for ‘‘Fossil
fuel-fired.’’
§ 98.6
Definitions.
*
*
*
*
*
Agricultural by-products means those
parts of arable crops that are not used
for the primary purpose of producing
food. Agricultural by-products include,
but are not limited to, oat, corn and
wheat straws, bagasse, peanut shells,
rice and coconut husks, soybean hulls,
palm kernel cake, cottonseed and
sunflower seed cake, and pomace.
*
*
*
*
*
Bulk natural gas liquid or NGL refers
to mixtures of hydrocarbons that have
been separated from natural gas as
liquids through the process of
absorption, condensation, adsorption, or
other methods. Generally, such liquids
consist of ethane, propane, butanes, and
pentanes plus. Bulk NGL is sold to
fractionators or to refineries and
petrochemical plants where the
fractionation takes place.
*
*
*
*
*
Distillate fuel oil means a
classification for one of the petroleum
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fractions produced in conventional
distillation operations and from crackers
and hydrotreating process units. The
generic term distillate fuel oil includes
kerosene, kerosene-type jet fuel, diesel
fuels (Diesel Fuels No. 1, No. 2, and No.
4), and fuel oils (Fuel Oils No. 1, No. 2,
and No. 4).
*
*
*
*
*
Fossil fuel means natural gas,
petroleum, coal, or any form of solid,
liquid, or gaseous fuel derived from
such material, for purpose of creating
useful heat.
*
*
*
*
*
Fuel gas means gas generated at a
petroleum refinery or petrochemical
plant and that is combusted separately
or in any combination with any type of
gas.
*
*
*
*
*
Municipal solid waste or MSW means
solid phase household, commercial/
retail, and/or institutional waste.
Household waste includes material
discarded by single and multiple
residential dwellings, hotels, motels,
and other similar permanent or
temporary housing establishments or
facilities. Commercial/retail waste
includes material discarded by stores,
offices, restaurants, warehouses, nonmanufacturing activities at industrial
facilities, and other similar
establishments or facilities. Institutional
waste includes material discarded by
schools, nonmedical waste discarded by
hospitals, material discarded by nonmanufacturing activities at prisons and
government facilities, and material
discarded by other similar
establishments or facilities. Household,
commercial/retail, and institutional
wastes include yard waste, refusederived fuel, and motor vehicle
maintenance materials. Insofar as there
is separate collection, processing and
disposal of industrial source waste
streams consisting of used oil, wood
pallets, construction, renovation, and
demolition wastes (which includes, but
is not limited to, railroad ties and
telephone poles), paper, clean wood,
plastics, industrial process or
manufacturing wastes, medical waste,
motor vehicle parts or vehicle fluff, or
used tires that do not contain hazardous
waste identified or listed under 42
U.S.C. § 6921, such wastes are not
municipal solid waste. However, such
wastes qualify as municipal solid waste
where they are collected with other
municipal solid waste or are otherwise
combined with other municipal solid
waste for processing and/or disposal.
*
*
*
*
*
Natural gas means a naturally
occurring mixture of hydrocarbon and
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non-hydrocarbon gases found in
geologic formations beneath the earth’s
surface, of which the principal
constituent is methane. Natural gas may
be field quality or pipeline quality.
Natural gas liquids (NGLs) means
those hydrocarbons in natural gas that
are separated from the gas as liquids
through the process of absorption,
condensation, adsorption, or other
methods. Generally, such liquids consist
of ethane, propane, butanes, and
pentanes plus. Bulk NGLs refers to
mixtures of NGLs that are sold or
delivered as undifferentiated product
from natural gas processing plants.
*
*
*
*
*
Primary fuel means the fuel that
provides the greatest percentage of the
annual heat input to a stationary fuel
combustion unit.
*
*
*
*
*
Solid by-products means plant matter
such as vegetable waste, animal
materials/wastes, and other solid
biomass, except for wood, wood waste,
and sulphite lyes (black liquor).
*
*
*
*
*
Standard conditions or standard
temperature and pressure (STP), for the
purposes of this part, means either 60 or
68 degrees Fahrenheit and 14.7 pounds
per square inch absolute.
*
*
*
*
*
Used oil means a petroleum-derived
or synthetically-derived oil whose
physical properties have changed as a
result of handling or use, such that the
oil cannot be used for its original
purpose. Used oil consists primarily of
automotive oils (e.g., used motor oil,
transmission oil, hydraulic fluids, brake
fluid, etc.) and industrial oils (e.g.,
industrial engine oils, metalworking
oils, process oils, industrial grease, etc).
*
*
*
*
*
Wood residuals means materials
recovered from three principal sources:
Municipal solid waste (MSW);
construction and demolition debris; and
primary timber processing. Wood
residuals recovered from MSW include
wooden furniture, cabinets, pallets and
containers, scrap lumber (from sources
other than construction and demolition
activities), and urban tree and landscape
residues. Wood residuals from
construction and demolition debris
originate from the construction, repair,
remodeling and demolition of houses
and non-residential structures. Wood
residuals from primary timber
processing include bark, sawmill slabs
and edgings, sawdust, and peeler log
cores. Other sources of wood residuals
include, but are not limited to, railroad
ties, telephone and utility poles, pier
and dock timbers, wastewater process
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sludge from paper mills, trim, sander
dust, and sawdust from wood products
manufacturing (including resinated
wood product residuals), and logging
residues.
*
*
*
*
*
■ 5. Section 98.7 is amended by:
■ a. Removing and reserving paragraph
(b).
■ b. Revising paragraphs (d)(1) through
(d)(10).
■ c. Removing paragraph (d)(11).
■ d. Revising paragraph (e)(4).
■ e. Removing and reserving paragraph
(e)(7).
■ f. Revising paragraphs (e)(8), (e)(10),
(e)(11), (e)(14) and (e)(15).
■ g. Revising paragraphs (e)(19) and
(e)(20).
■ h. Revising paragraphs (e)(24) through
(e)(27).
■ i. Removing and reserving paragraph
(e)(28).
■ j. Revising paragraph (e)(30).
■ k. Revising paragraph (e)(33).
■ l. Revising paragraph (e)(36).
■ m. Removing and reserving paragraph
(e)(39).
■ n. Adding paragraphs (e)(48) and
(e)(49).
■ o. Removing and reserving paragraph
(f)(1).
■ p. Revising paragraph (f)(2).
■ q. Removing and reserving paragraph
(g)(3).
■ r. Revising paragraph (m)(3).
■ s. Adding paragraphs (m)(8) through
(m)(14).
§ 98.7 What standardized methods are
incorporated by reference into this part?
*
*
*
*
*
(d) * * *
(1) ASME MFC–3M–2004
Measurement of Fluid Flow in Pipes
Using Orifice, Nozzle, and Venturi,
incorporation by reference (IBR)
approved for § 98.124(m)(1), § 98.324(e),
§ 98.354(d), § 98.354(h), § 98.344(c) and
§ 98.364(e).
(2) ASME MFC–4M–1986 (Reaffirmed
1997) Measurement of Gas Flow by
Turbine Meters, IBR approved for
§ 98.124(m)(2), § 98.324(e), § 98.344(c),
§ 98.354(h), and § 98.364(e).
(3) ASME MFC–5M–1985 (Reaffirmed
1994) Measurement of Liquid Flow in
Closed Conduits Using Transit-Time
Ultrasonic Flow Meters, IBR approved
for § 98.124(m)(3) and § 98.354(d).
(4) ASME MFC–6M–1998
Measurement of Fluid Flow in Pipes
Using Vortex Flowmeters, IBR approved
for § 98.124(m)(4), § 98.324(e),
§ 98.344(c), § 98.354(h), and § 98.364(e).
(5) ASME MFC–7M–1987 (Reaffirmed
1992) Measurement of Gas Flow by
Means of Critical Flow Venturi Nozzles,
IBR approved for § 98.124(m)(5),
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§ 98.324(e), § 98.344(c), § 98.354(h), and
§ 98.364(e).
(6) ASME MFC–9M–1988 (Reaffirmed
2001) Measurement of Liquid Flow in
Closed Conduits by Weighing Method,
IBR approved for § 98.124(m)(6).
(7) ASME MFC–11M–2006
Measurement of Fluid Flow by Means of
Coriolis Mass Flowmeters, IBR
approved for § 98.124(m)(7), § 98.324(e),
§ 98.344(c), and § 98.354(h).
(8) ASME MFC–14M–2003
Measurement of Fluid Flow Using Small
Bore Precision Orifice Meters, IBR
approved for § 98.124(m)(8), § 98.324(e),
§ 98.344(c), § 98.354(h), and § 98.364(e).
(9) ASME MFC–16–2007
Measurement of Liquid Flow in Closed
Conduits with Electromagnetic Flow
Meters, IBR approved for § 98.354(d).
(10) ASME MFC–18M–2001
Measurement of Fluid Flow Using
Variable Area Meters, IBR approved for
§ 98.324(e), § 98.344(c), § 98.354(h), and
§ 98.364(e).
(e) * * *
(4) ASTM D240–02 (Reapproved
2007) Standard Test Method for Heat of
Combustion of Liquid Hydrocarbon
Fuels by Bomb Calorimeter, IBR
approved for § 98.254(e).
*
*
*
*
*
(8) ASTM D1826–94 (Reapproved
2003) Standard Test Method for
Calorific (Heating) Value of Gases in
Natural Gas Range by Continuous
Recording Calorimeter, IBR approved
for § 98.254(e).
*
*
*
*
*
(10) ASTM D1945–03 Standard Test
Method for Analysis of Natural Gas by
Gas Chromatography, IBR approved for
§ 98.74(c), § 98.164(b), § 98.244(b),
§ 98.254(d), § 98.324(d), § 98.354(g), and
§ 98.344(b).
(11) ASTM D1946–90 (Reapproved
2006) Standard Practice for Analysis of
Reformed Gas by Gas Chromatography,
IBR approved for § 98.74(c), § 98.164(b),
§ 98.254(d), § 98.324(d), § 98.344(b),
§ 98.354(g), and § 98.364(c).
*
*
*
*
*
(14) ASTM D2502–04 Standard Test
Method for Estimation of Mean Relative
Molecular Mass of Petroleum Oils From
Viscosity Measurements, IBR approved
for § 98.74(c).
(15) ASTM D2503–92 (Reapproved
2007) Standard Test Method for Relative
Molecular Mass (Molecular Weight) of
Hydrocarbons by Thermoelectric
Measurement of Vapor Pressure, IBR
approved for § 98.74(c) and
§ 98.254(d)(6).
*
*
*
*
*
(19) ASTM D3238–95 (Reapproved
2005) Standard Test Method for
Calculation of Carbon Distribution and
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Structural Group Analysis of Petroleum
Oils by the n-d-M Method, IBR
approved for § 98.74(c) and § 98.164(b).
(20) ASTM D3588–98 (Reapproved
2003) Standard Practice for Calculating
Heat Value, Compressibility Factor, and
Relative Density of Gaseous Fuels, IBR
approved for § 98.254(e).
*
*
*
*
*
(24) ASTM D4809–06 Standard Test
Method for Heat of Combustion of
Liquid Hydrocarbon Fuels by Bomb
Calorimeter (Precision Method), IBR
approved for § 98.254(e).
(25) ASTM D4891–89 (Reapproved
2006) Standard Test Method for Heating
Value of Gases in Natural Gas Range by
Stoichiometric Combustion, IBR
approved for § 98.254(e) and
§ 98.324(d).
(26) ASTM D5291–02 (Reapproved
2007) Standard Test Methods for
Instrumental Determination of Carbon,
Hydrogen, and Nitrogen in Petroleum
Products and Lubricants, IBR approved
for § 98.74(c), § 98.164(b), § 98.244(b),
and § 98.254(i).
(27) ASTM D5373–08 Standard Test
Methods for Instrumental Determination
of Carbon, Hydrogen, and Nitrogen in
Laboratory Samples of Coal, IBR
approved for § 98.74(c), § 98.114(b),
§ 98.164(b), § 98.174(b), § 98.184(b),
§ 98.244(b), § 98.254(i), § 98.274(b),
§ 98.284(c), § 98.284(d), § 98.314(c),
§ 98.314(d), § 98.314(f), and § 98.334(b).
*
*
*
*
*
(30) ASTM D6348–03 Standard Test
Method for Determination of Gaseous
Compounds by Extractive Direct
Interface Fourier Transform Infrared
(FTIR) Spectroscopy, IBR approved for
§ 98.54(b), § 98.124(e)(2), § 98.224(b),
and § 98.414(n).
*
*
*
*
*
(33) ASTM D6866–08 Standard Test
Methods for Determining the Biobased
Content of Solid, Liquid, and Gaseous
Samples Using Radiocarbon Analysis,
IBR approved for § 98.34(d), § 98.34(e),
and § 98.36(e).
*
*
*
*
*
(36) ASTM D7459–08 Standard
Practice for Collection of Integrated
Samples for the Speciation of Biomass
(Biogenic) and Fossil-Derived Carbon
Dioxide Emitted from Stationary
Emissions Sources, IBR approved for
§ 98.34(d), § 98.34(e), and § 98.36(e).
*
*
*
*
*
(48) ASTM D2593–93 (Reapproved
2009) Standard Test Method for
Butadiene Purity and Hydrocarbon
Impurities by Gas Chromatography,
approved July 1, 2009, IBR approved for
§ 98.244(b)(4)(xi).
(49) ASTM D7633–10 Standard Test
Method for Carbon Black—Carbon
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79139
Content, approved May 15, 2010, IBR
approved for § 98.244(b)(4)(xii).
*
*
*
*
*
(f) * * *
(1) [Reserved]
(2) GPA 2261–00 Analysis for Natural
Gas and Similar Gaseous Mixtures by
Gas Chromatography, IBR approved for
§ 98.164(b), § 98.254(d), § 98.344(b), and
§ 98.354(g).
*
*
*
*
*
(m) * * *
(3) Protocol for Measuring Destruction
or Removal Efficiency (DRE) of
Fluorinated Greenhouse Gas Abatement
Equipment in Electronics
Manufacturing, Version 1, EPA–430–R–
10–003, March 2010 (EPA 430–R–10–
003), https://www.epa.gov/
semiconductor-pfc/documents/dre_
protocol.pdf, IBR approved for
§ 98.94(f)(4)(i), § 98.94(g)(3),
§ 98.97(d)(4), § 98.98, § 98.124(e)(2), and
§ 98.414(n)(1).
*
*
*
*
*
(8) Protocol for Measurement of
Tetrafluoromethane (CF4) and
Hexafluoroethane (C2F6) Emissions from
Primary Aluminum Production (2008),
https://www.epa.gov/highgwp/
aluminum-pfc/documents/
measureprotocol.pdf, IBR approved for
§ 98.64(a).
(9) AP 42, Section 5.2, Transportation
and Marketing of Petroleum Liquids,
July 2008, (AP 42, Section 5.2); https://
www.epa.gov/ttn/chief/ap42/ch05/final/
c05s02.pdf; in Chapter 5, Petroleum
Industry, of AP 42, Compilation of Air
Pollutant Emission Factors, 5th Edition,
Volume I, IBR approved for § 98.253(n).
(10) Method 9060A, Total Organic
Carbon, Revision 1, November 2004
(Method 9060A), https://www.epa.gov/
osw/hazard/testmethods/sw846/pdfs/
9060a.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
Waste, Physical/Chemical Methods,’’
Third Edition, IBR approved for
§ 98.244(b)(4)(viii).
(11) Method 8031, Acrylonitrile By
Gas Chromatography, Revision 0,
September 1994 (Method 8031), https://
www.epa.gov/osw/hazard/testmethods/
sw846/pdfs/8031.pdf; in EPA
Publication No. SW–846, ‘‘Test Methods
for Evaluating Solid Waste, Physical/
Chemical Methods,’’ Third Edition, IBR
approved for § 98.244(b)(4)(viii).
(12) Method 8021B, Aromatic and
Halogenated Volatiles By Gas
Chromatography Using Photoionization
and/or Electrolytic Conductivity
Detectors, Revision 2, December 1996
(Method 8021B). https://www.epa.gov/
osw/hazard/testmethods/sw846/pdfs/
8021b.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
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Waste, Physical/Chemical Methods,’’
Third Edition, IBR approved for
§ 98.244(b)(4)(viii).
(13) Method 8015C, Nonhalogenated
Organics By Gas Chromatography,
Revision 3, February 2007 (Method
8015C). https://www.epa.gov/osw/
hazard/testmethods/sw846/pdfs/
8015c.pdf; in EPA Publication No. SW–
846, ‘‘Test Methods for Evaluating Solid
Waste, Physical/Chemical Methods,’’
Third Edition, IBR approved for
§ 98.244(b)(4)(viii).
(14) AP 42, Section 7.1, Organic
Liquid Storage Tanks, November 2006
(AP 42, Section 7.1), https://www.epa.
gov/ttn/chief/ap42/ch07/final/
c07s01.pdf; in Chapter 7, Liquid Storage
Tanks, of AP 42, Compilation of Air
Pollutant Emission Factors, 5th Edition,
Volume I, IBR approved for
§ 98.253(m)(1) and § 98.256(o)(2)(i).
■ 6. Table A–5 to subpart A of part 98
is amended by revising the entry for
paragraph (B) under the heading
‘‘Natural gas and natural gas liquids
suppliers (subpart NN)’’ to read as
follows:
TABLE A–5 TO SUBPART A OF PART
98—SUPPLIER CATEGORY LIST FOR
§ 98.2(A)(4)
Supplier Categories a Applicable in 2010
and Future Years
*
*
*
*
*
Natural gas and natural gas liquids suppliers
(subpart NN)
*
*
*
*
*
(B) Local natural gas distribution companies
that deliver 460,000 thousand standard
cubic feet or more of natural gas per year.
*
*
a Suppliers
*
*
*
are defined in each applicable
subpart.
Subpart C—[Amended]
7. Section 98.30 is amended by:
a. Revising paragraph (b)(4).
b. Revising paragraph (c) introductory
text.
■ c. Adding paragraph (d).
■
■
■
§ 98.30
Definition of the source category.
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*
*
*
*
*
(b) * * *
(4) Flares, unless otherwise required
by provisions of another subpart of this
part to use methodologies in this
subpart.
*
*
*
*
*
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(c) For a unit that combusts hazardous
waste (as defined in § 261.3 of this
chapter), reporting of GHG emissions is
not required unless either of the
following conditions apply:
*
*
*
*
*
(d) You are not required to report
GHG emissions from pilot lights. A pilot
light is a small auxiliary flame that
ignites the burner of a combustion
device when the control valve opens.
■ 8. Section 98.32 is revised to read as
follows:
§ 98.32
GHGs to report.
You must report CO2, CH4, and N2O
mass emissions from each stationary
fuel combustion unit, except as
otherwise indicated in this subpart.
■ 9. Section 98.33 is amended by:
■ a. Revising paragraph (a) introductory
text and paragraph (a)(1).
■ b. Revising the definition of ‘‘HHV’’ in
Equation C–2a of paragraph (a)(2)(i).
■ c. Revising the first two sentences of
paragraph (a)(2)(ii) introductory text.
■ d. In paragraph (a)(2)(ii)(A), revising
the first sentence and the definitions of
‘‘(HHV)i,’’ ‘‘(Fuel)i,’’ and ‘‘n’’ in Equation
C–2b.
■ e. Revising paragraph (a)(2)(ii)(B).
■ f. Revising the definitions of ‘‘CC’’,
‘‘MW’’, and ‘‘MVC’’ in Equation C–5 of
paragraph (a)(3)(iii).
■ g. Revising paragraphs (a)(3)(iv),
(a)(3)(v), (a)(4)(iii), and (a)(4)(iv).
■ h. Adding paragraph (a)(4)(viii).
■ i. Revising paragraphs (a)(5)
introductory text, (a)(5)(i) introductory
text, (a)(5)(i)(A), (a)(5)(i)(B), (a)(5)(ii)
introductory text, (a)(5)(ii)(A), (a)(5)(iii)
introductory text, (a)(5)(iii)(A), and
(a)(5)(iii)(B).
■ j. Redesignating paragraph
(a)(5)(iii)(D) as paragraph (a)(5)(iv), and
revising newly designated paragraph
(a)(5)(iv).
■ k. Revising paragraph (b)(1)(iv).
■ l. Adding paragraphs (b)(1)(v),
(b)(1)(vi) and (b)(1)(vii).
■ m. Revising paragraphs (b)(2)(ii),
(b)(3)(ii)(A), (b)(3)(iii) introductory text,
and (b)(3)(iii)(B).
■ n. Adding paragraph (b)(3)(iv).
■ o. Adding a second sentence to
paragraph (b)(4)(i).
■ p. Revising paragraphs (b)(4)(ii)(A),
(b)(4)(ii)(B), (b)(4)(ii)(E), (b)(4)(ii)(F), and
(b)(4)(iii) introductory text.
■ q. Adding paragraph (b)(4)(iv).
■ r. Revising paragraph (b)(5) and the
third sentence of paragraph (b)(6).
■ s. Revising paragraph (c)(1)
introductory text and the definition of
‘‘HHV’’ in Equation C–8.
■ t. Adding paragraphs (c)(1)(i) and
(c)(1)(ii).
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u. Revising the second sentence of
paragraph (c)(2).
■ v. In paragraph (c)(4) introductory
text, revising the only sentence and
revising the definition of ‘‘(HI)A’’ in
Equation C–10.
■ w. Revising paragraphs (c)(4)(i) and
(c)(4)(ii).
■ x. Revising paragraph (c)(5).
■ y. Adding paragraph (c)(6).
■ z. In paragraph (d)(1), revising the first
sentence, adding a second sentence, and
revising the definition of ‘‘R’’ in
Equation C–11.
■ aa. Revising paragraphs (d)(2),
paragraph (e) introductory text,
paragraph (e)(1), and paragraph (e)(2)
introductory text.
■ bb. Revising the definition of ‘‘Fc’’ in
Equation C–13 of paragraph (e)(2)(iii).
■ cc. Revising paragraphs (e)(2)(iv),
(e)(2)(vi)(C), and (e)(3).
■ dd. Removing paragraph (e)(4).
■ ee. Redesignating paragraph (e)(5) as
(e)(4).
■ ff. Revising the first sentence of newly
designated paragraph (e)(4).
■ gg. Adding paragraph (e)(5).
■
§ 98.33
Calculating GHG emissions.
*
*
*
*
*
(a) CO2 emissions from fuel
combustion. Calculate CO2 mass
emissions by using one of the four
calculation methodologies in paragraphs
(a)(1) through (a)(4) of this section,
subject to the applicable conditions,
requirements, and restrictions set forth
in paragraph (b) of this section.
Alternatively, for units that meet the
conditions of paragraph (a)(5) of this
section, you may use CO2 mass
emissions calculation methods from
part 75 of this chapter, as described in
paragraph (a)(5) of this section. For
units that combust both biomass and
fossil fuels, you must calculate and
report CO2 emissions from the
combustion of biomass separately using
the methods in paragraph (e) of this
section, except as otherwise provided in
paragraphs (a)(5)(iv) and (e) of this
section and in § 98.36(d).
(1) Tier 1 Calculation Methodology.
Calculate the annual CO2 mass
emissions for each type of fuel by using
Equation C–1, C–1a, or C–1b of this
section (as applicable).
(i) Use Equation C–1 except when
natural gas billing records are used to
quantify fuel usage and gas
consumption is expressed in units of
therms or million Btu. In that case, use
Equation C–1a or C–1b, as applicable.
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
79141
Where:
CO2 = Annual CO2 mass emissions for the
specific fuel type (metric tons).
Fuel = Mass or volume of fuel combusted per
year, from company records as defined
in § 98.6 (express mass in short tons for
solid fuel, volume in standard cubic feet
for gaseous fuel, and volume in gallons
for liquid fuel).
HHV = Default high heat value of the fuel,
from Table C–1 of this subpart (mmBtu
per mass or mmBtu per volume, as
applicable).
EF = Fuel-specific default CO2 emission
factor, from Table C–1 of this subpart (kg
CO2/mmBtu).
1 × 10¥3 = Conversion factor from kilograms
to metric tons.
Where:
CO2 = Annual CO2 mass emissions from
natural gas combustion (metric tons).
Gas = Annual natural gas usage, from billing
records (therms).
EF = Fuel-specific default CO2 emission
factor for natural gas, from Table C–1 of
this subpart (kg CO2/mmBtu).
0.1 = Conversion factor from therms to
mmBtu
1 × 10¥3 = Conversion factor from kilograms
to metric tons.
(iii) If natural gas consumption is
obtained from billing records and fuel
usage is expressed in mmBtu, use
Equation C–1b.
Where:
CO2 = Annual CO2 mass emissions from
natural gas combustion (metric tons).
Gas = Annual natural gas usage, from billing
records (mmBtu).
EF = Fuel-specific default CO2 emission
factor for natural gas, from Table C–1 of
this subpart (kg CO2/mmBtu).
1 × 10¥3 = Conversion factor from kilograms
to metric tons.
appropriate substitute data value
(mmBtu per mass or volume).
(Fuel)I = Mass or volume of the fuel
combusted during month ‘‘i,’’ from
company records (express mass in short
tons for solid fuel, volume in standard
cubic feet for gaseous fuel, and volume
in gallons for liquid fuel).
n = Number of months in the year that the
fuel is burned in the unit.
*
*
*
*
(ii) The minimum required sampling
frequency for determining the annual
average HHV (e.g., monthly, quarterly,
semi-annually, or by lot) is specified in
§ 98.34. The method for computing the
annual average HHV is a function of
unit size and how frequently you
perform or receive from the fuel
supplier the results of fuel sampling for
HHV. * * *
(A) If the results of fuel sampling are
received monthly or more frequently,
then for each unit with a maximum
rated heat input capacity greater than or
equal to 100 mmBtu/hr (or for a group
of units that includes at least one unit
of that size), the annual average HHV
shall be calculated using Equation C–2b
of this section. * * *
*
*
*
*
*
(HHV)I = Measured high heat value of the
fuel, for month ‘‘i’’ (which may be the
arithmetic average of multiple
determinations), or, if applicable, an
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CC = Annual average carbon content of the
gaseous fuel (kg C per kg of fuel). The
annual average carbon content shall be
determined using the same procedures as
specified for HHV in paragraph (a)(2)(ii)
of this section.
MW = Annual average molecular weight of
the gaseous fuel (kg/kg-mole). The
annual average molecular weight shall be
determined using the same procedures as
specified for HHV in paragraph (a)(2)(ii)
of this section.
MVC = Molar volume conversion factor at
standard conditions, as defined in § 98.6.
Use 849.5 scf per kg mole if you select
68 °F as standard temperature and 836.6
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*
*
*
*
(iv) Fuel flow meters that measure
mass flow rates may be used for liquid
or gaseous fuels, provided that the fuel
density is used to convert the readings
to volumetric flow rates. The density
shall be measured at the same frequency
as the carbon content. You must
measure the density using one of the
following appropriate methods. You
may use a method published by a
consensus-based standards organization,
if such a method exists, or you may use
industry standard practice. Consensusbased standards organizations include,
but are not limited to, the following:
ASTM International (100 Barr Harbor
Drive, P.O. Box CB700, West
Conshohocken, Pennsylvania 19428–
B2959, (800) 262–1373, https://
www.astm.org), the American National
Standards Institute (ANSI, 1819 L
Street, NW., 6th floor, Washington, DC
20036, (202) 293–8020, https://
www.ansi.org), the American Gas
Association (AGA), 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
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*
ER17DE10.016
HHV = Annual average high heat value of the
fuel (mmBtu per mass or volume). The
average HHV shall be calculated
according to the requirements of
paragraph (a)(2)(ii) of this section.
(B) If the results of fuel sampling are
received less frequently than monthly,
or, for a unit with a maximum rated heat
input capacity less than 100 mmBtu/hr
(or a group of such units) regardless of
the HHV sampling frequency, the
annual average HHV shall either be
computed according to paragraph
(a)(2)(ii)(A) of this section or as the
arithmetic average HHV for all values
for the year (including valid samples
and substitute data values under
§ 98.35).
*
*
*
*
*
(3) * * *
(iii) * * *
scf per kg mole if you select 60 °F as
standard temperature.
ER17DE10.015
(2) * * *
(i) * * *
(ii) If natural gas consumption is
obtained from billing records and fuel
usage is expressed in therms, use
Equation C–1a.
79142
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are required, except where the option to
use moisture data from a RATA is
selected, and the applicable regulation
allows a single moisture determination
to represent two or more RATA runs. In
that case, you may base the site-specific
moisture percentage on the number of
moisture runs allowed by the RATA
regulation. Calculate each site-specific
default moisture value by taking the
arithmetic average of the Method 4 runs.
Each site-specific moisture default value
shall be updated whenever the owner or
operator believes the current value is
non-representative, due to changes in
unit or process operation, but in any
event no less frequently than annually.
Use the updated moisture value in the
subsequent CO2 emissions calculations.
For each unit operating hour, a moisture
correction must be applied to Equation
C–6 of this section as follows:
or some other similar process, and then
exhausts through a stack that is not
equipped with the continuous emission
monitors to measure CO2 mass
emissions, CO2 emissions shall be
determined as follows:
(A) At least once a year, use EPA
Methods 2 and 3A, and (if necessary)
Method 4 in appendices A–2 and A–3
to part 60 of this chapter to perform
emissions testing at a set point that best
represents normal, stable process
operating conditions. A minimum of
three one-hour Method 3A tests are
required, to determine the CO2
concentration. A Method 2 test shall be
performed during each Method 3A run,
to determine the stack gas volumetric
flow rate. If moisture correction is
necessary, a Method 4 run shall also be
performed during each Method 3A run.
Important parametric information
related to the stack gas flow rate (e.g.,
damper positions, fan settings, etc.)
shall also be recorded during the test.
(B) Calculate a CO2 mass emission
rate (in metric tons/hr) from the stack
test data, using a version of Equation C–
6 in paragraph (a)(4)(ii) of this section,
modified as follows. In the Equation C–
6 nomenclature, replace the words
‘‘Hourly average’’ in the definitions of
‘‘CCO2’’ and ‘‘Q’’ with the words ‘‘3-run
average’’. Substitute the arithmetic
average values of CO2 concentration and
stack gas flow rate from the emission
testing into modified Equation C–6. If
CO2 is measured on a dry basis, a
moisture correction of the calculated
CO2 mass emission rate is required. Use
Equation C–7 in paragraph (a)(4)(ii) of
this section to make this correction;
replace the word ‘‘Hourly’’ with the
words ‘‘3-run average’’ in the equation
nomenclature.
(C) The results of each annual stack
test shall be used in the GHG emissions
calculations for the year of the test.
(D) If, for the majority of the operating
hours during the year, the diverted
stream is withdrawn at a steady rate at
or near the tested set point (as
evidenced by fan and damper settings
and/or other parameters), you may use
the calculated CO2 mass emission rate
from paragraph (a)(4)(viii)(B) of this
section to estimate the CO2 mass
emissions for all operating hours in
which flue gas is diverted from the main
exhaust system. Otherwise, you must
account for the variation in the flow rate
of the diverted stream, as described in
paragraph (c)(4)(viii)(E) of this section.
(E) If the flow rate of the diverted
stream varies significantly throughout
the year, except as provided below,
repeat the stack test and emission rate
calculation procedures described in
paragraphs (c)(4)(viii)(A) and
(c)(4)(viii)(B) of this section at a
minimum of two more set points across
the range of typical operating conditions
to develop a correlation between CO2
mass emission rate and the parametric
data. If additional testing is not feasible,
use the following approach to develop
the necessary correlation. Assume that
the average CO2 concentration obtained
in the annual stack test is the same at
all operating set points. Then, beginning
(iv) An oxygen (O2) concentration
monitor may be used in lieu of a CO2
concentration monitor to determine the
hourly CO2 concentrations, in
accordance with Equation F–14a or F–
14b (as applicable) in appendix F to part
75 of this chapter, if the effluent gas
stream monitored by the CEMS consists
solely of combustion products (i.e., no
process CO2 emissions or CO2 emissions
from sorbent are mixed with the
combustion products) and if only fuels
that are listed in Table 1 in section 3.3.5
of appendix F to part 75 of this chapter
are combusted in the unit. If the O2
monitoring option is selected, the Ffactors used in Equations F–14a and F–
14b shall be determined according to
section 3.3.5 or section 3.3.6 of
appendix F to part 75 of this chapter, as
applicable. If Equation F–14b is used,
the hourly moisture percentage in the
stack gas shall be determined in
accordance with paragraph (a)(4)(iii) of
this section.
*
*
*
*
*
(viii) If a portion of the flue gases
generated by a unit subject to Tier 4
(e.g., a slip stream) is continuously
diverted from the main flue gas exhaust
system for the purpose of heat recovery
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moisture values specified in
§ 75.11(b)(1) of this chapter.
Alternatively, for any type of fuel, you
may determine an appropriate sitespecific default moisture value (or
values), using measurements made with
EPA Method 4—Determination Of
Moisture Content In Stack Gases, in
appendix A–3 to part 60 of this chapter.
Moisture data from the relative accuracy
test audit (RATA) of a CEMS may be
used for this purpose. If this option is
selected, the site-specific moisture
default value(s) must represent the
fuel(s) or fuel blends that are combusted
in the unit during normal, stable
operation, and must account for any
distinct difference(s) in the stack gas
moisture content associated with
different process operating conditions.
For each site-specific default moisture
percentage, at least nine Method 4 runs
Where:
CO2* = Hourly CO2 mass emission rate,
corrected for moisture (metric tons/hr).
CO2 = Hourly CO2 mass emission rate from
Equation C–6 of this section, uncorrected
(metric tons/hr).
%H2O = Hourly moisture percentage in the
stack gas (measured or default value, as
appropriate).
srobinson on DSKHWCL6B1PROD with RULES2
(713) 356–0060, https://www.api.org).
The method(s) used shall be
documented in the GHG Monitoring
Plan required under § 98.3(g)(5).
(v) The following default density
values may be used for fuel oil, in lieu
of using the methods in paragraph
(a)(3)(iv) of this section: 6.8 lb/gal for
No. 1 oil; 7.2 lb/gal for No. 2 oil; 8.1 lb/
gal for No. 6 oil.
*
*
*
*
*
(4) * * *
(iii) If the CO2 concentration is
measured on a dry basis, a correction for
the stack gas moisture content is
required. You shall either continuously
monitor the stack gas moisture content
using a method described in
§ 75.11(b)(2) of this chapter or use an
appropriate default moisture percentage.
For coal, wood, and natural gas
combustion, you may use the default
srobinson on DSKHWCL6B1PROD with RULES2
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
with the measured flow rate from the
stack test and the associated parametric
data, perform an engineering analysis to
estimate the stack gas flow rate at two
or more additional set points. Calculate
the CO2 mass emission rate at each set
point.
(F) Calculate the annual CO2 mass
emissions for the diverted stream as
follows. For a steady-state process,
multiply the number of hours in which
flue gas was diverted from the main
exhaust system by the CO2 mass
emission rate from the stack test.
Otherwise, using the best available
information and engineering judgment,
apply the most representative CO2 mass
emission rate from the correlation in
paragraph (c)(4)(viii)(E) of this section to
determine the CO2 mass emissions for
each hour in which flue gas was
diverted, and sum the results. To
simplify the calculations, you may
count partial operating hours as full
hours.
(G) Finally, add the CO2 mass
emissions from paragraph(c)(4)(viii)(F)
of this section to the annual CO2 mass
emissions measured by the CEMS at the
main stack. Report this sum as the total
annual CO2 mass emissions for the unit.
(H) The exact method and procedures
used to estimate the CO2 mass emissions
for the diverted portion of the flue gas
exhaust stream shall be documented in
the Monitoring Plan required under
§ 98.3(g)(5).
(5) Alternative methods for certain
units subject to Part 75 of this chapter.
Certain units that are not subject to
subpart D of this part and that report
data to EPA according to part 75 of this
chapter may qualify to use the
alternative methods in this paragraph
(a)(5), in lieu of using any of the four
calculation methodology tiers.
(i) For a unit that combusts only
natural gas and/or fuel oil, is not subject
to subpart D of this part, monitors and
reports heat input data year-round
according to appendix D to part 75 of
this chapter, but is not required by the
applicable part 75 program to report
CO2 mass emissions data, calculate the
annual CO2 mass emissions for the
purposes of this part as follows:
(A) Use the hourly heat input data
from appendix D to part 75 of this
chapter, together with Equation G–4 in
appendix G to part 75 of this chapter to
determine the hourly CO2 mass
emission rates, in units of tons/hr;
(B) Use Equations F–12 and F–13 in
appendix F to part 75 of this chapter to
calculate the quarterly and cumulative
annual CO2 mass emissions,
respectively, in units of short tons; and
*
*
*
*
*
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(ii) For a unit that combusts only
natural gas and/or fuel oil, is not subject
to subpart D of this part, monitors and
reports heat input data year-round
according to § 75.19 of this chapter but
is not required by the applicable part 75
program to report CO2 mass emissions
data, calculate the annual CO2 mass
emissions for the purposes of this part
as follows:
(A) Calculate the hourly CO2 mass
emissions, in units of short tons, using
Equation LM–11 in § 75.19(c)(4)(iii) of
this chapter.
*
*
*
*
*
(iii) For a unit that is not subject to
subpart D of this part, uses flow rate and
CO2 (or O2) CEMS to report heat input
data year-round according to part 75 of
this chapter, but is not required by the
applicable part 75 program to report
CO2 mass emissions data, calculate the
annual CO2 mass emissions as follows:
(A) Use Equation F–11 or F–2 (as
applicable) in appendix F to part 75 of
this chapter to calculate the hourly CO2
mass emission rates from the CEMS
data. If an O2 monitor is used, convert
the hourly average O2 readings to CO2
using Equation F–14a or F–14b in
appendix F to part 75 of this chapter (as
applicable), before applying Equation F–
11 or F–2.
(B) Use Equations F–12 and F–13 in
appendix F to part 75 of this chapter to
calculate the quarterly and cumulative
annual CO2 mass emissions,
respectively, in units of short tons.
*
*
*
*
*
(iv) For units that qualify to use the
alternative CO2 emissions calculation
methods in paragraphs (a)(5)(i) through
(a)(5)(iii) of this section, if both biomass
and fossil fuel are combusted during the
year, separate calculation and reporting
of the biogenic CO2 mass emissions (as
described in paragraph (e) of this
section) is optional, only for the 2010
reporting year, as provided in
§ 98.3(c)(12).
(b) * * *
(1) * * *
(iv) May not be used if you routinely
perform fuel sampling and analysis for
the fuel high heat value (HHV) or
routinely receive the results of HHV
sampling and analysis from the fuel
supplier at the minimum frequency
specified in § 98.34(a), or at a greater
frequency. In such cases, Tier 2 shall be
used. This restriction does not apply to
paragraphs (b)(1)(ii), (b)(1)(v), (b)(1)(vi),
and (b)(1)(vii) of this section.
(v) May be used for natural gas
combustion in a unit of any size, in
cases where the annual natural gas
consumption is obtained from fuel
billing records in units of therms or
mmBtu.
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79143
(vi) May be used for MSW combustion
in a small, batch incinerator that burns
no more than 1,000 tons per year of
MSW.
(vii) May be used for the combustion
of MSW and/or tires in a unit, provided
that no more than 10 percent of the
unit’s annual heat input is derived from
those fuels, combined. Notwithstanding
this requirement, if a unit combusts
both MSW and tires and the reporter
elects not to separately calculate and
report biogenic CO2 emissions from the
combustion of tires, Tier 1 may be used
for the MSW combustion, provided that
no more than 10 percent of the unit’s
annual heat input is derived from MSW.
(2) * * *
(ii) May be used in a unit with a
maximum rated heat input capacity
greater than 250 mmBtu/hr for the
combustion of natural gas and/or
distillate fuel oil.
*
*
*
*
*
(3) * * *
(ii) * * *
(A) The use of Tier 1 or 2 is permitted,
as described in paragraphs (b)(1)(iii),
(b)(1)(v), and (b)(2)(ii) of this section.
*
*
*
*
*
(iii) Shall be used for a fuel not listed
in Table C–1 of this subpart if the fuel
is combusted in a unit with a maximum
rated heat input capacity greater than
250 mmBtu/hr (or, pursuant to
§ 98.36(c)(3), in a group of units served
by a common supply pipe, having at
least one unit with a maximum rated
heat input capacity greater than 250
mmBtu/hr), provided that both of the
following conditions apply:
*
*
*
*
*
(B) The fuel provides 10% or more of
the annual heat input to the unit or, if
§ 98.36(c)(3) applies, to the group of
units served by a common supply pipe.
(iv) Shall be used when specified in
another applicable subpart of this part,
regardless of unit size.
(4) * * *
(i) * * * Tier 4 may also be used for
any group of stationary fuel combustion
units, process units, or manufacturing
units that share a common stack or duct.
(ii) * * *
(A) The unit has a maximum rated
heat input capacity greater than 250
mmBtu/hr, or if the unit combusts
municipal solid waste and has a
maximum rated input capacity greater
than 600 tons per day of MSW.
(B) The unit combusts solid fossil fuel
or MSW as the primary fuel.
*
*
*
*
*
(E) The installed CEMS include a gas
monitor of any kind or a stack gas
volumetric flow rate monitor, or both
and the monitors have been certified,
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
common stack or duct meet the
applicability criteria specified in
paragraph (b)(4)(iv)(A)(1), or
(b)(4)(iv)(A)(2) of this section.
(C) The combined effluent gas streams
from two or more manufacturing or
process units are vented through a
common stack or duct. In this case, if
any of the units is required by an
applicable subpart of this part to use
Tier 4, the CO2 mass emissions may be
monitored at each individual unit, or
the combined CO2 mass emissions may
be monitored at the common stack or
duct. However, if it is not feasible to
monitor the individual units, the
combined CO2 mass emissions shall be
monitored at the common stack or duct.
(5) The Tier 4 Calculation
Methodology shall be used:
(i) Starting on January 1, 2010, for a
unit that is required to report CO2 mass
emissions beginning on that date, if all
of the monitors needed to measure CO2
mass emissions have been installed and
certified by that date.
(ii) No later than January 1, 2011, for
a unit that is required to report CO2
mass emissions beginning on January 1,
2010, if all of the monitors needed to
measure CO2 mass emissions have not
been installed and certified by January
1, 2010. In this case, you may use Tier
2 or Tier 3 to report GHG emissions for
2010. However, if the required CEMS
are certified some time in 2010, you
need not wait until January 1, 2011 to
begin using Tier 4. Rather, you may
switch from Tier 2 or Tier 3 to Tier 4
as soon as CEMS certification testing is
successfully completed. If this reporting
option is chosen, you must document
the change in CO2 calculation
methodology in the Monitoring Plan
required under § 98.3(g)(5) and in the
GHG emissions report under § 98.3(c).
Data recorded by the CEMS during a
certification test period in 2010 may be
used for reporting under this part,
provided that the following two
conditions are met:
(A) The certification tests are passed
in sequence, with no test failures.
(B) No unscheduled maintenance or
repair of the CEMS is performed during
the certification test period.
(iii) No later than 180 days following
the date on which a change is made that
triggers Tier 4 applicability under
paragraph (b)(4)(ii) or (b)(4)(iii) of this
section (e.g., a change in the primary
fuel, manner of unit operation, or
installed continuous monitoring
equipment).
(6) * * * However, for units that use
either the Tier 4 or the alternative
calculation methodology specified in
paragraph (a)(5)(iii) of this section, CO2
emissions from the combustion of all
fuels shall be based solely on CEMS
measurements.
(c) * * *
(1) Use Equation C–8 of this section
to estimate CH4 and N2O emissions for
any fuels for which you use the Tier 1
or Tier 3 calculation methodologies for
CO2, except when natural gas usage in
units of therms or mmBtu is obtained
from gas billing records. In that case,
use Equation C–8a in paragraph (c)(1)(i)
of this section or Equation C–8b in
paragraph (c)(1)(ii) of this section (as
applicable). For Equation C–8, use the
same values for fuel consumption that
you use for the Tier 1 or Tier 3
calculation.
*
*
*
*
*
Where:
CH4 or N2O = Annual CH4 or N2O emissions
from the combustion of natural gas
(metric tons).
Fuel = Annual natural gas usage, from gas
billing records (therms).
EF = Fuel-specific default emission factor for
CH4 or N2O, from Table C–2 of this
subpart (kg CH4 or N2O per mmBtu).
0.1 = Conversion factor from therms to
mmBtu
1 × 10¥3 = Conversion factor from kilograms
to metric tons.
CH4 or N2O = Annual CH4 or N2O emissions
from the combustion of natural gas
(metric tons).
Fuel = Annual natural gas usage, from gas
billing records (mmBtu).
EF = Fuel-specific default emission factor for
CH4 or N2O, from Table C–2 of this
subpart (kg CH4 or N2O per mmBtu).
1 × 10¥3 = Conversion factor from kilograms
to metric tons.
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(ii) Use Equation C–8b to calculate
CH4 and N2O emissions when natural
gas usage is obtained from gas billing
records in units of mmBtu.
CH4 or N2O = 1 × 10¥3 * Fuel * EF
(Eq. C–8b)
Where:
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HHV = Default high heat value of the fuel
from Table C–1 of this subpart;
alternatively, for Tier 3, if actual HHV
data are available for the reporting year,
you may average these data using the
procedures specified in paragraph
(a)(2)(ii) of this section, and use the
average value in Equation C–8 (mmBtu
per mass or volume).
*
*
*
*
*
(i) Use Equation C–8a to calculate CH4
and N2O emissions when natural gas
usage is obtained from gas billing
records in units of therms.
E:\FR\FM\17DER2.SGM
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srobinson on DSKHWCL6B1PROD with RULES2
either in accordance with the
requirements of part 75 of this chapter,
part 60 of this chapter, or an applicable
State continuous monitoring program.
(F) The installed gas or stack gas
volumetric flow rate monitors are
required, either by an applicable Federal
or State regulation or by the unit’s
operating permit, to undergo periodic
quality assurance testing in accordance
with either appendix B to part 75 of this
chapter, appendix F to part 60 of this
chapter, or an applicable State
continuous monitoring program.
(iii) Shall be used for a unit with a
maximum rated heat input capacity of
250 mmBtu/hr or less and for a unit that
combusts municipal solid waste with a
maximum rated input capacity of 600
tons of MSW per day or less, if the unit
meets all of the following three
conditions:
*
*
*
*
*
(iv) May apply to common stack or
duct configurations where:
(A) The combined effluent gas streams
from two or more stationary fuel
combustion units are vented through a
monitored common stack or duct. In
this case, Tier 4 shall be used if all of
the conditions in paragraph
(b)(4)(iv)(A)(1) of this section or if the
conditions in paragraph (b)(4)(iv)(A)(2)
of this section are met.
(1) At least one of the units meets the
requirements of paragraphs (b)(4)(ii)(A)
through (b)(4)(ii)(C) of this section, and
the CEMS installed at the common stack
(or duct) meet the requirements of
paragraphs (b)(4)(ii)(D) through
(b)(4)(ii)(F) of this section.
(2) At least one of the units and the
monitors installed at the common stack
or duct meet the requirements of
paragraph (b)(4)(iii) of this section.
(B) The combined effluent gas streams
from a process or manufacturing unit
and a stationary fuel combustion unit
are vented through a monitored
common stack or duct. In this case, Tier
4 shall be used if the combustion unit
and the monitors installed at the
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
(2) * * * Use the same values for fuel
consumption and HHV that you use for
the Tier 2 calculation.
*
*
*
*
*
(4) Use Equation C–10 of this section
for: units subject to subpart D of this
part; units that qualify for and elect to
use the alternative CO2 mass emissions
calculation methodologies described in
paragraph (a)(5) of this section; and
units that use the Tier 4 Calculation
Methodology.
*
*
*
*
*
(HI)A = Cumulative annual heat input from
combustion of the fuel (mmBtu).
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(i) If only one type of fuel listed in
Table C–2 of this subpart is combusted
during the reporting year, substitute the
cumulative annual heat input from
combustion of the fuel into Equation C–
10 of this section to calculate the annual
CH4 or N2O emissions. For units in the
Acid Rain Program and units that report
heat input data to EPA year-round
according to part 75 of this chapter,
obtain the cumulative annual heat input
directly from the electronic data reports
required under § 75.64 of this chapter.
For Tier 4 units, use the best available
information, as described in paragraph
(c)(4)(ii)(C) of this section, to estimate
the cumulative annual heat input (HI)A.
(ii) If more than one type of fuel listed
in Table C–2 of this subpart is
combusted during the reporting year,
use Equation C–10 of this section
separately for each type of fuel, except
as provided in paragraph (c)(4)(ii)(B) of
this section. Determine the appropriate
values of (HI)A as follows:
(A) For units in the Acid Rain
Program and other units that report heat
input data to EPA year-round according
to part 75 of this chapter, obtain (HI)A
for each type of fuel from the electronic
data reports required under § 75.64 of
this chapter, except as otherwise
provided in paragraphs (c)(4)(ii)(B) and
(c)(4)(ii)(D) of this section.
(B) For a unit that uses CEMS to
monitor hourly heat input according to
part 75 of this chapter, the value of (HI)A
obtained from the electronic data
reports under § 75.64 of this chapter
may be attributed exclusively to the fuel
with the highest F-factor, when the
reporting option in 3.3.6.5 of appendix
F to part 75 of this chapter is selected
and implemented.
(C) For Tier 4 units, use the best
available information (e.g., fuel feed rate
measurements, fuel heating values,
engineering analysis) to estimate the
value of (HI)A for each type of fuel.
Instrumentation used to make these
estimates is not subject to the
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Jkt 223001
calibration requirements of § 98.3(i) or
to the QA requirements of § 98.34.
(D) Units in the Acid Rain Program
and other units that report heat input
data to EPA year-round according to
part 75 of this chapter may use the best
available information described in
paragraph (c)(4)(ii)(C) of this section, to
estimate (HI)A for each fuel type,
whenever fuel-specific heat input values
cannot be directly obtained from the
electronic data reports under § 75.64 of
this chapter.
(5) When multiple fuels are
combusted during the reporting year,
sum the fuel-specific results from
Equations C–8, C–8a, C–8b, C–9a, C–9b,
or C–10 of this section (as applicable) to
obtain the total annual CH4 and N2O
emissions, in metric tons.
(6) Calculate the annual CH4 and N2O
mass emissions from the combustion of
blended fuels as follows:
(i) If the mass or volume of each
component fuel in the blend is
measured before the fuels are mixed and
combusted, calculate and report CH4
and N2O emissions separately for each
component fuel, using the applicable
procedures in this paragraph (c).
(ii) If the mass or volume of each
component fuel in the blend is not
measured before the fuels are mixed and
combusted, a reasonable estimate of the
percentage composition of the blend,
based on best available information, is
required. Perform the following
calculations for each component fuel ‘‘i’’
that is listed in Table C–2:
(A) Multiply (% Fuel)i, the estimated
mass or volume percentage (decimal
fraction) of component fuel ‘‘i’’, by the
total annual mass or volume of the
blended fuel combusted during the
reporting year, to obtain an estimate of
the annual consumption of component
‘‘i’’;
(B) Multiply the result from paragraph
(c)(6)(ii)(A) of this section by the HHV
of the fuel (default value or, if available,
the measured annual average value), to
obtain an estimate of the annual heat
input from component ‘‘i’’;
(C) Calculate the annual CH4 and N2O
emissions from component ‘‘i’’, using
Equation C–8, C–8a, C–8b, C–9a, or C–
10 of this section, as applicable;
(D) Sum the annual CH4 emissions
across all component fuels to obtain the
annual CH4 emissions for the blend.
Similarly sum the annual N2O
emissions across all component fuels to
obtain the annual N2O emissions for the
blend. Report these annual emissions
totals.
(d) * * *
(1) When a unit is a fluidized bed
boiler, is equipped with a wet flue gas
desulfurization system, or uses other
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79145
acid gas emission controls with sorbent
injection to remove acid gases, if the
chemical reaction between the acid gas
and the sorbent produces CO2
emissions, use Equation C–11 of this
section to calculate the CO2 emissions
from the sorbent, except when those
CO2 emissions are monitored by CEMS.
When a sorbent other than CaCO3 is
used, determine site-specific values of R
and MWS.
*
*
*
*
*
R = The number of moles of CO2 released
upon capture of one mole of the acid gas
species being removed (R = 1.00 when
the sorbent is CaCO3 and the targeted
acid gas species is SO2).
*
*
*
*
*
(2) The total annual CO2 mass
emissions reported for the unit shall
include the CO2 emissions from the
combustion process and the CO2
emissions from the sorbent.
(e) Biogenic CO2 emissions from
combustion of biomass with other fuels.
Use the applicable procedures of this
paragraph (e) to estimate biogenic CO2
emissions from units that combust a
combination of biomass and fossil fuels
(i.e., either co-fired or blended fuels).
Separate reporting of biogenic CO2
emissions from the combined
combustion of biomass and fossil fuels
is required for those biomass fuels listed
in Table C–1 of this section and for
municipal solid waste. In addition,
when a biomass fuel that is not listed in
Table C–1 is combusted in a unit that
has a maximum rated heat input greater
than 250 mmBtu/hr, if the biomass fuel
accounts for 10% or more of the annual
heat input to the unit, and if the unit
does not use CEMS to quantify its
annual CO2 mass emissions, then,
pursuant to § 98.33(b)(3)(iii), Tier 3
must be used to determine the carbon
content of the biomass fuel and to
calculate the biogenic CO2 emissions
from combustion of the fuel.
Notwithstanding these requirements, in
accordance with § 98.3(c)(12), separate
reporting of biogenic CO2 emissions is
optional for the 2010 reporting year for
units subject to subpart D of this part
and for units that use the CO2 mass
emissions calculation methodologies in
part 75 of this chapter, pursuant to
paragraph (a)(5) of this section.
However, if the owner or operator opts
to report biogenic CO2 emissions
separately for these units, the
appropriate method(s) in this paragraph
(e) shall be used. Separate reporting of
biogenic CO2 emissions from the
combustion of tires is also optional, but
may be reported by following the
provisions of paragraph (e)(3) of this
section.
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
(1) You may use Equation C–1 of this
subpart to calculate the annual CO2
mass emissions from the combustion of
the biomass fuels listed in Table C–1 of
this subpart (except MSW and tires), in
a unit of any size, including units
equipped with a CO2 CEMS, except
when the use of Tier 2 is required as
specified in paragraph (b)(1)(iv) of this
section. Determine the quantity of
biomass combusted using one of the
following procedures in this paragraph
(e)(1), as appropriate, and document the
selected procedures in the Monitoring
Plan under § 98.3(g):
(i) Company records.
(ii) The procedures in paragraph (e)(5)
of this section.
(iii) The best available information for
premixed fuels that contain biomass and
fossil fuels (e.g., liquid fuel mixtures
containing biodiesel).
(2) You may use the procedures of
this paragraph if the following three
conditions are met: First, a CO2 CEMS
(or a surrogate O2 monitor) and a stack
gas flow rate monitor are used to
determine the annual CO2 mass
emissions (either according to part 75 of
this chapter, the Tier 4 Calculation
Methodology, or the alternative
calculation methodology specified in
paragraph (a)(5)(iii) of this section);
second, neither MSW nor tires is
combusted in the unit during the
reporting year; and third, the CO2
emissions consist solely of combustion
products (i.e., no process or sorbent
emissions included).
*
*
*
*
*
(iii) * * *
Fc = Fuel-specific carbon based F-factor,
either a default value from Table 1 in
section 3.3.5 of appendix F to part 75 of
this chapter, or a site-specific value
determined under section 3.3.6 of
appendix F to part 75 (scf CO2/mmBtu).
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(iv) Subtract Vff from Vtotal to obtain
Vbio, the annual volume of CO2 from the
combustion of biomass.
*
*
*
*
*
(vi) * * *
(C) From the electronic data report
required under § 75.64 of this chapter,
for units in the Acid Rain Program and
other units using CEMS to monitor and
report CO2 mass emissions according to
part 75 of this chapter. However, before
calculating the annual biogenic CO2
mass emissions, multiply the
cumulative annual CO2 mass emissions
by 0.91 to convert from short tons to
metric tons.
(3) You must use the procedures in
paragraphs (e)(3)(i) through (e)(3)(iii) of
this section to determine the annual
biogenic CO2 emissions from the
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combustion of MSW, except as
otherwise provided in paragraph
(e)(3)(iv) of this section. These
procedures also may be used for any
unit that co-fires biomass and fossil
fuels, including units equipped with a
CO2 CEMS, and units for which optional
separate reporting of biogenic CO2
emissions from the combustion of tires
is selected.
(i) Use an applicable CO2 emissions
calculation method in this section to
quantify the total annual CO2 mass
emissions from the unit.
(ii) Determine the relative proportions
of biogenic and non-biogenic CO2
emissions in the flue gas on a quarterly
basis using the method specified in
§ 98.34(d) (for units that combust MSW
as the primary fuel or as the only fuel
with a biogenic component) or in
§ 98.34(e) (for other units, including
units that combust tires).
(iii) Determine the annual biogenic
CO2 mass emissions from the unit by
multiplying the total annual CO2 mass
emissions by the annual average
biogenic decimal fraction obtained from
§ 98.34(d) or § 98.34(e), as applicable.
(iv) If the combustion of MSW and/or
tires provides no more than 10 percent
of the annual heat input to a unit, or if
a small, batch incinerator combusts no
more than 1,000 tons per year of MSW,
you may estimate the annual biogenic
CO2 emissions as follows, in lieu of
following the procedures in paragraphs
(e)(3)(i) through (e)(3)(iii) of this section:
(A) Calculate the total annual CO2
emissions from combustion of MSW
and/or tires in the unit, using the Tier
1 calculation methodology in paragraph
(a)(1) of this section.
(B) Multiply the result from paragraph
(e)(3)(iv)(A) of this section by the
appropriate default factor to determine
the annual biogenic CO2 emissions, in
metric tons. For MSW, use a default
factor of 0.60 and for tires, use a default
factor of 0.20.
(4) If Equation C–1 or Equation C–2a
of this section is selected to calculate
the annual biogenic mass emissions for
wood, wood waste, or other solid
biomass-derived fuel, Equation C–15 of
this section may be used to quantify
biogenic fuel consumption, provided
that all of the required input parameters
are accurately quantified. * * *
(5) For units subject to subpart D of
this part and for units that use the
methods in part 75 of this chapter to
quantify CO2 mass emissions in
accordance with paragraph (a)(5) of this
section, you may calculate biogenic CO2
emissions from the combustion of
biomass fuels listed in Table C–1 of this
subpart using Equation C–15a. This
equation may not be used to calculate
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biogenic CO2 emissions from the
combustion of tires or MSW; the
methods described in paragraph (e)(3) of
this section must be used for those fuels.
Whenever (HI)A, the annual heat input
from combustion of biomass fuel in
Equation C–15a, cannot be determined
solely from the information in the
electronic emissions reports under
§ 75.64 of this chapter (e.g., in cases
where a unit uses CEMS in combination
with multiple F-factors, a worst-case Ffactor, or a prorated F-factor to report
heat input rather than reporting heat
input based on fuel type), use the best
available information (as described in
§§ 98.33(c)(4)(ii)(C) and (c)(4)(ii)(D)) to
determine (HI)A.
CO2 = 0.001 * (HI)A * EF (Eq. C–15a)
Where:
CO2 = Annual CO2 mass emissions from the
combustion of a particular type of
biomass fuel listed in Table C–1 (metric
tons)
(HI)A = Annual heat input from the biomass
fuel, obtained, where feasible, from the
electronic emissions reports required
under § 75.64 of this chapter. Where this
is not feasible use best available
information, as described in
§§ 98.33(c)(4)(ii)(C) and (c)(4)(ii)(D)
(mmBtu)
EF = CO2 emission factor for the biomass
fuel, from Table C–1 (kg CO2/mmBtu)
0.001 = Conversion factor from kg to metric
tons
*
*
*
*
*
10. Section 98.34 is amended by:
a. Revising paragraphs (a)(2), (a)(3),
(a)(6), (b)(1) introductory text, (b)(1)(i),
(b)(1)(ii), (b)(1)(iii), (b)(1)(vi), (b)(3)(ii),
and (b)(3)(v).
■ b. Removing paragraph (b)(4).
■ c. Redesignating paragraph (b)(5) as
(b)(4).
■ d. Revising newly designated
paragraph (b)(4).
■ e. Revising paragraphs (c)
introductory text, (c)(1)(i), (c)(1)(ii),
(c)(2), (c)(3), and (c)(4).
■ f. Adding paragraphs (c)(6) and (c)(7).
■ g. Revising paragraphs (d), (e), (f)
introductory text, (f)(1), (f)(3), (f)(5), and
(f)(6).
■ h. Adding paragraphs (f)(7) and (f)(8).
■ i. Removing paragraph (g).
■
■
§ 98.34 Monitoring and QA/QC
requirements.
*
*
*
*
*
(a) * * *
(2) The minimum required frequency
of the HHV sampling and analysis for
each type of fuel or fuel mixture (blend)
is specified in this paragraph. When the
specified frequency for a particular fuel
or blend is based on a specified time
period (e.g., week, month, quarter, or
half-year), fuel sampling and analysis is
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
79147
requiring only one representative
sample, subject to the following
conditions:
(A) For coal, the ‘‘type’’ of fuel means
the rank of the coal (i.e., anthracite,
bituminous, sub-bituminous, or lignite).
For fuel oil, the ‘‘type’’ of fuel means the
grade number or classification of the oil
(e.g., No. 1 oil, No. 2 oil, kerosene, Jet
A fuel, etc.).
(B) The owner or operator shall
document in the monitoring plan under
§ 98.3(g)(5) how the monthly sampling
of each type of fuel is performed.
(iii) For liquid fuels other than fuel
oil, and for gaseous fuels other than
natural gas (including biogas), sampling
and analysis is required at least once per
calendar quarter. To the extent
practicable, consecutive quarterly
samples shall be taken at least 30 days
apart.
(iv) For other solid fuels (except
MSW), weekly sampling is required to
obtain composite samples, which are
then analyzed monthly.
(v) For fuel blends that are received
already mixed, or that are mixed on-site
without measuring the exact amount of
each component, as described in
paragraph (a)(3)(ii) of this section,
determine the HHV of the blend as
follows. For blends of solid fuels (except
MSW), weekly sampling is required to
obtain composite samples, which are
analyzed monthly. For blends of liquid
or gaseous fuels, sampling and analysis
is required at least once per calendar
quarter. More frequent sampling is
recommended if the composition of the
blend varies significantly during the
year.
(3) Special considerations for
blending of fuels. In situations where
different types of fuel listed in Table C–
1 of this subpart (for example, different
ranks of coal or different grades of fuel
oil) are in the same state of matter (i.e.,
solid, liquid, or gas), and are blended
prior to combustion, use the following
procedures to determine the appropriate
CO2 emission factor and HHV for the
blend.
(i) If the fuels to be blended are
received separately, and if the quantity
(mass or volume) of each fuel is
measured before the fuels are mixed and
combusted, then, for each component of
the blend, calculate the CO2 mass
emissions separately. Substitute into
Equation C–2a of this subpart the total
measured mass or volume of the
component fuel (from company
records), together with the appropriate
default CO2 emission factor from Table
C–1, and the annual average HHV,
calculated according to § 98.33(a)(2)(ii).
In this case, the fact that the fuels are
blended prior to combustion is of no
consequence.
(ii) If the fuel is received as a blend
(i.e., already mixed) or if the
components are mixed on site without
precisely measuring the mass or volume
of each one individually, a reasonable
estimate of the relative proportions of
the components of the blend must be
made, using the best available
information (e.g., the approximate
annual average mass or volume
percentage of each fuel, based on the
typical or expected range of values).
Determine the appropriate CO2 emission
factor and HHV for use in Equation C–
2a of this subpart, as follows:
(A) Consider the blend to be the ‘‘fuel
type,’’ measure its HHV at the frequency
prescribed in paragraph (a)(2)(v) of this
section, and determine the annual
average HHV value for the blend
according to § 98.33(a)(2)(ii).
(B) Calculate a heat-weighted CO2
emission factor, (EF)B, for the blend,
using Equation C–16 of this section. The
heat-weighting in Equation C–16 is
provided by the default HHVs (from
Table C–1) and the estimated mass or
volume percentages of the components
of the blend.
(C) Substitute into Equation C–2a of
this subpart, the annual average HHV
for the blend (from paragraph
(a)(3)(ii)(A) of this section) and the
calculated value of (EF)B, along with the
total mass or volume of the blend
combusted during the reporting year, to
determine the annual CO2 mass
emissions from combustion of the
blend.
Where:
(EF)B = Heat-weighted CO2 emission factor
for the blend (kg CO2/mmBtu)
(HHV)i = Default high heat value for fuel ‘‘i’’
in the blend, from Table C–1 (mmBtu per
mass or volume)
(%Fuel)i = Estimated mass or volume
percentage of fuel ‘‘i’’ (mass % or volume
%, as applicable, expressed as a decimal
fraction; e.g., 25% = 0.25)
(EF)i = Default CO2 emission factor for fuel
‘‘i’’ from Table C–1 (mmBtu per mass or
volume)
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required only for those time periods in
which the fuel or blend is combusted.
The owner or operator may perform fuel
sampling and analysis more often than
the minimum required frequency, in
order to obtain a more representative
annual average HHV.
(i) For natural gas, semiannual
sampling and analysis is required (i.e.,
twice in a calendar year, with
consecutive samples taken at least four
months apart).
(ii) For coal and fuel oil, and for any
other solid or liquid fuel that is
delivered in lots, analysis of at least one
representative sample from each fuel lot
is required. For fuel oil, as an alternative
to sampling each fuel lot, a sample may
be taken upon each addition of oil to the
unit’s storage tank. Flow proportional
sampling, continuous drip sampling, or
daily manual oil sampling may also be
used, in lieu of sampling each fuel lot.
If the daily manual oil sampling option
is selected, sampling from a particular
tank is required only on days when oil
from the tank is combusted by the unit
(or units) served by the tank. If you elect
to sample from the storage tank upon
each addition of oil to the tank, you
must take at least one sample from each
tank that is currently in service and
whenever oil is added to the tank, for
as long as the tank remains in service.
You need not take any samples from a
storage tank while it is out of service.
Rather, take a sample when the tank is
brought into service and whenever oil is
added to the tank, for as long as the tank
remains in service. If multiple additions
of oil are made to a particular in-service
tank on a given day (e.g., from multiple
deliveries), one sample taken after the
final addition of oil is sufficient. For the
purposes of this section, a fuel lot is
defined as a shipment or delivery of a
single type of fuel (e.g., ship load, barge
load, group of trucks, group of railroad
cars, oil delivery via pipeline from a
tank farm, etc.). However, if multiple
deliveries of a particular type of fuel are
received from the same supply source in
a given calendar month, the deliveries
for that month may be considered,
collectively, to comprise a fuel lot,
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
(HHV)B = Annual average high heat value for
the blend, calculated according to
§ 98.33(a)(2)(ii) (mmBtu per mass or
volume)
(iii) Note that for the case described
in paragraph (a)(3)(ii) of this section, if
measured HHV values for the individual
fuels in the blend or for the blend itself
are not routinely received at the
minimum frequency prescribed in
srobinson on DSKHWCL6B1PROD with RULES2
Where:
(HHV)B* = Heat-weighted default high heat
value for the blend (mmBtu per mass or
Volume)
(HHV)i = Default high heat value for fuel ‘‘i’’
in the blend, from Table C–1 (mmBtu per
mass or volume)
(%Fuel)i = Estimated mass or volume
percentage of fuel ‘‘i’’ in the blend (mass
% or volume %, as applicable, expressed
as a decimal fraction)
(iv) If the fuel blend described in
paragraph (a)(3)(ii) of this section
consists of a mixture of fuel(s) listed in
Table C–1 of this subpart and one or
more fuels not listed in Table C–1,
calculate CO2 and other GHG emissions
only for the Table C–1 fuel(s), using the
best available estimate of the mass or
volume percentage(s) of the Table C–1
fuel(s) in the blend. In this case, Tier 1
shall be used, with the following
modifications to Equations C–17 and C–
1, to account for the fact that not all of
the fuels in the blend are listed in Table
C–1:
(A) In Equation C–17, apply the term
(Fuel)i only to the Table C–1 fuels. For
each Table C–1 fuel, (Fuel)i will be the
estimated mass or volume percentage of
the fuel in the blend, divided by the
sum of the mass or volume percentages
of the Table C–1 fuels. For example,
suppose that a blend consists of two
Table C–1 fuels (‘‘A’’ and ‘‘B’’) and one
fuel type (‘‘C’’) not listed in the Table,
and that the volume percentages of fuels
A, B, and C in the blend, expressed as
decimal fractions, are, respectively,
0.50, 0.30, and 0.20. The term (Fuel)i in
Equation C–17 for fuel A will be 0.50/
(0.50 + 0.30) = 0.625, and for fuel B,
(Fuel)i will be 0.30/(0.50 + 0.30) = 0.375.
(B) In Equation C–1, the term ‘‘Fuel’’
will be equal to the total mass or volume
of the blended fuel combusted during
the year multiplied by the sum of the
mass or volume percentages of the Table
C–1 fuels in the blend. For the example
in paragraph (a)(3)(iv)(A) of this section,
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paragraph (a)(2) of this section (or at a
greater frequency), and if the unit
qualifies to use Tier 1, calculate
(HHV)B*, the heat-weighted default
HHV for the blend, using Equation C–
17 of this section. Then, use Equation
C–16 of this section, replacing the term
(HHV)B with (HHV)B* in the
denominator, to determine the heat-
weighted CO2 emission factor for the
blend. Finally, substitute into Equation
C–1 of this subpart, the calculated
values of (HHV)B* and (EF)B, along with
the total mass or volume of the blend
combusted during the reporting year, to
determine the annual CO2 mass
emissions from combustion of the
blend.
‘‘Fuel’’ = (Annual volume of the blend
combusted)(0.80).
*
*
*
*
*
(6) You must use one of the following
appropriate fuel sampling and analysis
methods. The HHV may be calculated
using chromatographic analysis together
with standard heating values of the fuel
constituents, provided that the gas
chromatograph is operated, maintained,
and calibrated according to the
manufacturer’s instructions.
Alternatively, you may use a method
published by a consensus-based
standards organization if such a method
exists, or you may use industry standard
practice to determine the high heat
values. Consensus-based standards
organizations include, but are not
limited to, the following: ASTM
International (100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org), the
American National Standards Institute
(ANSI, 1819 L Street, NW., 6th floor,
Washington, DC 20036, (202) 293–8020,
https://www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
The method(s) used shall be
documented in the Monitoring Plan
required under § 98.3(g)(5).
(b) * * *
(1) You must calibrate each oil and
gas flow meter according to § 98.3(i) and
the provisions of this paragraph (b)(1).
(i) Perform calibrations using any of
the test methods and procedures in this
paragraph (b)(1)(i). The method(s) used
shall be documented in the Monitoring
Plan required under § 98.3(g)(5).
(A) You may use the calibration
procedures specified by the flow meter
manufacturer.
(B) You may use an appropriate flow
meter calibration method published by
a consensus-based standards
organization, if such a method exists.
Consensus-based standards
organizations include, but are not
limited to, the following: ASTM
International (100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org), the
American National Standards Institute
(ANSI, 1819 L Street, NW., 6th floor,
Washington, DC 20036, (202) 293–8020,
https://www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
(C) You may use an industry-accepted
practice.
(ii) In addition to the initial
calibration required by § 98.3(i),
recalibrate each fuel flow meter (except
as otherwise provided in paragraph
(b)(1)(iii) of this section) according to
one of the following. You may
recalibrate annually, at the minimum
frequency specified by the
manufacturer, or at the interval
specified by industry standard practice.
(iii) Fuel billing meters are exempted
from the initial and ongoing calibration
requirements of this paragraph and from
the Monitoring Plan and recordkeeping
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
requirements of §§ 98.3(g)(5)(i)(C), (g)(6),
and (g)(7), provided that the fuel
supplier and the unit combusting the
fuel do not have any common owners
and are not owned by subsidiaries or
affiliates of the same company. Meters
used exclusively to measure the flow
rates of fuels that are only used for unit
startup are also exempted from the
initial and ongoing calibration
requirements of this paragraph.
*
*
*
*
*
(vi) If a mixture of liquid or gaseous
fuels is transported by a common pipe,
you may either separately meter each of
the fuels prior to mixing, using flow
meters calibrated according to § 98.3(i),
or consider the fuel mixture to be the
‘‘fuel type’’ and meter the mixed fuel,
using a flow meter calibrated according
to § 98.3(i).
*
*
*
*
*
(3) * * *
(ii) For each type of fuel, the
minimum required frequency for
collecting and analyzing samples for
carbon content and (if applicable)
molecular weight is specified in this
paragraph. When the sampling
frequency is based on a specified time
period (e.g., week, month, quarter, or
half-year), fuel sampling and analysis is
required for only those time periods in
which the fuel is combusted.
(A) For natural gas, semiannual
sampling and analysis is required (i.e.,
twice in a calendar year, with
consecutive samples taken at least four
months apart).
(B) For coal and fuel oil and for any
other solid or liquid fuel that is
delivered in lots, analysis of at least one
representative sample from each fuel lot
is required. For fuel oil, as an alternative
to sampling each fuel lot, a sample may
be taken upon each addition of oil to the
storage tank. Flow proportional
sampling, continuous drip sampling, or
daily manual oil sampling may also be
used, in lieu of sampling each fuel lot.
If the daily manual oil sampling option
is selected, sampling from a particular
tank is required only on days when oil
from the tank is combusted by the unit
(or units) served by the tank. If you elect
to sample from the storage tank upon
each addition of oil to the tank, you
must take at least one sample from each
tank that is currently in service and
whenever oil is added to the tank, for
as long as the tank remains in service.
You need not take any samples from a
storage tank while it is out of service.
Rather, take a sample when the tank is
brought into service and whenever oil is
added to the tank, for as long as the tank
remains in service. If multiple additions
of oil are made to a particular in service
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tank on a given day (e.g., from multiple
deliveries), one sample taken after the
final addition of oil is sufficient. For the
purposes of this section, a fuel lot is
defined as a shipment or delivery of a
single type of fuel (e.g., ship load, barge
load, group of trucks, group of railroad
cars, oil delivery via pipeline from a
tank farm, etc.). However, if multiple
deliveries of a particular type of fuel are
received from the same supply source in
a given calendar month, the deliveries
for that month may be considered,
collectively, to comprise a fuel lot,
requiring only one representative
sample, subject to the following
conditions:
(1) For coal, the ‘‘type’’ of fuel means
the rank of the coal (i.e., anthracite,
bituminous, sub-bituminous, or lignite).
For fuel oil, the ‘‘type’’ of fuel means the
grade number or classification of the oil
(e.g., No. 1 oil, No. 2 oil, kerosene, Jet
A fuel, etc.).
(2) The owner or operator shall
document in the monitoring plan under
§ 98.3(g)(5) how the monthly sampling
of each type of fuel is performed.
(C) For liquid fuels other than fuel oil
and for biogas, sampling and analysis is
required at least once per calendar
quarter. To the extent practicable,
consecutive quarterly samples shall be
taken at least 30 days apart.
(D) For other solid fuels (except
MSW), weekly sampling is required to
obtain composite samples, which are
then analyzed monthly.
(E) For gaseous fuels other than
natural gas and biogas (e.g., process gas),
daily sampling and analysis to
determine the carbon content and
molecular weight of the fuel is required
if continuous, on-line equipment, such
as a gas chromatograph, is in place to
make these measurements. Otherwise,
weekly sampling and analysis shall be
performed.
(F) For mixtures (blends) of solid
fuels, weekly sampling is required to
obtain composite samples, which are
analyzed monthly. For blends of liquid
fuels, and for gas mixtures consisting
only of natural gas and biogas, sampling
and analysis is required at least once per
calendar quarter. For gas mixtures that
contain gases other than natural gas
(including biogas), daily sampling and
analysis to determine the carbon content
and molecular weight of the fuel is
required if continuous, on-line
equipment is in place to make these
measurements. Otherwise, weekly
sampling and analysis shall be
performed.
*
*
*
*
*
(v) To calculate the CO2 mass
emissions from combustion of a blend of
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79149
fuels in the same state of matter (solid,
liquid, or gas), you may either:
(A) Apply Equation C–3, C–4 or C–5
of this subpart (as applicable) to each
component of the blend, if the mass or
volume, the carbon content, and (if
applicable), the molecular weight of
each component are accurately
measured prior to blending; or
(B) Consider the blend to be the ‘‘fuel
type.’’ Then, at the frequency specified
in paragraph (b)(3)(ii)(F) of this section,
measure the carbon content and, if
applicable, the molecular weight of the
blend and calculate the annual average
value of each parameter in the manner
described in § 98.33(a)(2)(ii). Also
measure the mass or volume of the
blended fuel combusted during the
reporting year. Substitute these
measured values into Equation C–3, C–
4, or C–5 of this subpart (as applicable).
(4) You must use one of the following
appropriate fuel sampling and analysis
methods. The results of
chromatographic analysis of the fuel
may be used, provided that the gas
chromatograph is operated, maintained,
and calibrated according to the
manufacturer’s instructions.
Alternatively, you may use a method
published by a consensus-based
standards organization if such a method
exists, or you may use industry standard
practice to determine the carbon content
and molecular weight (for gaseous fuel)
of the fuel. Consensus-based standards
organizations include, but are not
limited to, the following: ASTM
International (100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org), the
American National Standards Institute
(ANSI, 1819 L Street, NW., 6th floor,
Washington, DC 20036, (202) 293–8020,
https://www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
The method(s) used shall be
documented in the Monitoring Plan
required under § 98.3(g)(5).
(c) For the Tier 4 Calculation
Methodology, the CO2, flow rate, and (if
applicable) moisture monitors must be
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
certified prior to the applicable deadline
specified in § 98.33(b)(5).
(1) * * *
(i) §§ 75.20(c)(2), (c)(4), and (c)(5)
through (c)(7) of this chapter and
appendix A to part 75 of this chapter.
(ii) The calibration drift test and
relative accuracy test audit (RATA)
procedures of Performance Specification
3 in appendix B to part 60 of this
chapter (for the CO2 concentration
monitor) and Performance Specification
6 in appendix B to part 60 of this
chapter (for the continuous emission
rate monitoring system (CERMS)).
*
*
*
*
*
(2) If an O2 concentration monitor is
used to determine CO2 concentrations,
the applicable provisions of part 75 of
this chapter, part 60 of this chapter, or
an applicable State continuous
monitoring program shall be followed
for initial certification and on-going
quality assurance, and all required
RATAs of the monitor shall be done on
a percent CO2 basis.
(3) For ongoing quality assurance,
follow the applicable procedures in
either appendix B to part 75 of this
chapter, appendix F to part 60 of this
chapter, or an applicable State
continuous monitoring program. If
appendix F to part 60 of this chapter is
selected for on-going quality assurance,
perform daily calibration drift
assessments for both the CO2 monitor
(or surrogate O2 monitor) and the flow
rate monitor, conduct cylinder gas
audits of the CO2 concentration monitor
in three of the four quarters of each year
(except for non-operating quarters), and
perform annual RATAs of the CO2
concentration monitor and the CERMS.
(4) For the purposes of this part, the
stack gas volumetric flow rate monitor
RATAs required by appendix B to part
75 of this chapter and the annual
RATAs of the CERMS required by
appendix F to part 60 of this chapter
need only be done at one operating
level, representing normal load or
normal process operating conditions,
both for initial certification and for
ongoing quality assurance.
*
*
*
*
*
(6) For certain applications where
combined process emissions and
combustion emissions are measured, the
CO2 concentrations in the flue gas may
be considerably higher than for
combustion emissions alone. In such
cases, the span of the CO2 monitor may,
if necessary, be set higher than the
specified levels in the applicable
regulations. If the CO2 span value is set
higher than 20 percent CO2, the cylinder
gas audits of the CO2 monitor under
appendix F to part 60 of this chapter
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may be performed at 40 to 60 percent
and 80 to 100 percent of span, in lieu
of the prescribed calibration levels of 5
to 8 percent CO2 and 10 to 14 percent
CO2.
(7) Hourly average data from the
CEMS shall be validated in a manner
consistent with one of the following:
§§ 60.13(h)(2)(i) through (h)(2)(vi) of this
chapter; § 75.10(d)(1) of this chapter; or
the hourly data validation requirements
of an applicable State CEM regulation.
(d) Except as otherwise provided in
§ 98.33 (b)(1)(vi) and (b)(1)(vii), when
municipal solid waste (MSW) is either
the primary fuel combusted in a unit or
the only fuel with a biogenic component
combusted in the unit, determine the
biogenic portion of the CO2 emissions
using ASTM D6866–08 Standard Test
Methods for Determining the Biobased
Content of Solid, Liquid, and Gaseous
Samples Using Radiocarbon Analysis
(incorporated by reference, see § 98.7)
and ASTM D7459–08 Standard Practice
for Collection of Integrated Samples for
the Speciation of Biomass (Biogenic)
and Fossil-Derived Carbon Dioxide
Emitted from Stationary Emissions
Sources (incorporated by reference, see
§ 98.7). Perform the ASTM D7459–08
sampling and the ASTM D6866–08
analysis at least once in every calendar
quarter in which MSW is combusted in
the unit. Collect each gas sample during
normal unit operating conditions for at
least 24 total (not necessarily
consecutive) hours, or longer if the
facility deems it necessary to obtain a
representative sample. Notwithstanding
this requirement, if the types of fuels
combusted and their relative
proportions are consistent throughout
the year, the minimum required
sampling time may be reduced to 8
hours if at least two 8-hour samples and
one 24-hour sample are collected under
normal operating conditions, and
arithmetic average of the biogenic
fraction of the flue gas from the 8-hour
samples (expressed as a decimal) is
within ± 5 percent of the biogenic
fraction from the 24-hour test. There
must be no overlapping of the 8-hour
and 24-hour test periods. Document the
results of the demonstration in the
unit’s monitoring plan. If the types of
fuels and their relative proportions are
not consistent throughout the year, an
optional sampling approach that
facilities may wish to consider to obtain
a more representative sample is to
collect an integrated sample by
extracting a small amount of flue gas
(e.g., 1 to 5 cc) in each unit operating
hour during the quarter. Separate the
total annual CO2 emissions into the
biogenic and non-biogenic fractions
using the average proportion of biogenic
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emissions of all samples analyzed
during the reporting year. Express the
results as a decimal fraction (e.g., 0.30,
if 30 percent of the CO2 is biogenic).
When MSW is the primary fuel for
multiple units at the facility, and the
units are fed from a common fuel
source, testing at only one of the units
is sufficient.
(e) For other units that combust
combinations of biomass fuel(s) (or
heterogeneous fuels that have a biomass
component, e.g., tires) and fossil (or
other non-biogenic) fuel(s), in any
proportions, ASTM D6866–08
(incorporated by reference, see § 98.7)
and ASTM D7459–08 (incorporated by
reference, see § 98.7) may be used to
determine the biogenic portion of the
CO2 emissions in every calendar quarter
in which biomass and non-biogenic
fuels are co-fired in the unit. Follow the
procedures in paragraph (d) of this
section. If the primary fuel for multiple
units at the facility consists of tires, and
the units are fed from a common fuel
source, testing at only one of the units
is sufficient.
(f) The records required under
§ 98.3(g)(2)(i) shall include an
explanation of how the following
parameters are determined from
company records (or, if applicable, from
the best available information):
(1) Fuel consumption, when the Tier
1 and Tier 2 Calculation Methodologies
are used, including cases where
§ 98.36(c)(4) applies.
*
*
*
*
*
(3) Fossil fuel consumption when
§ 98.33(e)(2) applies to a unit that uses
CEMS to quantify CO2 emissions and
that combusts both fossil and biomass
fuels.
*
*
*
*
*
(5) Quantity of steam generated by a
unit when § 98.33(a)(2)(iii) applies.
(6) Biogenic fuel consumption and
high heating value, as applicable, under
§§ 98.33(e)(5) and (e)(6).
(7) Fuel usage for CH4 and N2O
emissions calculations under
§ 98.33(c)(4)(ii).
(8) Mass of biomass combusted, for
premixed fuels that contain biomass and
fossil fuels under § 98.33(e)(1)(iii).
■ 11. Section 98.35 is amended by
revising paragraph (a) to read as follows:
§ 98.35
data.
Procedures for estimating missing
*
*
*
*
*
(a) For all units subject to the
requirements of the Acid Rain Program,
and all other stationary combustion
units subject to the requirements of this
part that monitor and report emissions
and heat input data year-round in
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accordance with part 75 of this chapter,
the missing data substitution procedures
in part 75 of this chapter shall be
followed for CO2 concentration, stack
gas flow rate, fuel flow rate, high
heating value, and fuel carbon content.
*
*
*
*
*
■ 12. Section 98.36 is amended by:
■ a. Revising paragraph (b)(5).
■ b. Removing paragraphs (b)(9) and
(b)(10).
■ c. Redesignating paragraphs (b)(6)
through (b)(8) as paragraphs (b)(8)
through (b)(10), respectively.
■ d. Revising newly designated
paragraphs (b)(8) and (b)(9).
■ e. Adding new paragraphs (b)(6) and
(b)(7).
■ f. Removing and reserving paragraphs
(c)(1)(ii) and (c)(1)(iii).
■ g. Revising paragraphs (c)(1)(vi) and
(c)(1)(vii).
■ h. Redesignating paragraph (c)(1)(viii)
as paragraph (c)(1)(x), and revising
newly designated paragraph (c)(1)(x).
■ i. Removing paragraph (c)(1)(ix).
■ j. Adding new paragraphs (c)(1)(viii)
and (c)(1)(ix).
■ k. Revising paragraphs (c)(2)
introductory text, (c)(2)(ii), (c)(2)(iii),
and (c)(2)(v).
■ l. Removing paragraph (c)(2)(viii).
■ m. Redesignating paragraphs (c)(2)(vi)
and (c)(2)(vii) as paragraphs (c)(2)(viii)
and (c)(2)(ix), and revising newly
designated paragraphs (c)(2)(viii) and
(c)(2)(ix).
■ n. Adding new paragraphs (c)(2)(vi)
and (c)(2)(vii).
■ o. Removing and reserving paragraph
(c)(3)(ii).
■ p. Revising paragraphs (c)(3)
introductory text, (c)(3)(iii), and
(c)(3)(vii).
■ q. Removing paragraph (c)(3)(viii).
■ r. Adding new paragraphs (c)(3)(viii),
(c)(3)(ix), and (c)(4).
■ s. Revising paragraph (d).
■ t. Revising paragraphs (e)(1)(iii),
(e)(2)(i), (e)(2)(ii)(C), (e)(2)(ii)(D),
(e)(2)(iii), (e)(2)(iv)(A), and (e)(2)(iv)(C).
■ u. Adding paragraphs (e)(2)(iv)(F) and
(e)(2)(iv)(G).
■ v. Revising paragraph (e)(2)(v)(C).
■ w. Adding paragraph (e)(2)(v)(E).
■ x. Revising paragraphs (e)(2)(vii)(A),
(e)(2)(ix) introductory text, and (e)(2)(x)
introductory text.
■ y. Removing paragraphs (e)(2)(x)(B)
and (e)(2)(x)(C).
■ z. Redesignating paragraph (e)(2)(x)(D)
as (e)(2)(x)(B), and revising newly
designated paragraph (e)(2)(x)(B).
■ aa. Revising paragraph (e)(2)(xi).
§ 98.36
*
Data reporting requirements.
*
*
(b) * * *
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*
*
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(5) The methodology (i.e., tier) used to
calculate the CO2 emissions for each
type of fuel combusted (i.e., Tier 1, 2, 3,
or 4).
(6) The methodology start date, for
each fuel type.
(7) The methodology end date, for
each fuel type.
(8) For a unit that uses Tiers 1, 2, or
3:
(i) The annual CO2 mass emissions
(including biogenic CO2), and the
annual CH4, and N2O mass emissions
for each type of fuel combusted during
the reporting year, expressed in metric
tons of each gas and in metric tons of
CO2e; and
(ii) Metric tons of biogenic CO2
emissions (if applicable).
(9) For a unit that uses Tier 4:
(i) If the total annual CO2 mass
emissions measured by the CEMS
consists entirely of non-biogenic CO2
(i.e., CO2 from fossil fuel combustion
plus, if applicable, CO2 from sorbent
and/or process CO2), report the total
annual CO2 mass emissions, expressed
in metric tons. You are not required to
report the combustion CO2 emissions by
fuel type.
(ii) Report the total annual CO2 mass
emissions measured by the CEMS. If
this total includes both biogenic and
non-biogenic CO2, separately report the
annual non-biogenic CO2 mass
emissions and the annual CO2 mass
emissions from biomass combustion,
each expressed in metric tons. You are
not required to report the combustion
CO2 emissions by fuel type.
(iii) An estimate of the heat input
from each type of fuel listed in Table C–
2 of this subpart that was combusted in
the unit during the report year, and the
annual CH4 and N2O emissions for each
of these fuels, expressed in metric tons
of each gas and in metric tons of CO2e.
*
*
*
*
*
(c) * * *
(1) * * *
(ii) [Reserved]
(iii) [Reserved]
*
*
*
*
*
(vi) Annual CO2 mass emissions and
annual CH4, and N2O mass emissions,
aggregated for each type of fuel
combusted in the group of units during
the report year, expressed in metric tons
of each gas and in metric tons of CO2e.
If any of the units burn both fossil fuels
and biomass, report also the annual CO2
emissions from combustion of all fossil
fuels combined and annual CO2
emissions from combustion of all
biomass fuels combined, expressed in
metric tons.
(vii) The methodology (i.e., tier) used
to calculate the CO2 mass emissions for
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each type of fuel combusted in the units
(i.e., Tier 1, Tier 2, or Tier 3).
(viii) The methodology start date, for
each fuel type.
(ix) The methodology end date, for
each fuel type.
(x) The calculated CO2 mass
emissions (if any) from sorbent
expressed in metric tons.
(2) Monitored common stack or duct
configurations. When the flue gases
from two or more stationary fuel
combustion units at a facility are
combined together in a common stack or
duct before exiting to the atmosphere
and if CEMS are used to continuously
monitor CO2 mass emissions at the
common stack or duct according to the
Tier 4 Calculation Methodology, you
may report the combined emissions
from the units sharing the common
stack or duct, in lieu of separately
reporting the GHG emissions from the
individual units. This monitoring and
reporting alternative may also be used
when process off-gases or a mixture of
combustion products and process gases
are combined together in a common
stack or duct before exiting to the
atmosphere. Whenever the common
stack or duct monitoring option is
applied, the following information shall
be reported instead of the information in
paragraph (b) of this section:
*
*
*
*
*
(ii) Number of units sharing the
common stack or duct. Report ‘‘1’’ when
the flue gas flowing through the
common stack or duct includes
combustion products and/or process offgases, and all of the effluent comes from
a single unit (e.g., a furnace, kiln,
petrochemical production unit, or
smelter).
(iii) Combined maximum rated heat
input capacity of the units sharing the
common stack or duct (mmBtu/hr). This
data element is required only when all
of the units sharing the common stack
are stationary fuel combustion units.
*
*
*
*
*
(v) The methodology (tier) used to
calculate the CO2 mass emissions, i.e.,
Tier 4.
(vi) The methodology start date.
(vii) The methodology end date.
(viii) Total annual CO2 mass
emissions measured by the CEMS,
expressed in metric tons. If any of the
units burn both fossil fuels and biomass,
separately report the annual nonbiogenic CO2 mass emissions (i.e., CO2
from fossil fuel combustion plus, if
applicable, CO2 from sorbent and/or
process CO2) and the annual CO2 mass
emissions from biomass combustion,
each expressed in metric tons.
(ix) An estimate of the heat input from
each type of fuel listed in Table C–2 of
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this subpart that was combusted during
the report year in the units sharing the
common stack or duct during the report
year, and, for each of these fuels, the
annual CH4 and N2O mass emissions
from the units sharing the common
stack or duct, expressed in metric tons
of each gas and in metric tons of CO2e.
(3) Common pipe configurations.
When two or more stationary
combustion units at a facility combust
the same type of liquid or gaseous fuel
and the fuel is fed to the individual
units through a common supply line or
pipe, you may report the combined
emissions from the units served by the
common supply line, in lieu of
separately reporting the GHG emissions
from the individual units, provided that
the total amount of fuel combusted by
the units is accurately measured at the
common pipe or supply line using a fuel
flow meter, or, for natural gas, the
amount of fuel combusted may be
obtained from gas billing records. For
Tier 3 applications, the flow meter shall
be calibrated in accordance with
§ 98.34(b). If a portion of the fuel
measured (or obtained from gas billing
records) at the main supply line is
diverted to either: A flare; or another
stationary fuel combustion unit (or
units), including units that use a CO2
mass emissions calculation method in
part 75 of this chapter; or a chemical or
industrial process (where it is used as a
raw material but not combusted), and
the remainder of the fuel is distributed
to a group of combustion units for
which you elect to use the common pipe
reporting option, you may use company
records to subtract out the diverted
portion of the fuel from the fuel
measured (or obtained from gas billing
records) at the main supply line prior to
performing the GHG emissions
calculations for the group of units using
the common pipe option. If the diverted
portion of the fuel is combusted, the
GHG emissions from the diverted
portion shall be accounted for in
accordance with the applicable
provisions of this part. When the
common pipe option is selected, the
applicable tier shall be used based on
the maximum rated heat input capacity
of the largest unit served by the
common pipe configuration, except
where the applicable tier is based on
criteria other than unit size. For
example, if the maximum rated heat
input capacity of the largest unit is
greater than 250 mmBtu/hr, Tier 3 will
apply, unless the fuel transported
through the common pipe is natural gas
or distillate oil, in which case Tier 2
may be used, in accordance with
§ 98.33(b)(2)(ii). As a second example,
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in accordance with § 98.33(b)(1)(v), Tier
1 may be used regardless of unit size
when natural gas is transported through
the common pipe, if the annual fuel
consumption is obtained from gas
billing records in units of therms. When
the common pipe reporting option is
selected, the following information shall
be reported instead of the information in
paragraph (b) of this section:
*
*
*
*
*
(iii) The highest maximum rated heat
input capacity of any unit served by the
common pipe (mmBtu/hr).
*
*
*
*
*
(vii) Annual CO2 mass emissions and
annual CH4 and N2O emissions from
each fuel type for the units served by
the common pipe, expressed in metric
tons of each gas and in metric tons of
CO2e.
(viii) Methodology start date
(ix) Methodology end date
(4) The following alternative reporting
option applies to facilities at which a
common liquid or gaseous fuel supply
is shared between one or more large
combustion units, such as boilers or
combustion turbines (including units
subject to subpart D of this part and
other units subject to part 75 of this
chapter) and small combustion sources,
including, but not limited to, space
heaters, hot water heaters, and lab
burners. In this case, you may simplify
reporting by attributing all of the GHG
emissions from combustion of the
shared fuel to the large combustion
unit(s), provided that:
(i) The total quantity of the fuel
combusted during the report year in the
units sharing the fuel supply is
measured, either at the ‘‘gate’’ to the
facility or at a point inside the facility,
using a fuel flow meter, billing meter, or
tank drop measurements (as applicable);
(ii) On an annual basis, at least 95
percent (by mass or volume) of the
shared fuel is combusted in the large
combustion unit(s), and the remainder
is combusted in the small combustion
sources. Company records may be used
to determine the percentage distribution
of the shared fuel to the large and small
units; and
(iii) The use of this reporting option
is documented in the Monitoring Plan
required under § 98.3(g)(5). Indicate in
the Monitoring Plan which units share
the common fuel supply and the
method used to demonstrate that this
alternative reporting option applies. For
the small combustion sources, a
description of the types of units and the
approximate number of units is
sufficient.
(d) Units subject to part 75 of this
chapter.
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(1) For stationary combustion units
that are subject to subpart D of this part,
you shall report the following unit-level
information:
(i) Unit or stack identification
numbers. Use exact same unit, common
stack, common pipe, or multiple stack
identification numbers that represent
the monitored locations (e.g., 1, 2,
CS001, MS1A, CP001, etc.) that are
reported under § 75.64 of this chapter.
(ii) Annual CO2 emissions at each
monitored location, expressed in both
short tons and metric tons. Separate
reporting of biogenic CO2 emissions
under § 98.3(c)(4)(ii) and
§ 98.3(c)(4)(iii)(A) is optional only for
the 2010 reporting year, as provided in
§ 98.3(c)(12).
(iii) Annual CH4 and N2O emissions at
each monitored location, for each fuel
type listed in Table C–2 that was
combusted during the year (except as
otherwise provided in
§ 98.33(c)(4)(ii)(B)), expressed in metric
tons of CO2e.
(iv) The total heat input from each
fuel listed in Table C–2 that was
combusted during the year (except as
otherwise provided in
§ 98.33(c)(4)(ii)(B)), expressed in
mmBtu.
(v) Identification of the Part 75
methodology used to determine the CO2
mass emissions.
(vi) Methodology start date.
(vii) Methodology end date.
(viii) Acid Rain Program indicator.
(ix) Annual CO2 mass emissions from
the combustion of biomass, expressed in
metric tons of CO2e, except where the
reporting provisions of §§ 98.3(c)(12)(i)
through (c)(12)(iii) are implemented for
the 2010 reporting year.
(2) For units that use the alternative
CO2 mass emissions calculation
methods provided in § 98.33(a)(5), you
shall report the following unit-level
information:
(i) Unit, stack, or pipe ID numbers.
Use exact same unit, common stack,
common pipe, or multiple stack
identification numbers that represent
the monitored locations (e.g., 1, 2,
CS001, MS1A, CP001, etc.) that are
reported under § 75.64 of this chapter.
(ii) For units that use the alternative
methods specified in § 98.33(a)(5)(i) and
(ii) to monitor and report heat input
data year-round according to appendix
D to part 75 of this chapter or § 75.19
of this chapter:
(A) Each type of fuel combusted in the
unit during the reporting year.
(B) The methodology used to calculate
the CO2 mass emissions for each fuel
type.
(C) Methodology start date.
(D) Methodology end date.
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(E) A code or flag to indicate whether
heat input is calculated according to
appendix D to part 75 of this chapter or
§ 75.19 of this chapter.
(F) Annual CO2 emissions at each
monitored location, across all fuel types,
expressed in metric tons of CO2e.
(G) Annual heat input from each type
of fuel listed in Table C–2 of this
subpart that was combusted during the
reporting year, expressed in mmBtu.
(H) Annual CH4 and N2O emissions at
each monitored location, from each fuel
type listed in Table C–2 of this subpart
that was combusted during the reporting
year (except as otherwise provided in
§ 98.33(c)(4)(ii)(D)), expressed in metric
tons CO2e.
(I) Annual CO2 mass emissions from
the combustion of biomass, expressed in
metric tons CO2e, except where the
reporting provisions of §§ 98.3(c)(12)(i)
through (c)(12)(iii) are implemented for
the 2010 reporting year.
(iii) For units with continuous
monitoring systems that use the
alternative method for units with
continuous monitoring systems in
§ 98.33(a)(5)(iii) to monitor heat input
year-round according to part 75 of this
chapter:
(A) Each type of fuel combusted
during the reporting year.
(B) Methodology used to calculate the
CO2 mass emissions.
(C) Methodology start date.
(D) Methodology end date.
(E) A code or flag to indicate that the
heat input data is derived from CEMS
measurements.
(F) The total annual CO2 emissions at
each monitored location, expressed in
metric tons of CO2e.
(G) Annual heat input from each type
of fuel listed in Table C–2 of this
subpart that was combusted during the
reporting year, expressed in mmBtu.
(H) Annual CH4 and N2O emissions at
each monitored location, from each fuel
type listed in Table C–2 of this subpart
that was combusted during the reporting
year (except as otherwise provided in
§ 98.33(c)(4)(ii)(B)), expressed in metric
tons CO2e.
(I) Annual CO2 mass emissions from
the combustion of biomass, expressed in
metric tons CO2e, except where the
reporting provisions of §§ 98.3(c)(12)(i)
through (c)(12)(iii) are implemented for
the 2010 reporting year.
(e) * * *
(1) * * *
(iii) Are not in the Acid Rain Program,
but are required to monitor and report
CO2 mass emissions and heat input data
year-round, in accordance with part 75
of this chapter.
(2) * * *
(i) For the Tier 1 Calculation
Methodology, report the total quantity
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of each type of fuel combusted in the
unit or group of aggregated units (as
applicable) during the reporting year, in
short tons for solid fuels, gallons for
liquid fuels and standard cubic feet for
gaseous fuels, or, if applicable, therms
or mmBtu for natural gas.
(ii) * * *
(C) The high heat values used in the
CO2 emissions calculations for each
type of fuel combusted during the
reporting year, in mmBtu per short ton
for solid fuels, mmBtu per gallon for
liquid fuels, and mmBtu per scf for
gaseous fuels. Report a HHV value for
each calendar month in which HHV
determination is required. If multiple
values are obtained in a given month,
report the arithmetic average value for
the month. Indicate whether each
reported HHV is a measured value or a
substitute data value.
(D) If Equation C–2c of this subpart is
used to calculate CO2 mass emissions,
report the total quantity (i.e., pounds) of
steam produced from MSW or solid fuel
combustion during each month of the
reporting year, and the ratio of the
maximum rate heat input capacity to the
design rated steam output capacity of
the unit, in mmBtu per lb of steam.
(iii) For the Tier 2 Calculation
Methodology, keep records of the
methods used to determine the HHV for
each type of fuel combusted and the
date on which each fuel sample was
taken, except where fuel sampling data
are received from the fuel supplier. In
that case, keep records of the dates on
which the results of the fuel analyses for
HHV are received.
(iv) * * *
(A) The quantity of each type of fuel
combusted in the unit or group of units
(as applicable) during each month of the
reporting year, in short tons for solid
fuels, gallons for liquid fuels, and scf for
gaseous fuels.
*
*
*
*
*
(C) The carbon content and, if
applicable, gas molecular weight values
used in the emission calculations
(including both valid and substitute
data values). For each calendar month of
the reporting year in which carbon
content and, if applicable, molecular
weight determination is required, report
a value of each parameter. If multiple
values of a parameter are obtained in a
given month, report the arithmetic
average value for the month. Express
carbon content as a decimal fraction for
solid fuels, kg C per gallon for liquid
fuels, and kg C per kg of fuel for gaseous
fuels. Express the gas molecular weights
in units of kg per kg-mole.
*
*
*
*
*
(F) The annual average HHV, when
measured HHV data, rather than a
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default HHV from Table C–1 of this
subpart, are used to calculate CH4 and
N2O emissions for a Tier 3 unit, in
accordance with § 98.33(c)(1).
(G) The value of the molar volume
constant (MVC) used in Equation C–5 (if
applicable).
(v) * * *
(C) The methods used to determine
the carbon content and (if applicable)
the molecular weight of each type of
fuel combusted.
*
*
*
*
*
(E) The date on which each fuel
sample was taken, except where fuel
sampling data are received from the fuel
supplier. In that case, keep records of
the dates on which the results of the
fuel analyses for carbon content and (if
applicable) molecular weight are
received.
*
*
*
*
*
(vii) * * *
(A) Whether the CEMS certification
and quality assurance procedures of part
75 of this chapter, part 60 of this
chapter, or an applicable State
continuous monitoring program were
used.
*
*
*
*
*
(ix) For units that combust both fossil
fuel and biomass, when biogenic CO2 is
determined according to § 98.33(e)(2),
you shall report the following additional
information, as applicable:
*
*
*
*
*
(x) When ASTM methods D7459–08
(incorporated by reference, see § 98.7)
and D6866–08 (incorporated by
reference, see § 98.7) are used to
determine the biogenic portion of the
annual CO2 emissions from MSW
combustion, as described in § 98.34(d),
report:
*
*
*
*
*
(B) The annual biogenic CO2 mass
emissions from MSW combustion, in
metric tons.
(xi) When ASTM methods D7459–08
(incorporated by reference, see § 98.7)
and D6866–08 (incorporated by
reference, see § 98.7) are used in
accordance with § 98.34(e) to determine
the biogenic portion of the annual CO2
emissions from a unit that co-fires
biogenic fuels (or partly-biogenic fuels,
including tires if you are electing to
report biogenic CO2 emissions from tire
combustion) and non-biogenic fuels,
you shall report the results of each
quarterly sample analysis, expressed as
a decimal fraction (e.g., if the biogenic
fraction of the CO2 emissions is 30
percent, report 0.30).
*
*
*
*
*
■ 13. Table C–1 to Subpart C is
amended by:
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a. Revising the heading.
b. Removing the entry for ‘‘Pipeline
(Weighted U.S. Average)’’ and adding an
entry for ‘‘(Weighted U.S. Average)’’ in
its place.
■ c. Removing the entry for ‘‘Still Gas.’’
■ d. Adding an entry for ‘‘Used Oil’’,
following the entry for ‘‘Residual Fuel
Oil No. 6.’’
■ e. Revising the entry for ‘‘Ethane’’.
■ f. Adding an entry for ‘‘Ethanol’’,
following the entry for ‘‘Ethane.’’
■
■
g. Revising the phrase ‘‘Fossil fuelderived fuels (solid)’’ to read ‘‘Other
fuels-solid.’’
■ h. Revising the entry for ‘‘Municipal
Solid Waste.’’
■ i. Adding entries for ‘‘Plastics’’ and
‘‘Petroleum Coke’’, following the entry
for ‘‘Tires.’’
■ j. Revising the phrase ‘‘Fossil fuelderived fuels (gaseous)’’ to read ‘‘Other
fuels—gaseous.’’
■
k. Adding entries for ‘‘Propane Gas’’
and ‘‘Fuel Gas,’’ following the entry for
‘‘Coke Oven Gas.’’
■ l. Amending the entry for ‘‘Biomass
fuels—liquid’’ by centering ‘‘Biomass
fuels—liquid.’’
■ m. Revising the entries for ‘‘Ethanol’’
and ‘‘Biodiesel’’ that follow the entry for
‘‘Biomass fuels—liquid.’’
■ n. Revising footnote ‘‘1.’’
■ o. Adding footnote ‘‘2.’’
■
TABLE C–1 TO SUBPART C—DEFAULT CO2 EMISSION FACTORS AND HIGH HEAT VALUES FOR VARIOUS TYPES OF FUEL
Default high
heat value
Fuel type
Default CO2
emission factor
*
*
*
*
*
(Weighted U.S. Average) ...................................................................................................................................
*
1.028 × 10¥3
53.02
*
*
*
*
*
Used Oil .............................................................................................................................................................
*
0.135
74.00
*
*
*
*
*
Ethane ................................................................................................................................................................
Ethanol ...............................................................................................................................................................
*
0.069
0.084
62.64
68.44
*
*
*
*
*
Other fuels (solid) ..............................................................................................................................................
Municipal Solid Waste .......................................................................................................................................
*
mmBtu/short ton
9.95 1
*
kg CO2/mmBtu
90.7
*
*
*
*
*
Plastics ...............................................................................................................................................................
Petroleum Coke .................................................................................................................................................
Other fuels (gaseous) ........................................................................................................................................
*
38.00
30.00
mmBtu/scf
*
75.00
102.41
kg CO2/mmBtu
*
*
*
*
*
Propane Gas ......................................................................................................................................................
Fuel Gas 2 ..........................................................................................................................................................
*
2.516 × 10¥3
1.388 × 10¥3
61.46
59.00
*
*
*
*
*
Ethanol ...............................................................................................................................................................
Biodiesel .............................................................................................................................................................
*
0.084
0.128
68.44
73.84
*
*
*
*
*
*
*
*
*
*
*
*
1 Use
of this default HHV is allowed only for: (a) Units that combust MSW, do not generate steam, and are allowed to use Tier 1; (b) units that
derive no more than 10 percent of their annual heat input from MSW and/or tires; and (c) small batch incinerators that combust no more than
1,000 tons of MSW per year.
2 Reporters subject to subpart X of this part that are complying with § 98.243(d) or subpart Y of this part may only use the default HHV and the
default CO2 emission factor for fuel gas combustion under the conditions prescribed in § 98.243(d)(2)(i) and (d)(2)(ii) and § 98.252(a)(1) and
(a)(2), respectively. Otherwise, reporters subject to subpart X or subpart Y shall use either Tier 3 (Equation C–5) or Tier 4.
14. The first Table C–2 to Subpart C
is removed, and the second Table C–2
■
to Subpart C is revised to read as
follows:
TABLE C–2 TO SUBPART C—DEFAULT CH4 AND N2O EMISSION FACTORS FOR VARIOUS TYPES OF FUEL
Default CH4
emission factor
(kg CH4/mmBtu)
srobinson on DSKHWCL6B1PROD with RULES2
Fuel type
Coal and Coke (All fuel types in Table C–1) ....................................................................................................
Natural Gas ........................................................................................................................................................
Petroleum (All fuel types in Table C–1) ............................................................................................................
Municipal Solid Waste .......................................................................................................................................
Tires ...................................................................................................................................................................
Blast Furnace Gas .............................................................................................................................................
Coke Oven Gas .................................................................................................................................................
Biomass Fuels—Solid (All fuel types in Table C–1) .........................................................................................
Biogas ................................................................................................................................................................
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1.1
1.0
3.0
3.2
3.2
2.2
4.8
3.2
3.2
17DER2
×
×
×
×
×
×
×
×
×
10¥02
10¥03
10¥03
10¥02
10¥02
10¥05
10¥04
10¥02
10¥03
Default N2O
emission factor
(kg N2O/mmBtu)
1.6
1.0
6.0
4.2
4.2
1.0
1.0
4.2
6.3
×
×
×
×
×
×
×
×
×
10¥03
10¥04
10¥04
10¥03
10¥03
10¥04
10¥04
10¥03
10¥04
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
79155
TABLE C–2 TO SUBPART C—DEFAULT CH4 AND N2O EMISSION FACTORS FOR VARIOUS TYPES OF FUEL—Continued
Default CH4
emission factor
(kg CH4/mmBtu)
Fuel type
Biomass Fuels—Liquid (All fuel types in Table C–1) ........................................................................................
Default N2O
emission factor
(kg N2O/mmBtu)
1.1 × 10¥03
1.1 × 10¥04
Note: Those employing this table are assumed to fall under the IPCC definitions of the ‘‘Energy Industry’’ or ‘‘Manufacturing Industries and
Construction’’. In all fuels except for coal the values for these two categories are identical. For coal combustion, those who fall within the IPCC
‘‘Energy Industry’’ category may employ a value of 1g of CH4/mmBtu.
Subpart D—[Amended]
§ 98.46
15. Section 98.40 is amended by
revising paragraph (a) to read as follows:
The annual report shall comply with
the data reporting requirements
specified in § 98.36(d)(1).
§ 98.40
■
■
Definition of the source category.
(a) The electricity generation source
category comprises electricity
generating units that are subject to the
requirements of the Acid Rain Program
and any other electricity generating
units that are required to monitor and
report to EPA CO2 mass emissions yearround according to 40 CFR part 75.
*
*
*
*
*
■ 16. Section 98.43 is revised to read as
follows:
srobinson on DSKHWCL6B1PROD with RULES2
§ 98.43
(a) Except as provided in paragraph
(b) of this section, continue to monitor
and report CO2 mass emissions as
required under § 75.13 or section 2.3 of
appendix G to 40 CFR part 75, and
§ 75.64. Calculate CO2, CH4, and N2O
emissions as follows:
(1) Convert the cumulative annual
CO2 mass emissions reported in the
fourth quarter electronic data report
required under § 75.64 from units of
short tons to metric tons. To convert
tons to metric tons, divide by 1.1023.
(2) Calculate and report annual CH4
and N2O mass emissions under this
subpart by following the applicable
method specified in § 98.33(c).
(b) Calculate and report biogenic CO2
emissions under this subpart by
following the applicable methods
specified in § 98.33(e). The CO2
emissions (excluding biogenic CO2) for
units subject to this subpart that are
reported under §§ 98.3(c)(4)(i) and
(c)(4)(iii)(B) shall be calculated by
subtracting the biogenic CO2 mass
emissions calculated according to
§ 98.33(e) from the cumulative annual
CO2 mass emissions from paragraph
(a)(1) of this section. Separate
calculation and reporting of biogenic
CO2 emissions is optional only for the
2010 reporting year pursuant to
§ 98.3(c)(12) and required every year
thereafter.
17. Section 98.46 is revised to read as
follows:
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18. Section 98.47 is revised to read as
follows:
§ 98.47
Records that must be retained.
You shall comply with the
recordkeeping requirements of
§§ 98.3(g) and 98.37. Records retained
under § 75.57(h) of this chapter for
missing data events satisfy the
recordkeeping requirements of
§ 98.3(g)(4) for those same events.
Subpart F—[Amended]
19. Section 98.62 is amended by
revising paragraphs (a) and (b) to read
as follows:
■
Calculating GHG emissions.
■
Data reporting requirements.
§ 98.62
GHGs to report.
*
*
*
*
*
(a) Perfluoromethane (CF4), and
perfluoroethane (C2F6) emissions from
anode effects in all prebake and
S2010
17:17 Dec 16, 2010
Jkt 223001
*
(commonly referred to as the purge gas
stream).
*
*
*
*
*
■ 27. Section 98.73 is amended by:
■ a. Revising paragraph (b) introductory
text.
■ b. Revising the definition of ‘‘CO2,G’’ in
Equation G–1 of paragraph (b)(1).
■ c. Revising the definition of ‘‘CO2,L’’ in
Equation G–2 of paragraph (b)(2).
■ d. Revising the definition of ‘‘CO2,S’’ in
Equation G–3 of paragraph (b)(3).
■ e. Revising the definition of ‘‘CO2’’ in
Equation G–5 of paragraph (b)(5).
■ f. Removing paragraph (b)(6).
§ 98.73
Calculating GHG emissions.
*
*
*
*
*
(b) Calculate and report under this
subpart process CO2 emissions using the
procedures in paragraphs (b)(1) through
(b)(5) of this section for gaseous
feedstock, liquid feedstock, or solid
feedstock, as applicable.
(1) * * *
CO2,G,k = Annual CO2 emissions arising from
gaseous feedstock consumption (metric
tons).
*
*
*
(2) * * *
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*
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*
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*
*
*
*
*
CO2,L,k = Annual CO2 emissions arising from
liquid feedstock consumption (metric
tons).
*
*
*
(3) * * *
*
*
CO2,S,k = Annual CO2 emissions arising from
solid feedstock consumption (metric
tons).
*
*
*
(5) * * *
*
*
CO2 = Annual combined CO2 emissions from
all ammonia processing units (metric
tons) (CO2 process emissions reported
under this subpart may include CO2 that
is later consumed on site for urea
production, and therefore is not released
to the ambient air from the ammonia
manufacturing process unit(s)).
*
*
*
*
*
28. Section 98.74 is amended by
revising paragraph (d) to read as set
forth below and by removing and
reserving paragraph (f):
■
§ 98.74 Monitoring and QA/QC
requirements.
*
*
*
*
*
(d) Calibrate all oil and gas flow
meters that are used to measure liquid
and gaseous feedstock volumes and flow
rates (except for gas billing meters)
according to the monitoring and QA/QC
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
requirements for the Tier 3 methodology
in § 98.34(b)(1). Perform oil tank drop
measurements (if used to quantify
feedstock volumes) according to
§ 98.34(b)(2).
*
*
*
*
*
■ 29. Section 98.75 is amended by
revising the first sentence of paragraph
(a); and by revising paragraph (b) to read
as follows:
§ 98.75
data.
Procedures for estimating missing
*
*
*
*
*
(a) For missing data on monthly
carbon contents of feedstock, the
substitute data value shall be the
arithmetic average of the quality-assured
values of that carbon content in the
month preceding and the month
immediately following the missing data
incident. * * *
(b) For missing feedstock supply rates
used to determine monthly feedstock
consumption, you must determine the
best available estimate(s) of the
parameter(s), based on all available
process data.
■ 30. Section 98.76 is amended by:
■ a. Revising paragraphs (a)
introductory text and (b)(6).
■ b. Removing paragraphs (b)(12)
through (b)(15).
■ c. Redesignating paragraph (b)(16) as
paragraph (b)(12).
■ d. Adding paragraph (b)(13).
■ e. Removing paragraphs (b)(17) and
(c).
§ 98.76
Data reporting requirements.
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(a) If a CEMS is used to measure CO2
emissions, then you must report the
relevant information required under
§ 98.36 for the Tier 4 Calculation
Methodology and the following
information in this paragraph (a):
*
*
*
*
*
(b) * * *
(6) Sampling analysis results of
carbon content of feedstock as
determined for QA/QC of supplier data
under § 98.74(e).
*
*
*
*
*
(13) CO2 from the steam reforming of
a hydrocarbon or the gasification of
solid and liquid raw material at the
ammonia manufacturing process unit
used to produce urea and the method
used to determine the CO2 consumed in
urea production.
Subpart P—[Amended]
31. Section 98.163 is amended by
revising the definitions of ‘‘CCn’’ and
‘‘MW’’ in Equation P–1 of paragraph
(b)(1) to read as follows:
■
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§ 98.163
*
Calculating GHG emissions.
*
*
(b) * * *
(1) * * *
*
*
*
*
*
33. Section 98.226 is amended by
removing and reserving paragraph (o).
*
32. Section 98.164 is amended by
revising paragraphs (b)(1), (b)(2), and
(b)(5) introductory text to read as
follows:
■
§ 98.164 Monitoring and QA/QC
requirements.
*
*
*
*
*
(b) * * *
(1) Calibrate all oil and gas flow
meters that are used to measure liquid
and gaseous feedstock volumes (except
for gas billing meters) according to the
monitoring and QA/QC requirements for
the Tier 3 methodology in § 98.34(b)(1).
Perform oil tank drop measurements (if
used to quantify liquid fuel or feedstock
consumption) according to § 98.34(b)(2).
Calibrate all solids weighing equipment
according to the procedures in § 98.3(i).
(2) Determine the carbon content and
the molecular weight annually of
standard gaseous hydrocarbon fuels and
feedstocks having consistent
composition (e.g., natural gas). For other
gaseous fuels and feedstocks (e.g.,
biogas, refinery gas, or process gas),
sample and analyze no less frequently
than weekly to determine the carbon
content and molecular weight of the fuel
and feedstock.
*
*
*
*
*
(5) You must use the following
applicable methods to determine the
carbon content for all fuels and
feedstocks, and molecular weight of
gaseous fuels and feedstocks.
Alternatively, you may use the results of
continuous chromatographic analysis of
the fuel and feedstock, provided that the
gas chromatograph (GC) is operated,
maintained, and calibrated according to
the manufacturer’s instructions; and the
methods used for operation,
maintenance, and calibration of the GC
are documented in the written
monitoring plan for the unit under
§ 98.3(g)(5).
*
*
*
*
*
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Subpart V—[Amended]
■
CCn = Average carbon content of the gaseous
fuel and feedstock, from the results of
one or more analyses for month n (kg
carbon per kg of fuel and feedstock). If
measurements are taken more frequently
than monthly, use the arithmetic average
of measurement values within the month
to calculate a monthly average.
MWn = Average molecular weight of the
gaseous fuel and feedstock from the
results of one or more analyses for month
n (kg/kg-mole).
*
79157
Subpart X—[Amended]
34. Section 98.240 is amended by
revising paragraph (a); and by adding
paragraph (g) to read as follows:
■
§ 98.240
Definition of the source category.
(a) The petrochemical production
source category consists of all processes
that produce acrylonitrile, carbon black,
ethylene, ethylene dichloride, ethylene
oxide, or methanol, except as specified
in paragraphs (b) through (g) of this
section. The source category includes
processes that produce the
petrochemical as an intermediate in the
on-site production of other chemicals as
well as processes that produce the
petrochemical as an end product for sale
or shipment off site.
*
*
*
*
*
(g) A process that solely distills or
recycles waste solvent that contains a
petrochemical is not part of the
petrochemical production source
category.
■ 35. Section 98.242 is amended by
revising paragraph (a)(1) and paragraph
(b) introductory text to read as follows:
§ 98.242
GHGs to report.
*
*
*
*
*
(a) * * *
(1) If you comply with § 98.243(b) or
(d), report under this subpart the
calculated CO2, CH4, and N2O emissions
for each stationary combustion source
and flare that burns any amount of
petrochemical process off-gas. If you
comply with § 98.243(b), also report
under this subpart the measured CO2
emissions from process vents routed to
stacks that are not associated with
stationary combustion units.
*
*
*
*
*
(b) CO2, CH4, and N2O combustion
emissions from stationary combustion
units.
*
*
*
*
*
■ 36. Section 98.243 is amended by:
■ a. Revising the second sentence of
paragraph (b).
■ b. Revising paragraph (c)(3).
■ c. Revising the definition of ‘‘MVC’’ in
Equation X–1 in paragraph (c)(5)(i).
■ d. Revising paragraph (d).
§ 98.243
Calculating GHG emissions.
*
*
*
*
*
(b) * * * For each stack (except flare
stacks) that includes emissions from
combustion of petrochemical process
off-gas, calculate CH4 and N20 emissions
in accordance with subpart C of this
E:\FR\FM\17DER2.SGM
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
part (use the Tier 3 methodology,
emission factors for ‘‘Petroleum’’ in
Table C–2 of subpart C of this part, and
either the default high heat value for
fuel gas in Table C–1 of subpart C of this
part or a calculated HHV, as allowed in
Equation C–8 of subpart C of this
part). * * *
(c) * * *
(3) Collect a sample of each feedstock
and product at least once per month and
determine the carbon content of each
sample according to the procedures of
§ 98.244(b)(4). If multiple valid carbon
content measurements are made during
the monthly measurement period,
average them arithmetically. However, if
a particular liquid or solid feedstock is
delivered in lots, and if multiple
deliveries of the same feedstock are
received from the same supply source in
a given calendar month, only one
representative sample is required.
Alternatively, you may use the results of
analyses conducted by a fuel or
feedstock supplier, provided the
sampling and analysis is conducted at
least once per month using any of the
procedures specified in § 98.244(b)(4).
*
*
*
*
*
(5) * * *
(i) * * *
MVC = Molar volume conversion factor
(849.5 scf per kg-mole at 68 °F and 14.7
pounds per square inch absolute or 836.6
scf/kg-mole at 60 °F and 14.7 pounds per
square inch absolute).
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(d) Optional combustion methodology
for ethylene production processes. For
each ethylene production process,
calculate GHG emissions from
combustion units that burn fuel that
contains any off-gas from the ethylene
process as specified in paragraphs (d)(1)
through (d)(5) of this section.
(1) Except as specified in paragraphs
(d)(2) and (d)(5) of this section, calculate
CO2 emissions using the Tier 3 or Tier
4 methodology in subpart C of this part.
(2) You may use either Equation C–1
or Equation C–2a in subpart C of this
part to calculate CO2 emissions from
combustion of any ethylene process offgas streams that meet either of the
conditions in paragraphs (d)(2)(i) or
(d)(2)(ii) of this section (for any default
values in the calculation, use the
defaults for fuel gas in Table C–1 of
subpart C of this part). Follow the
otherwise applicable procedures in
subpart C to calculate emissions from
combustion of all other fuels in the
combustion unit.
(i) The annual average flow rate of
fuel gas (that contains ethylene process
off-gas) in the fuel gas line to the
combustion unit, prior to any split to
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Jkt 223001
individual burners or ports, does not
exceed 345 standard cubic feet per
minute at 60 °F and 14.7 pounds per
square inch absolute, and a flow meter
is not installed at any point in the line
supplying fuel gas or an upstream
common pipe. Calculate the annual
average flow rate using company
records assuming total flow is evenly
distributed over 525,600 minutes per
year.
(ii) The combustion unit has a
maximum rated heat input capacity of
less than 30 mmBtu/hr, and a flow
meter is not installed at any point in the
line supplying fuel gas (that contains
ethylene process off-gas) or an upstream
common pipe.
(3) Except as specified in paragraph
(d)(5) of this section, calculate CH4 and
N2O emissions using the applicable
procedures in § 98.33(c) for the same
tier methodology that you used for
calculating CO2 emissions.
(i) For all gaseous fuels that contain
ethylene process off-gas, use the
emission factors for ‘‘Petroleum’’ in
Table C–2 of subpart C of this part
(General Stationary Fuel Combustion
Sources).
(ii) For Tier 3, use either the default
high heat value for fuel gas in Table C–
1 of subpart C of this part or a calculated
HHV, as allowed in Equation C–8 of
subpart C of this part.
(4) You are not required to use the
same Tier for each stationary
combustion unit that burns ethylene
process off-gas.
(5) For each flare, calculate CO2, CH4,
and N2O emissions using the
methodology specified in
§§ 98.253(b)(1) through (b)(3).
■ 37. Section 98.244 is amended by
revising paragraphs (b)(1) through (b)(3),
(b)(4) introductory text, and (b)(4)(viii);
and by adding paragraphs (b)(4)(xi)
through (b)(4)(xv) to read as follows:
§ 98.244 Monitoring and QA/QC
requirements.
*
*
*
*
*
(b) * * *
(1) Operate, maintain, and calibrate
belt scales or other weighing devices as
described in Specifications, Tolerances,
and Other Technical Requirements for
Weighing and Measuring Devices NIST
Handbook 44 (2009) (incorporated by
reference, see § 98.7), or follow
procedures specified by the
measurement device manufacturer. You
must recalibrate each weighing device
according to one of the following
frequencies. You may recalibrate either
at the minimum frequency specified by
the manufacturer or biennially (i.e.,
once every two years).
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(2) Operate and maintain all flow
meters used for gas and liquid
feedstocks and products according to
the manufacturer’s recommended
procedures. You must calibrate each of
these flow meters as specified in
paragraphs (b)(2)(i) and (b)(2)(ii) of this
section:
(i) You may use either the calibration
methods specified by the flow meter
manufacturer or an industry consensus
standard method. Each flow meter must
meet the applicable accuracy
specification in § 98.3(i), except as
otherwise specified in §§ 98.3(i)(4)
through (i)(6).
(ii) You must recalibrate each flow
meter according to one of the following
frequencies. You may recalibrate at the
minimum frequency specified by the
manufacturer, biennially (every two
years), or at the interval specified by the
industry consensus standard practice
used.
(3) You must perform tank level
measurements (if used to determine
feedstock or product flows) according to
one of the following methods. You may
use any standard method published by
a consensus-based standards
organization or you may use an industry
standard practice. Consensus-based
standards organizations include, but are
not limited to, the following: ASTM
International (100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org), the
American National Standards Institute
(ANSI, 1819 L Street, NW., 6th Floor,
Washington, DC 20036, (202) 293–8020,
https://www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org,)
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
(4) Beginning January 1, 2010, use any
applicable methods specified in
paragraphs (b)(4)(i) through (b)(4)(xiv) of
this section to determine the carbon
content or composition of feedstocks
and products and the average molecular
weight of gaseous feedstocks and
products. Calibrate instruments in
accordance with paragraphs (b)(4)(i)
through (b)(4)(xvi), as applicable. For
coal used as a feedstock, the samples for
carbon content determinations shall be
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taken at a location that is representative
of the coal feedstock used during the
corresponding monthly period. For
carbon black products, samples shall be
taken of each grade or type of product
produced during the monthly period.
Samples of coal feedstock or carbon
black product for carbon content
determinations may be either grab
samples collected and analyzed
monthly or a composite of samples
collected more frequently and analyzed
monthly. Analyses conducted in
accordance with methods specified in
paragraphs (b)(4)(i) through (b)(4)(xv) of
this section may be performed by the
owner or operator, by an independent
laboratory, or by the supplier of a
feedstock.
*
*
*
*
*
(viii) Method 8015C, Method 8021B,
Method 8031, or Method 9060A (all
incorporated by reference, see § 98.7).
*
*
*
*
*
(xi) ASTM D2593–93 (Reapproved
2009) Standard Test Method for
Butadiene Purity and Hydrocarbon
Impurities by Gas Chromatography
(incorporated by reference, see § 98.7).
(xii) ASTM D7633–10 Standard Test
Method for Carbon Black—Carbon
Content (incorporated by reference, see
§ 98.7).
(xiii) The results of chromatographic
analysis of a feedstock or product,
provided that the gas chromatograph is
operated, maintained, and calibrated
according to the manufacturer’s
instructions.
(xiv) The carbon content results of
mass spectrometer analysis of a
feedstock or product, provided that the
mass spectrometer is operated,
maintained, and calibrated according to
the manufacturer’s instructions.
(xv) Beginning on January 1, 2010, the
methods specified in paragraphs
(b)(4)(xv)(A) and (B) of this section may
be used as alternatives for the methods
specified in paragraphs (b)(4)(i) through
(b)(4)(xiv) of this section.
(A) An industry standard practice for
carbon black feedstock oils and carbon
black products.
(B) Modifications of existing
analytical methods or other methods
that are applicable to your process
provided that the methods listed in
paragraphs (b)(4)(i) through (b)(4)(xiv) of
this section are not appropriate because
the relevant compounds cannot be
detected, the quality control
requirements are not technically
feasible, or use of the method would be
unsafe.
■ 38. Section 98.246 is amended by:
■ a. Revising paragraphs (a)
introductory text and (a)(4).
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b. Removing and reserving paragraph
(a)(7).
■ c. Revising paragraph (a)(10).
■ d. Adding paragraph (a)(11).
■ e. Revising paragraphs (b)
introductory text, and (b)(1) through
(b)(5).
■ f. Revising paragraph (c).
■
§ 98.246
Data reporting requirements.
*
*
*
*
*
(a) If you use the mass balance
methodology in § 98.243(c), you must
report the information specified in
paragraphs (a)(1) through (a)(11) of this
section for each type of petrochemical
produced, reported by process unit.
*
*
*
*
*
(4) Each of the monthly volume, mass,
and carbon content values used in
Equations X–1 through X–3 of this
subpart (i.e., the directly measured
values, substitute values, or the
calculated values based on other
measured data such as tank levels or gas
composition) and the molecular weights
for gaseous feedstocks and products
used in Equation X–1 of this subpart,
and the temperature (in °F) at which the
gaseous feedstock and product volumes
used in Equation X–1 of this subpart
were determined. Indicate whether you
used the alternative to sampling and
analysis specified in § 98.243(c)(4).
*
*
*
*
*
(10) You may elect to report the flow
and carbon content of wastewater, and
you may elect to report the annual mass
of carbon released in fugitive emissions
and in process vents that are not
controlled with a combustion device.
These values may be estimated based on
engineering analyses. These values are
not to be used in the mass balance
calculation.
(11) If you determine carbon content
or composition of a feedstock or product
using a method under
§ 98.244(b)(4)(xv)(B), report the
information listed in paragraphs
(a)(11)(i) through (a)(11)(iv) of this
section. Include the information in
paragraph (a)(11)(i) of this section in
each annual report. Include the
information in paragraphs (a)(11)(ii) and
(a)(11)(iii) of this section only in the
first applicable annual report, and
provide any changes to this information
in subsequent annual reports.
(i) Name or title of the analytical
method.
(ii) A copy of the method. If the
method is a modification of a method
listed in §§ 98.244(b)(4)(i) through (xiv),
you may provide a copy of only the
sections that differ from the listed
method.
(iii) An explanation of why an
alternative to the methods listed in
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79159
§§ 98.244(b)(4)(i) through (xii) is
needed.
(b) If you measure emissions in
accordance with § 98.243(b), then you
must report the information listed in
paragraphs (b)(1) through (b)(8) of this
section.
(1) The petrochemical process unit ID
or other appropriate descriptor, and the
type of petrochemical produced.
(2) For CEMS used on stacks for
stationary combustion units, report the
relevant information required under
§ 98.36 for the Tier 4 calculation
methodology. Section 98.36(b)(9)(iii)
does not apply for the purposes of this
subpart.
(3) For CEMS used on stacks that are
not used for stationary combustion
units, report the information required
under § 98.36(e)(2)(vi).
(4) The CO2 emissions from each stack
and the combined CO2 emissions from
all stacks (except flare stacks) that
handle process vent emissions and
emissions from stationary combustion
units that burn process off-gas for the
petrochemical process unit. For each
stationary combustion unit (or group of
combustion units monitored with a
single CO2 CEMS) that burns
petrochemical process off-gas, provide
an estimate based on engineering
judgment of the fraction of the total
emissions that is attributable to
combustion of off-gas from the
petrochemical process unit.
(5) For stationary combustion units
that burn process off-gas from the
petrochemical process unit, report the
information related to CH4 and N2O
emissions as specified in paragraphs
(b)(5)(i) through (b)(5)(iv) of this section.
(i) The CH4 and N2O emissions from
each stack that is monitored with a CO2
CEMS, expressed in metric tons of each
gas and in metric tons of CO2e. For each
stack provide an estimate based on
engineering judgment of the fraction of
the total emissions that is attributable to
combustion of off-gas from the
petrochemical process unit.
(ii) The combined CH4 and N2O
emissions from all stationary
combustion units, expressed in metric
tons of each gas and in metric tons of
CO2e.
(iii) The quantity of each type of fuel
used in Equation C–8 in § 98.33(c) for
each stationary combustion unit or
group of units (as applicable) during the
reporting year, expressed in short tons
for solid fuels, gallons for liquid fuels,
and scf for gaseous fuels.
(iv) The HHV (either default or annual
average from measured data) used in
Equation C–8 in § 98.33(c) for each
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stationary combustion unit or group of
combustion units (as applicable).
*
*
*
*
*
(c) If you comply with the combustion
methodology specified in § 98.243(d),
you must report under this subpart the
information listed in paragraphs (c)(1)
through (c)(5) of this section.
(1) The ethylene process unit ID or
other appropriate descriptor.
(2) For each stationary combustion
unit that burns ethylene process off-gas
(or group of stationary sources with a
common pipe), except flares, the
relevant information listed in § 98.36 for
the applicable Tier methodology. For
each stationary combustion unit or
group of units (as applicable) that burns
ethylene process off-gas, provide an
estimate based on engineering judgment
of the fraction of the total emissions that
is attributable to combustion of off-gas
from the ethylene process unit.
(3) Information listed in § 98.256(e) of
subpart Y of this part for each flare that
burns ethylene process off-gas.
(4) Name and annual quantity of each
feedstock.
(5) Annual quantity of ethylene
produced from each process unit (metric
tons).
■ 39. Section 98.247 is amended by:
■ a. Revising paragraph (a).
■ b. Adding paragraph (b)(4).
■ c. Revising paragraph (c).
§ 98.247
Records that must be retained.
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(a) If you comply with the CEMS
measurement methodology in
§ 98.243(b), then you must retain under
this subpart the records required for the
Tier 4 Calculation Methodology in
§ 98.37, records of the procedures used
to develop estimates of the fraction of
total emissions attributable to
combustion of petrochemical process
off-gas as required in § 98.246(b), and
records of any annual average HHV
calculations.
(b) * * *
(4) The dates and results (e.g., percent
calibration error) of the calibrations of
each measurement device.
(c) If you comply with the combustion
methodology in § 98.243(d), then you
must retain under this subpart the
records required for the applicable Tier
Calculation Methodologies in § 98.37. If
you comply with § 98.243(d)(2), you
must also keep records of the annual
average flow calculations.
Subpart Y—[Amended]
40. Section 98.252 is amended by
revising paragraph (a) and the first
sentence of paragraph (i) to read as
follows:
■
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§ 98.252
GHGs to report.
*
*
*
*
*
(a) CO2, CH4, and N2O combustion
emissions from stationary combustion
units and from each flare. Calculate and
report the emissions from stationary
combustion units under subpart C of
this part (General Stationary Fuel
Combustion Sources) by following the
requirements of subpart C, except for
emissions from combustion of fuel gas.
For CO2 emissions from combustion of
fuel gas, use either Equation C–5 in
subpart C of this part or the Tier 4
methodology in subpart C of this part,
unless either of the conditions in
paragraphs (a)(1) or (2) of this section
are met, in which case use either
Equations C–1 or C–2a in subpart C of
this part. For CH4 and N2O emissions
from combustion of fuel gas, use the
applicable procedures in § 98.33(c) for
the same tier methodology that was
used for calculating CO2 emissions. (Use
the default CH4 and N2O emission
factors for ‘‘Petroleum (All fuel types in
Table C–1)’’ in Table C–2 of this part.
For Tier 3, use either the default high
heat value for fuel gas in Table C–1 of
subpart C of this part or a calculated
HHV, as allowed in Equation C–8 of
subpart C of this part.) You may
aggregate units, monitor common stacks,
or monitor common (fuel) pipes as
provided in § 98.36(c) when calculating
and reporting emissions from stationary
combustion units. Calculate and report
the emissions from flares under this
subpart.
(1) The annual average fuel gas flow
rate in the fuel gas line to the
combustion unit, prior to any split to
individual burners or ports, does not
exceed 345 standard cubic feet per
minute at 60 °F and 14.7 pounds per
square inch absolute and either of the
conditions in paragraph (a)(1)(i) or (ii) of
this section exist. Calculate the annual
average flow rate using company
records assuming total flow is evenly
distributed over 525,600 minutes per
year.
(i) A flow meter is not installed at any
point in the line supplying fuel gas or
an upstream common pipe.
(ii) The fuel gas line contains only
vapors from loading or unloading, waste
or wastewater handling, and
remediation activities that are
combusted in a thermal oxidizer or
thermal incinerator.
(2) The combustion unit has a
maximum rated heat input capacity of
less than 30 mmBtu/hr and either of the
following conditions exist:
(i) A flow meter is not installed at any
point in the line supplying fuel gas or
an upstream common pipe; or
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(ii) The fuel gas line contains only
vapors from loading or unloading, waste
or wastewater handling, and
remediation activities that are
combusted in a thermal oxidizer or
thermal incinerator.
*
*
*
*
*
(i) CO2 emissions from non-merchant
hydrogen production process units (not
including hydrogen produced from
catalytic reforming units) under this
subpart. * * *
■ 41. Section 98.253 is amended by:
■ a. Revising paragraph (b)(1)(ii)(A).
■ b. Revising the definition of ‘‘(Flare)p’’
in Equation Y–2 in paragraph
(b)(1)(ii)(B).
■ c. Revising the definition of ‘‘MVC’’ in
Equation Y–3 in paragraph (b)(1)(iii)(C).
■ d. Revising paragraph (c)(1)(ii).
■ e. Revising the definition of ‘‘MVC’’ in
Equation Y–6 in paragraph (c)(2)(i).
■ f. Revising paragraph (c)(2)(ii).
■ g. Revising the definitions of ‘‘CBQ’’
and ‘‘n’’ in Equation Y–11 in paragraph
(e)(3).
■ h. Revising the first sentence of
paragraph (f) introductory text and the
last sentence of paragraph (f)(1).
■ i. Revising the definition of ‘‘MVC’’ in
Equation Y–12 in paragraph (f)(4).
■ j. Revising the definition of ‘‘Mdust’’ in
Equation Y–13 in paragraph (g)(2).
■ k. Revising paragraphs (h)
introductory text and (h)(2).
■ l. In paragraph (i)(1), revising the first
two sentences and the definition of
‘‘MVC’’ in Equation Y–18.
■ m. In paragraph (j), revising the first
two sentences; and revising the
definitions of ‘‘(VR)p,’’ ‘‘(MFx)p,’’ and
‘‘MVC’’ in Equation Y–19.
■ n. In paragraph (k), revising the first
sentence and the definition of ‘‘MVC’’ in
Equation Y–20.
■ o. Revising paragraph (m)
introductory text.
■ p. Revising the only sentence of
paragraph (m)(1).
■ p. Revising the definitions of ‘‘MFCH4’’
and ‘‘MVC’’ in Equation Y–23 in
paragraph (m)(2).
■ q. Revising paragraph (n).
§ 98.253
Calculating GHG emissions.
*
*
*
*
*
(b) * * *
(1) * * *
(ii) * * *
(A) If you monitor gas composition,
calculate the CO2 emissions from the
flare using either Equation Y–1a or
Equation Y–1b of this section. If daily or
more frequent measurement data are
available, you must use daily values
when using Equation Y–1a or Equation
Y–1b of this section; otherwise, use
weekly values.
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79161
44 = Molecular weight of CO2 (kg/kg-mole).
12 = Atomic weight of C (kg/kg-mole).
(Flare)p = Volume of flare gas combusted
during measurement period (standard
cubic feet per period, scf/period). If a
mass flow meter is used, measure flare
gas flow rate in kg/period and replace
the term ‘‘(MW)p/MVC’’ with ‘‘1’’.
(MW)p = Average molecular weight of the
flare gas combusted during measurement
period (kg/kg-mole). If measurements are
taken more frequently than daily, use the
arithmetic average of measurement
values within the day to calculate a daily
average.
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7
pounds per square inch absolute (psia) or
836.6 scf/kg-mole at 60 °F and 14.7 psia).
(CC)p = Average carbon content of the flare
gas combusted during measurement
period (kg C per kg flare gas). If
measurements are taken more frequently
than daily, use the arithmetic average of
measurement values within the day to
calculate a daily average.
Where:
CO2 = Annual CO2 emissions for a specific
fuel type (metric tons/year).
n = Number of measurement periods. The
minimum value for n is 52 (for weekly
measurements); the maximum value for
n is 366 (for daily measurements during
a leap year).
p = Measurement period index.
(Flare)p = Volume of flare gas combusted
during measurement period (standard
cubic feet per period, scf/period). If a
mass flow meter is used, you must
determine the average molecular weight
of the flare gas during the measurement
period and convert the mass flow to a
volumetric flow.
44 = Molecular weight of CO2 (kg/kg-mole).
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
0.001 = Unit conversion factor (metric tons
per kilogram, mt/kg).
(%CO2)p = Mole percent CO2 concentration
in the flare gas stream during the
measurement period (mole percent =
percent by volume).
y = Number of carbon-containing compounds
other than CO2 in the flare gas stream.
x = Index for carbon-containing compounds
other than CO2.
0.98 = Assumed combustion efficiency of a
flare (mole CO2 per mole carbon).
(%Cx)p = Mole percent concentration of
compound ‘‘x’’ in the flare gas stream
during the measurement period (mole
percent = percent by volume)
CMNx = Carbon mole number of compound
‘‘x’’ in the flare gas stream (mole carbon
atoms per mole compound). E.g., CMN
for ethane (C2H6) is 2; CMN for propane
(C3H8) is 3.
(ii) For catalytic cracking units whose
process emissions are discharged
through a combined stack with other
CO2 emissions (e.g., co-mingled with
emissions from a CO boiler) you must
also calculate the other CO2 emissions
using the applicable methods for the
applicable subpart (e.g., subpart C of
this part in the case of a CO boiler).
Calculate the process emissions from
the catalytic cracking unit or fluid
coking unit as the difference in the CO2
CEMS emissions and the calculated
emissions associated with the additional
units discharging through the combined
stack.
(2) * * *
(i) * * *
Where:
Qr = Volumetric flow rate of exhaust gas from
the fluid catalytic cracking unit
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*
*
(iii) * * *
(C) * * *
*
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
*
*
*
(c) * * *
(1) * * *
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*
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(ii) Either continuously monitor the
volumetric flow rate of exhaust gas from
the fluid catalytic cracking unit
regenerator or fluid coking unit burner
prior to the combustion of other fossil
fuels or calculate the volumetric flow
rate of this exhaust gas stream using
either Equation Y–7a or Equation Y–7b
of this section.
regenerator or fluid coking unit burner
E:\FR\FM\17DER2.SGM
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ER17DE10.007
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
ER17DE10.006
(B) * * *
(Flare)p = Volume of flare gas combusted
during measurement period (million
(MM) scf/period). If a mass flow meter is
used, you must also measure molecular
weight and convert the mass flow to a
volumetric flow as follows: Flare[MMscf]
= 0.000001 × Flare[kg] × MVC/(MW)p,
where MVC is the molar volume
conversion factor [849.5 scf/kg-mole at
68 °F and 14.7 psia or 836.6 scf/kg-mole
at 60 °F and 14.7 psia depending on the
standard conditions used when
determining (HHV)p] and (MW)p is the
average molecular weight of the flare gas
combusted during measurement period
(kg/kg-mole).
ER17DE10.005
srobinson on DSKHWCL6B1PROD with RULES2
Where:
CO2 = Annual CO2 emissions for a specific
fuel type (metric tons/year).
0.98 = Assumed combustion efficiency of a
flare.
0.001 = Unit conversion factor (metric tons
per kilogram, mt/kg).
n = Number of measurement periods. The
minimum value for n is 52 (for weekly
measurements); the maximum value for
n is 366 (for daily measurements during
a leap year).
p = Measurement period index.
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
the fluid catalytic cracking unit
regenerator or fluid coking unit burner
(percent by volume—dry basis).
%Ooxy = O2 concentration in oxygen enriched
gas stream inlet to the fluid catalytic
cracking unit regenerator or fluid coking
unit burner based on oxygen purity
specifications of the oxygen supply used
for enrichment (percent by volume—dry
basis).
%CO2 = Hourly average percent CO2
concentration in the exhaust gas stream
from the fluid catalytic cracking unit
Where:
n = Number of regeneration cycles or
measurement periods in the calendar
year.
Qr = Volumetric flow rate of exhaust gas from
the fluid catalytic cracking unit
regenerator or fluid coking unit burner
prior to the combustion of other fossil
fuels (dscfh).
Qa = Volumetric flow rate of air to the fluid
catalytic cracking unit regenerator or
fluid coking unit burner, as determined
from control room instrumentation
(dscfh).
Qoxy = Volumetric flow rate of oxygen
enriched air to the fluid catalytic
cracking unit regenerator or fluid coking
unit burner as determined from control
room instrumentation (dscfh).
%N2,oxy = N2 concentration in oxygen
enriched gas stream inlet to the fluid
catalytic cracking unit regenerator or
fluid coking unit burner based on
measured value or maximum N2
impurity specifications of the oxygen
supply used for enrichment (percent by
volume—dry basis).
%N2,exhaust = Hourly average percent N2
concentration in the exhaust gas stream
from the fluid catalytic cracking unit
regenerator or fluid coking unit burner
(percent by volume—dry basis).
*
*
*
(e) * * *
(3) * * *
*
*
srobinson on DSKHWCL6B1PROD with RULES2
*
Where:
CO2 = Annual CO2 emissions from controlled
asphalt blowing (metric tons CO2/year).
0.98 = Assumed combustion efficiency of
thermal oxidizer or flare.
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*
*
*
*
(f) For on-site sulfur recovery plants
and for sour gas sent off site for sulfur
recovery, calculate and report CO2
process emissions from sulfur recovery
plants according to the requirements in
paragraphs (f)(1) through (f)(5) of this
section, or, for non-Claus sulfur
recovery plants, according to the
requirements in paragraph (j) of this
section regardless of the concentration
of CO2 in the vented gas stream. * * *
(1) * * * Other sulfur recovery plants
must either install a CEMS that
complies with the Tier 4 Calculation
Methodology in subpart C, or follow the
requirements of paragraphs (f)(2)
through (f)(5) of this section, or (for nonClaus sulfur recovery plants only)
follow the requirements in paragraph (j)
of this section to determine CO2
emissions for the sulfur recovery plant.
*
*
*
*
*
(4) * * *
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
CBQ = Coke burn-off quantity per
regeneration cycle or measurement
period from engineering estimates (kg
coke/cycle or kg coke/measurement
period).
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*
*
*
(g) * * *
*
*
QAB = Quantity of asphalt blown (MMbbl/
year).
CEFAB = Carbon emission factor from asphalt
blowing from facility-specific test data
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regenerator or fluid coking unit burner
(percent by volume—dry basis).
%CO = Hourly average percent CO
concentration in the exhaust gas stream
from the fluid catalytic cracking unit
regenerator or fluid coking unit burner
(percent by volume—dry basis). When
no auxiliary fuel is burned and a
continuous CO monitor is not required
under 40 CFR part 63 subpart UUU,
assume %CO to be zero.
(2) * * *
Mdust = Annual mass of petroleum coke dust
removed from the process through the
dust collection system of the coke
calcining unit from facility records
(metric ton petroleum coke dust/year).
For coke calcining units that recycle the
collected dust, the mass of coke dust
removed from the process is the mass of
coke dust collected less the mass of coke
dust recycled to the process.
*
*
*
*
*
(h) For asphalt blowing operations,
calculate CO2 and CH4 emissions
according to the requirements in
paragraph (j) of this section regardless of
the CO2 and CH4 concentrations or
according to the applicable provisions
in paragraphs (h)(1) and (h)(2) of this
section.
*
*
*
*
*
(2) For asphalt blowing operations
controlled by thermal oxidizer or flare,
calculate CO2 using either Equation Y–
16a or Equation Y–16b of this section
and calculate CH4 emissions using
Equation Y–17 of this section, provided
these emissions are not already
included in the flare emissions
calculated in paragraph (b) of this
section or in the stationary combustion
unit emissions required under subpart C
of this part (General Stationary Fuel
Combustion Sources).
(metric tons C/MMbbl asphalt blown);
default = 2,750.
44 = Molecular weight of CO2 (kg/kg-mole).
12 = Atomic weight of C (kg/kg-mole).
E:\FR\FM\17DER2.SGM
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ER17DE10.009
prior to the combustion of other fossil
fuels (dscfh).
Qa = Volumetric flow rate of air to the fluid
catalytic cracking unit regenerator or
fluid coking unit burner, as determined
from control room instrumentation
(dscfh).
Qoxy = Volumetric flow rate of oxygen
enriched air to the fluid catalytic
cracking unit regenerator or fluid coking
unit burner as determined from control
room instrumentation (dscfh).
%O2 = Hourly average percent oxygen
concentration in exhaust gas stream from
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Where:
methane is used as the purge gas or if
you elected this method as an
alternative to the methods in paragraphs
(f), (h), or (k) of this section.
*
*
*
*
*
CH4 = Annual methane emissions from
controlled asphalt blowing (metric tons
CH4/year).
0.02 = Fraction of methane uncombusted in
thermal oxidizer or flare based on
assumed 98% combustion efficiency.
QAB = Quantity of asphalt blown (million
barrels per year, MMbbl/year).
EFAB,CH4 = Emission factor for CH4 from
uncontrolled asphalt blowing from
facility-specific test data (metric tons
CH4/MMbbl asphalt blown); default =
580.
(i) * * *
(1) Use the process vent method in
paragraph (j) of this section to calculate
the CH4 emissions from the
depressurization of the coke drum or
vessel regardless of the CH4
concentration and also calculate the CH4
emissions from the subsequent opening
of the vessel for coke cutting operations
using Equation Y–18 of this section. If
you have coke drums or vessels of
different dimensions, use the process
vent method in paragraph (j) of this
section and Equation Y–18 for each set
of coke drums or vessels of the same
size and sum the resultant emissions
across each set of coke drums or vessels
to calculate the CH4 emissions for all
delayed coking units.
*
*
*
*
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
srobinson on DSKHWCL6B1PROD with RULES2
*
*
*
*
*
(j) For each process vent not covered
in paragraphs (a) through (i) of this
section that can reasonably be expected
to contain greater than 2 percent by
volume CO2 or greater than 0.5 percent
by volume of CH4 or greater than 0.01
percent by volume (100 parts per
million) of N2O, calculate GHG
emissions using the Equation Y–19 of
this section. You must use Equation Y–
19 of this section to calculate CH4
emissions for catalytic reforming unit
depressurization and purge vents when
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(VR)p = Average volumetric flow rate of
process gas during the event (scf per
hour) from measurement data, process
knowledge, or engineering estimates.
(MFx)p = Mole fraction of GHG x in process
vent during the event (kg-mol of GHG x/
kg-mol vent gas) from measurement data,
process knowledge, or engineering
estimates.
*
*
*
*
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
*
*
*
*
*
(k) For uncontrolled blowdown
systems, you must calculate CH4
emissions either using the methods for
process vents in paragraph (j) of this
section regardless of the CH4
concentration or using Equation Y20 of
this section. * * *
*
*
*
*
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
*
*
*
*
*
(m) For storage tanks, except as
provided in paragraph (m)(4) of this
section, calculate CH4 emissions using
the applicable methods in paragraphs
(m)(1) through (m)(3) of this section.
(1) For storage tanks other than those
processing unstabilized crude oil, you
must either calculate CH4 emissions
from storage tanks that have a vaporphase methane concentration of 0.5
volume percent or more using tankspecific methane composition data
(from measurement data or product
knowledge) and the emission estimation
methods provided in AP 42, Section 7.1
(incorporated by reference, see § 98.7) or
estimate CH4 emissions from storage
tanks using Equation Y–22 of this
section.
*
*
*
*
*
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CEFAB = Carbon emission factor from asphalt
blowing from facility-specific test data
(metric tons C/MMbbl asphalt blown);
default = 2,750.
44 = Molecular weight of CO2 (kg/kg-mole).
12 = Atomic weight of C (kg/kg-mole).
(2) * * *
MFCH4 = Average mole fraction of CH4 in
vent gas from the unstabilized crude oil
storage tanks from facility measurements
(kg-mole CH4/kg-mole gas); use 0.27 as a
default if measurement data are not
available.
*
*
*
*
*
MVC = Molar volume conversion factor
(849.5 scf/kg-mole at 68 °F and 14.7 psia
or 836.6 scf/kg-mole at 60 °F and 14.7
psia).
*
*
*
*
*
(n) For crude oil, intermediate, or
product loading operations for which
the vapor-phase concentration of
methane is 0.5 volume percent or more,
calculate CH4 emissions from loading
operations using vapor-phase methane
composition data (from measurement
data or process knowledge) and the
emission estimation procedures
provided in AP 42, Section 5.2
(incorporated by reference, see § 98.7).
For loading operations in which the
vapor-phase concentration of methane is
less than 0.5 volume percent, you may
assume zero methane emissions.
■ 42. Section 98.254 is amended by:
■ a. Revising paragraph (a).
■ b. Revising paragraph (b).
■ c. Revising paragraph (c).
■ d. Revising paragraph (d) introductory
text.
■ e. Adding paragraph (d)(6).
■ f. Revising paragraph (e) introductory
text.
■ g. Revising paragraph (f) introductory
text and (f)(1).
■ h. Removing and reserving paragraph
(f)(2).
■ i. Removing paragraph (f)(4).
■ j. Revising paragraph (g).
■ k. Revising the second sentence of
paragraph (h).
■ l. Removing paragraph (l).
§ 98.254 Monitoring and QA/QC
requirements.
(a) Fuel flow meters, gas composition
monitors, and heating value monitors
that are associated with sources that use
a CEMS to measure CO2 emissions
E:\FR\FM\17DER2.SGM
17DER2
ER17DE10.011
0.98 = Assumed combustion efficiency of
thermal oxidizer or flare.
EFAB,CO2 = Emission factor for CO2 from
uncontrolled asphalt blowing from
facility-specific test data (metric tons
CO2/MMbbl asphalt blown); default =
1,100.
ER17DE10.010
Where:
CO2 = Annual CO2 emissions from controlled
asphalt blowing (metric tons CO2/year).
QAB = Quantity of asphalt blown (MMbbl/
year).
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
according to subpart C of this part or
that are associated with stationary
combustion sources must meet the
applicable monitoring and QA/QC
requirements in § 98.34.
(b) All gas flow meters, gas
composition monitors, and heating
value monitors that are used to provide
data for the GHG emissions calculations
in this subpart for sources other than
those subject to the requirements in
paragraph (a) of this section shall be
calibrated according to the procedures
specified by the manufacturer, or
according to the procedures in the
applicable methods specified in
paragraphs (c) through (g) of this
section. In the case of gas flow meters,
all gas flow meters must meet the
calibration accuracy requirements in
§ 98.3(i). All gas flow meters, gas
composition monitors, and heating
value monitors must be recalibrated at
the applicable frequency specified in
paragraph (b)(1) or (b)(2) of this section.
(1) You must recalibrate each gas flow
meter according to one of the following
frequencies. You may recalibrate at the
minimum frequency specified by the
manufacturer, biennially (every two
years), or at the interval specified by the
industry consensus standard practice
used.
(2) You must recalibrate each gas
composition monitor and heating value
monitor according to one of the
following frequencies. You may
recalibrate at the minimum frequency
specified by the manufacturer, annually,
or at the interval specified by the
industry standard practice used.
(c) For flare or sour gas flow meters
and gas flow meters used to comply
with the requirements in § 98.253(j),
operate, calibrate, and maintain the flow
meter according to one of the following.
You may use the procedures specified
by the flow meter manufacturer, or a
method published by a consensus-based
standards organization. Consensusbased standards organizations include,
but are not limited to, the following:
ASTM International (100 Barr Harbor
Drive, P.O. Box CB700, West
Conshohocken, Pennsylvania 19428–
B2959, (800) 262–1373, https://
www.astm.org), the American National
Standards Institute (ANSI, 1819 L
Street, NW., 6th floor, Washington, DC
20036, (202) 293–8020, https://
www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
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17:17 Dec 16, 2010
Jkt 223001
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
(d) Except as provided in paragraph
(g) of this section, determine gas
composition and, if required, average
molecular weight of the gas using any of
the following methods. Alternatively,
the results of chromatographic analysis
of the fuel may be used, provided that
the gas chromatograph is operated,
maintained, and calibrated according to
the manufacturer’s instructions; and the
methods used for operation,
maintenance, and calibration of the gas
chromatograph are documented in the
written Monitoring Plan for the unit
under § 98.3(g)(5).
*
*
*
*
*
(6) ASTM D2503–92 (Reapproved
2007) Standard Test Method for Relative
Molecular Mass (Molecular Weight) of
Hydrocarbons by Thermoelectric
Measurement of Vapor Pressure
(incorporated by reference, see § 98.7).
(e) Determine flare gas higher heating
value using any of the following
methods. Alternatively, the results of
chromatographic analysis of the fuel
may be used, provided that the gas
chromatograph is operated, maintained,
and calibrated according to the
manufacturer’s instructions; and the
methods used for operation,
maintenance, and calibration of the gas
chromatograph are documented in the
written Monitoring Plan for the unit
under § 98.3(g)(5).
*
*
*
*
*
(f) For gas flow meters used to comply
with the requirements in
§ 98.253(c)(2)(ii), install, operate,
calibrate, and maintain each gas flow
meter according to the requirements in
40 CFR 63.1572(c) and the following
requirements.
(1) Locate the flow monitor at a site
that provides representative flow rates.
Avoid locations where there is swirling
flow or abnormal velocity distributions
due to upstream and downstream
disturbances.
*
*
*
*
*
(g) For exhaust gas CO2/CO/O2
composition monitors used to comply
with the requirements in § 98.253(c)(2),
install, operate, calibrate, and maintain
exhaust gas composition monitors
according to the requirements in 40 CFR
60.105a(b)(2) or 40 CFR 63.1572(c) or
according to the manufacturer’s
specifications and requirements.
(h) * * * Calibrate the measurement
device according to the procedures
PO 00000
Frm 00074
Fmt 4701
Sfmt 4700
specified by NIST handbook 44
(incorporated by reference, see § 98.7) or
the procedures specified by the
manufacturer. * * *
*
*
*
*
*
■ 43. Section 98.256 is amended by:
■ a. Revising paragraph (e)(6).
■ b. Redesignating paragraphs (e)(7)
through (e)(9) as (e)(8) through (e)(10),
respectively.
■ c. Adding paragraph (e)(7).
■ d. Revising newly designated
paragraphs (e)(8) and (e)(9).
■ e. Revising paragraphs (f)(6) through
(f)(8).
■ f. Redesignating paragraphs (f)(9)
through (f)(12) as (f)(10) through (f)(13),
respectively.
■ g. Adding paragraph (f)(9).
■ h. Revising newly designated
paragraphs (f)(11) through (f)(13).
■ i. Revising paragraphs (g)(5), (h)(2),
and (h)(4), and the first sentence of
paragraph (h)(6).
■ j. Adding paragraph (h)(7).
■ k. Revising paragraphs (i)(5), (i)(6),
(i)(8), and (j)(2).
■ l. Redesignating paragraph (j)(8) as
(j)(9).
■ m. Adding paragraph (j)(8).
■ n. Revising paragraphs (k)(1), (k)(3), (l)
introductory text, (l)(5), and (m).
■ o. Revising paragraphs (o)(1) through
(o)(4).
§ 98.256
Data reporting requirements.
*
*
*
*
*
(e) * * *
(6) If you use Equation Y–1a of this
subpart, an indication of whether daily
or weekly measurement periods are
used, the annual volume of flare gas
combusted (in scf/year) and the annual
average molecular weight (in kg/kgmole), the molar volume conversion
factor (in scf/kg-mole), and annual
average carbon content of the flare gas
(in kg carbon per kg flare gas).
(7) If you use Equation Y–1b of this
subpart, an indication of whether daily
or weekly measurement periods are
used, the annual volume of flare gas
combusted (in scf/year), the molar
volume conversion factor (in scf/kgmole), the annual average CO2
concentration (volume or mole percent),
the number of carbon containing
compounds other than CO2 in the flare
gas stream, and for each of the carbon
containing compounds other than CO2
in the flare gas stream:
(i) The annual average concentration
of the compound (volume or mole
percent).
(ii) The carbon mole number of the
compound (moles carbon per mole
compound).
(8) If you use Equation Y–2 of this
subpart, an indication of whether daily
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
or weekly measurement periods are
used, the annual volume of flare gas
combusted (in million (MM) scf/year),
the annual average higher heating value
of the flare gas (in mmBtu/mmscf), and
an indication of whether the annual
volume of flare gas combusted and the
annual average higher heating value of
the flare gas were determined using
standard conditions of 68 °F and 14.7
psia or 60 °F and 14.7 psia.
(9) If you use Equation Y–3 of this
subpart, the annual volume of flare gas
combusted (in MMscf/year) during
normal operations, the annual average
higher heating value of the flare gas (in
mmBtu/mmscf), the number of SSM
events exceeding 500,000 scf/day, the
volume of gas flared (in scf/event), the
average molecular weight (in kg/kgmole), the molar volume conversion
factor (in scf/kg-mole), and carbon
content of the flare gas (in kg carbon per
kg flare) for each SSM event over
500,000 scf/day.
*
*
*
*
*
(f) * * *
(6) If you use a CEMS, the relevant
information required under § 98.36 for
the Tier 4 Calculation Methodology, the
CO2 annual emissions as measured by
the CEMS (unadjusted to remove CO2
combustion emissions associated with
additional units, if present) and the
process CO2 emissions as calculated
according to § 98.253(c)(1)(ii). Report
the CO2 annual emissions associated
with sources other than those from the
coke burn-off in the applicable subpart
(e.g., subpart C of this part in the case
of a CO boiler).
(7) If you use Equation Y–6 of this
subpart, the annual average exhaust gas
flow rate, %CO2, %CO, and the molar
volume conversion factor (in scf/kgmole).
(8) If you use Equation Y–7a of this
subpart, the annual average flow rate of
inlet air and oxygen-enriched air, %O2,
%Ooxy, %CO2, and %CO.
(9) If you use Equation Y–7b of this
subpart, the annual average flow rate of
inlet air and oxygen-enriched air,
%N2,oxy, and %N2,exhaust.
*
*
*
*
*
(11) Indicate whether you use a
measured value, a unit-specific
emission factor, or a default emission
factor for CH4 emissions. If you use a
unit-specific emission factor for CH4,
report the unit-specific emission factor
for CH4, the units of measure for the
unit-specific factor, the activity data for
calculating emissions (e.g., if the
emission factor is based on coke burnoff rate, the annual quantity of coke
burned), and the basis for the factor.
(12) Indicate whether you use a
measured value, a unit-specific
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emission factor, or a default emission
factor for N2O emissions. If you use a
unit-specific emission factor for N2O,
report the unit-specific emission factor
for N2O, the units of measure for the
unit-specific factor, the activity data for
calculating emissions (e.g., if the
emission factor is based on coke burnoff rate, the annual quantity of coke
burned), and the basis for the factor.
(13) If you use Equation Y–11 of this
subpart, the number of regeneration
cycles or measurement periods during
the reporting year, the average coke
burn-off quantity per cycle or
measurement period, and the average
carbon content of the coke.
(g) * * *
(5) If the GHG emissions for the low
heat value gas are calculated at the
flexicoking unit, also report the
calculated annual CO2, CH4, and N2O
emissions for each unit, expressed in
metric tons of each pollutant emitted,
and the applicable equation input
parameters specified in paragraphs (f)(7)
through (f)(13) of this section.
(h) * * *
(2) Maximum rated throughput of
each independent sulfur recovery plant,
in metric tons sulfur produced/stream
day, a description of the type of sulfur
recovery plant, and an indication of the
method used to calculate CO2 annual
emissions for the sulfur recovery plant
(e.g., CO2 CEMS, Equation Y–12, or
process vent method in § 98.253(j)).
*
*
*
*
*
(4) If you use Equation Y–12 of this
subpart, the annual volumetric flow to
the sulfur recovery plant (in scf/year),
the molar volume conversion factor (in
scf/kg-mole), and the annual average
mole fraction of carbon in the sour gas
(in kg-mole C/kg-mole gas).
*
*
*
*
*
(6) If you use a CEMS, the relevant
information required under § 98.36 for
the Tier 4 Calculation Methodology, the
CO2 annual emissions as measured by
the CEMS and the annual process CO2
emissions calculated according to
§ 98.253(f)(1). * * *
(7) If you use the process vent method
in § 98.253(j) for a non-Claus sulfur
recovery plant, the relevant information
required under paragraph (l)(5) of this
section.
(i) * * *
(5) If you use Equation Y–13 of this
subpart, annual mass and carbon
content of green coke fed to the unit, the
annual mass and carbon content of
marketable coke produced, the annual
mass of coke dust removed from the
process through dust collection systems,
and an indication of whether coke dust
is recycled to the unit (e.g., all dust is
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Fmt 4701
Sfmt 4700
79165
recycled, a portion of the dust is
recycled, or none of the dust is
recycled).
(6) If you use a CEMS, the relevant
information required under § 98.36 for
the Tier 4 Calculation Methodology, the
CO2 annual emissions as measured by
the CEMS and the annual process CO2
emissions calculated according to
§ 98.253(g)(1). * * *
*
*
*
*
*
(8) Indicate whether you use a
measured value, a unit-specific
emission factor, or a default emission
factor for N2O emissions. If you use a
unit-specific emission factor for N2O,
report the unit-specific emission factor
for N2O, the units of measure for the
unit-specific factor, the activity data for
calculating emissions (e.g., if the
emission factor is based on coke burnoff rate, the annual quantity of coke
burned), and the basis for the factor.
(j) * * *
(2) The quantity of asphalt blown (in
million bbl) at the unit in the reporting
year.
*
*
*
*
*
(8) If you use Equation Y–16b of this
subpart, the CO2 emission factor used
and the basis for its value and the
carbon emission factor used and the
basis for its value.
*
*
*
*
*
(k) * * *
(1) The cumulative annual CH4
emissions (in metric tons of CH4) for all
delayed coking units at the facility.
*
*
*
*
*
(3) The total number of delayed
coking units at the facility, the total
number of delayed coking drums at the
facility, and for each coke drum or
vessel: The dimensions, the typical
gauge pressure of the coking drum when
first vented to the atmosphere, typical
void fraction, the typical drum outage
(i.e. the unfilled distance from the top
of the drum, in feet), the molar volume
conversion factor (in scf/kg-mole), and
annual number of coke-cutting cycles.
*
*
*
*
*
(l) For each process vent subject to
§ 98.253(j), the owner or operator shall
report:
*
*
*
*
*
(5) The annual volumetric flow
discharged to the atmosphere (in scf),
and an indication of the measurement or
estimation method, annual average mole
fraction of each GHG above the
concentration threshold or otherwise
required to be reported and an
indication of the measurement or
estimation method, the molar volume
conversion factor (in scf/kg-mole), and
for intermittent vents, the number of
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
venting events and the cumulative
venting time.
(m) For uncontrolled blowdown
systems, the owner or operator shall
report:
(1) An indication of whether the
uncontrolled blowdown emission are
reported under § 98.253(k) or § 98.253(j)
or a statement that the facility does not
have any uncontrolled blowdown
systems.
(2) The cumulative annual CH4
emissions (in metric tons of CH4) for
uncontrolled blowdown systems.
(3) For uncontrolled blowdown
systems reporting under § 98.253(k), the
total quantity (in million bbl) of crude
oil plus the quantity of intermediate
products received from off site that are
processed at the facility in the reporting
year, the methane emission factor used
for uncontrolled blowdown systems, the
basis for the value, and the molar
volume conversion factor (in scf/kgmole).
(4) For uncontrolled blowdown
systems reporting under § 98.253(j), the
relevant information required under
paragraph (l)(5) of this section.
*
*
*
*
*
(o) * * *
(1) The cumulative annual CH4
emissions (in metric tons of CH4) for all
storage tanks, except for those used to
process unstabilized crude oil.
(2) For storage tanks other than those
processing unstabilized crude oil:
(i) The method used to calculate the
reported storage tank emissions for
storage tanks other than those
processing unstabilized crude (i.e.,
either AP 42, Section 7.1 (incorporated
by reference, see § 98.7), or Equation Y–
22 of this section).
(ii) The total quantity (in MMbbl) of
crude oil plus the quantity of
intermediate products received from off
site that are processed at the facility in
the reporting year.
(3) The cumulative CH4 emissions (in
metric tons of CH4) for storage tanks
used to process unstabilized crude oil or
a statement that the facility did not
receive any unstabilized crude oil
during the reporting year.
(4) For storage tanks that process
unstabilized crude oil:
(i) The method used to calculate the
reported unstabilized crude oil storage
tank emissions.
(ii) The quantity of unstabilized crude
oil received during the calendar year (in
MMbbl).
(iii) The average pressure differential
(in psi).
(iv) The molar volume conversion
factor (in scf/kg-mole).
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(v) The average mole fraction of CH4
in vent gas from unstabilized crude oil
storage tanks and the basis for the mole
fraction.
(vi) If you did not use Equation Y–23,
the tank-specific methane composition
data and the gas generation rate data
used to estimate the cumulative CH4
emissions for storage tanks used to
process unstabilized crude oil.
*
*
*
*
*
■ 44. Section 98.257 is revised to read
as follows:
§ 98.257
Records that must be retained.
In addition to the records required by
§ 98.3(g), you must retain the records of
all parameters monitored under
§ 98.255. If you comply with the
combustion methodology in § 98.252(a),
then you must retain under this subpart
the records required for the Tier 3 and/
or Tier 4 Calculation Methodologies in
§ 98.37 and you must keep records of
the annual average flow calculations.
Subpart AA—[Amended]
45. Section 98.273 is amended by:
a. Revising paragraphs (a)(1) and
(a)(2).
■ b. Revising the definition of ‘‘EF’’ in
Equation AA–1 of paragraph (a)(3).
■ c. Revising paragraphs (b)(1) and
(b)(2).
■ d. Revising paragraphs (c)(1) and
(c)(2).
■
■
§ 98.273
Calculating GHG emissions.
(a) * * *
(1) Calculate fossil fuel-based CO2
emissions from direct measurement of
fossil fuels consumed and default
emissions factors according to the Tier
1 methodology for stationary
combustion sources in § 98.33(a)(1). A
higher tier from § 98.33(a) may be used
to calculate fossil fuel-based CO2
emissions if the respective monitoring
and QA/QC requirements described in
§ 98.34 are met.
(2) Calculate fossil fuel-based CH4 and
N2O emissions from direct measurement
of fossil fuels consumed, default or sitespecific HHV, and default emissions
factors and convert to metric tons of CO2
equivalent according to the
methodology for stationary combustion
sources in § 98.33(c).
(3) * * *
(EF) = Default or site-specific emission factor
for CO2, CH4, or N2O, from Table AA–1
of this subpart (kg CO2, CH4, or N2O per
mmBtu).
*
*
*
*
*
(b) * * *
(1) Calculate fossil CO2 emissions
from fossil fuels from direct
PO 00000
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Fmt 4701
Sfmt 4700
measurement of fossil fuels consumed
and default emissions factors according
to the Tier 1 Calculation Methodology
for stationary combustion sources in
§ 98.33(a)(1). A higher tier from
§ 98.33(a) may be used to calculate fossil
fuel-based CO2 emissions if the
respective monitoring and QA/QC
requirements described in § 98.34 are
met.
(2) Calculate CH4 and N2O emissions
from fossil fuels from direct
measurement of fossil fuels consumed,
default or site-specific HHV, and default
emissions factors and convert to metric
tons of CO2 equivalent according to the
methodology for stationary combustion
sources in § 98.33(c).
*
*
*
*
*
(c) * * *
(1) Calculate CO2 emissions from
fossil fuel from direct measurement of
fossil fuels consumed and default HHV
and default emissions factors, according
to the Tier 1 Calculation Methodology
for stationary combustion sources in
§ 98.33(a)(1). A higher tier from
§ 98.33(a) may be used to calculate fossil
fuel-based CO2 emissions if the
respective monitoring and QA/QC
requirements described in § 98.34 are
met.
(2) Calculate CH4 and N2O emissions
from fossil fuel from direct
measurement of fossil fuels consumed,
default or site-specific HHV, and default
emissions factors and convert to metric
tons of CO2 equivalent according to the
methodology for stationary combustion
sources in § 98.33(c); use the default
HHV listed in Table C–1 of subpart C
and the default CH4 and N2O emissions
factors listed in Table AA–2 of this
subpart.
*
*
*
*
*
46. Section 98.276 is amended by
revising the introductory text and
revising paragraph (e) to read as follows:
■
§ 98.276
Data reporting requirements.
In addition to the information
required by § 98.3(c) and the applicable
information required by § 98.36, each
annual report must contain the
information in paragraphs (a) through
(k) of this section as applicable:
*
*
*
*
*
(e) The default or site-specific
emission factor for CO2, CH4, or N2O,
used in Equation AA–1 of this subpart
(kg CO2, CH4, or N2O per mmBtu).
*
*
*
*
*
47. Table AA–2 to Subpart AA is
revised to read as follows:
■
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
79167
TABLE AA–2 TO SUBPART AA—KRAFT LIME KILN AND CALCINER EMISSIONS FACTORS FOR FOSSIL FUEL-BASED CH4 AND
N2O
Fossil fuel-based emissions factors (kg/mmBtu HHV)
Fuel
Kraft lime kilns
Kraft calciners
CH4
Residual Oil .....................................................................................
Distillate Oil ......................................................................................
Natural Gas ......................................................................................
Biogas ..............................................................................................
Petroleum coke ................................................................................
a Emission
48. Section 98.410 is amended by
revising paragraph (b) to read as follows:
■
Definition of the source category.
*
*
*
*
*
(b) To produce a fluorinated GHG
means to manufacture a fluorinated
GHG from any raw material or feedstock
chemical. Producing a fluorinated GHG
includes the manufacture of a
fluorinated GHG as an isolated
intermediate for use in a process that
will result in its transformation either at
or outside of the production facility.
Producing a fluorinated GHG also
includes the creation of a fluorinated
GHG (with the exception of HFC–23)
that is captured and shipped off site for
any reason, including destruction.
Producing a fluorinated GHG does not
include the reuse or recycling of a
fluorinated GHG, the creation of HFC–
23 during the production of HCFC–22,
the creation of intermediates that are
created and transformed in a single
process with no storage of the
intermediates, or the creation of
fluorinated GHGs that are released or
destroyed at the production facility
before the production measurement at
§ 98.414(a).
*
*
*
*
*
■ 49. Section 98.414 is amended by:
■ a. Adding second and third sentences
to paragraph (a).
■ b. Revising paragraph (h).
■ c. Removing and reserving paragraph
(j).
■ d. Adding new paragraphs (n) through
(q).
srobinson on DSKHWCL6B1PROD with RULES2
§ 98.414 Monitoring and QA/QC
requirements.
(a) * * * If the measured mass
includes more than one fluorinated
GHG, the concentrations of each of the
fluorinated GHGs, other than lowconcentration constituents, shall be
measured as set forth in paragraph (n)
of this section. For each fluorinated
GHG, the mean of the concentrations of
VerDate Mar<15>2010
CH4
............................
............................
0.0027
............................
............................
............................
............................
............................
0.0027
............................
............................
NA
............................
............................
N2O
0.0003
0.0004
0.0001
0.0001
a NA
factors for kraft calciners are not available.
Subpart OO—[Amended]
§ 98.410
N2O
17:17 Dec 16, 2010
Jkt 223001
that fluorinated GHG (mass fraction)
measured under paragraph (n) of this
section shall be multiplied by the mass
measurement to obtain the mass of that
fluorinated GHG coming out of the
production process.
*
*
*
*
*
(h) You must measure the mass of
each fluorinated GHG that is fed into the
destruction device and that was
previously produced as defined at
§ 98.410(b). Such fluorinated GHGs
include but are not limited to quantities
that are shipped to the facility by
another facility for destruction and
quantities that are returned to the
facility for reclamation but are found to
be irretrievably contaminated and are
therefore destroyed. You must use
flowmeters, weigh scales, or a
combination of volumetric and density
measurements with an accuracy and
precision of one percent of full scale or
better. If the measured mass includes
more than trace concentrations of
materials other than the fluorinated
GHG being destroyed, you must
estimate the concentrations of the
fluorinated GHG being destroyed
considering current or previous
representative concentration
measurements and other relevant
process information. You must multiply
this concentration (mass fraction) by the
mass measurement to obtain the mass of
the fluorinated GHG fed into the
destruction device.
*
*
*
*
*
(n) If the mass coming out of the
production process includes more than
one fluorinated GHG, you shall measure
the concentrations of all of the
fluorinated GHGs, other than lowconcentration constituents, as follows:
(1) Analytical Methods. Use a qualityassured analytical measurement
technology capable of detecting the
analyte of interest at the concentration
of interest and use a procedure
validated with the analyte of interest at
the concentration of interest. Where
standards for the analyte are not
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available, a chemically similar surrogate
may be used. Acceptable analytical
measurement technologies include but
are not limited to gas chromatography
(GC) with an appropriate detector,
infrared (IR), fourier transform infrared
(FTIR), and nuclear magnetic resonance
(NMR). Acceptable methods include
EPA Method 18 in Appendix A–1 of 40
CFR part 60; EPA Method 320 in
Appendix A of 40 CFR part 63; the
Protocol for Measuring Destruction or
Removal Efficiency (DRE) of Fluorinated
Greenhouse Gas Abatement Equipment
in Electronics Manufacturing, Version 1,
EPA–430–R–10–003, (March 2010)
(incorporated by reference, see § 98.7);
ASTM D6348–03 Standard Test Method
for Determination of Gaseous
Compounds by Extractive Direct
Interface Fourier Transform Infrared
(FTIR) Spectroscopy (incorporated by
reference, see § 98.7); or other analytical
methods validated using EPA Method
301 in Appendix A of 40 CFR part 63
or some other scientifically sound
validation protocol. The validation
protocol may include analytical
technology manufacturer specifications
or recommendations.
(2) Documentation in GHG Monitoring
Plan. Describe the analytical method(s)
used under paragraph (n)(1) of this
section in the site GHG Monitoring Plan
as required under § 98.3(g)(5). At a
minimum, include in the description of
the method a description of the
analytical measurement equipment and
procedures, quantitative estimates of the
method’s accuracy and precision for the
analytes of interest at the concentrations
of interest, as well as a description of
how these accuracies and precisions
were estimated, including the validation
protocol used.
(3) Frequency of measurement.
Perform the measurements at least once
by February 15, 2011 if the fluorinated
GHG product is being produced on
December 17, 2010. Perform the
measurements within 60 days of
commencing production of any
fluorinated GHG product that was not
E:\FR\FM\17DER2.SGM
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being produced on December 17, 2010.
Repeat the measurements if an
operational or process change occurs
that could change the identities or
significantly change the concentrations
of the fluorinated GHG constituents of
the fluorinated GHG product. Complete
the repeat measurements within 60 days
of the operational or process change.
(4) Measure all product grades. Where
a fluorinated GHG is produced at more
than one purity level (e.g.,
pharmaceutical grade and refrigerant
grade), perform the measurements for
each purity level.
(5) Number of samples. Analyze a
minimum of three samples of the
fluorinated GHG product that have been
drawn under conditions that are
representative of the process producing
the fluorinated GHG product. If the
relative standard deviation of the
measured concentrations of any of the
fluorinated GHG constituents (other
than low-concentration constituents) is
greater than or equal to 15 percent, draw
and analyze enough additional samples
to achieve a total of at least six samples
of the fluorinated GHG product.
(o) All analytical equipment used to
determine the concentration of
fluorinated GHGs, including but not
limited to gas chromatographs and
associated detectors, IR, FTIR and NMR
devices, shall be calibrated at a
frequency needed to support the type of
analysis specified in the site GHG
Monitoring Plan as required under
§ 98.414(n) and § 98.3(g)(5) of this part.
Quality assurance samples at the
concentrations of concern shall be used
for the calibration. Such quality
assurance samples shall consist of or be
prepared from certified standards of the
analytes of concern where available; if
not available, calibration shall be
performed by a method specified in the
GHG Monitoring Plan.
(p) Isolated intermediates that are
produced and transformed at the same
facility are exempt from the monitoring
requirements of this section.
(q) Low-concentration constituents
are exempt from the monitoring and
QA/QC requirements of this section.
■ 50. Section 98.416 is amended by:
■ a. Revising paragraph (a)(3).
■ b. Removing and reserving paragraph
(a)(4).
■ c. Revising paragraphs (a)(11) and
(a)(15).
■ d. Revising paragraphs (b)
introductory text and (b)(1).
■ e. Revising paragraphs (c)
introductory text, (c)(1), and (c)(10).
■ f. Revising paragraph (d) introductory
text.
■ g. Revising paragraph (e) introductory
text.
VerDate Mar<15>2010
17:17 Dec 16, 2010
Jkt 223001
■
h. Adding paragraphs (f) through (h).
§ 98.416
Data reporting requirements.
*
*
*
*
*
(a) * * *
(3) Mass in metric tons of each
fluorinated GHG that is destroyed at that
facility and that was previously
produced as defined at § 98.410(b).
Quantities to be reported under this
paragraph (a)(3) of this section include
but are not limited to quantities that are
shipped to the facility by another
facility for destruction and quantities
that are returned to the facility for
reclamation but are found to be
irretrievably contaminated and are
therefore destroyed.
*
*
*
*
*
(11) Mass in metric tons of each
fluorinated GHG that is fed into the
destruction device and that was
previously produced as defined at
§ 98.410(b). Quantities to be reported
under this paragraph (a)(11) of this
section include but are not limited to
quantities that are shipped to the facility
by another facility for destruction and
quantities that are returned to the
facility for reclamation but are found to
be irretrievably contaminated and are
therefore destroyed.
*
*
*
*
*
(15) Names and addresses of facilities
to which any fluorinated GHGs were
sent for destruction, and the quantities
(metric tons) of each fluorinated GHG
that were sent to each for destruction.
*
*
*
*
*
(b) By March 31, 2011 or within 60
days of commencing fluorinated GHG
destruction, whichever is later, a
fluorinated GHG production facility or
importer that destroys fluorinated GHGs
shall submit a one-time report
containing the following information for
each destruction process:
(1) Destruction efficiency (DE).
*
*
*
*
*
(c) Each bulk importer of fluorinated
GHGs or nitrous oxide shall submit an
annual report that summarizes its
imports at the corporate level, except for
shipments including less than twentyfive kilograms of fluorinated GHGs or
nitrous oxide, transshipments, and heels
that meet the conditions set forth at
§ 98.417(e). The report shall contain the
following information for each import:
(1) Total mass in metric tons of
nitrous oxide and each fluorinated GHG
imported in bulk, including each
fluorinated GHG constituent of the
fluorinated GHG product that makes up
between 0.5 percent and 100 percent of
the product by mass.
*
*
*
*
*
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(10) If applicable, the names and
addresses of the persons and facilities to
which the fluorinated GHGs were sold
or transferred for destruction, and the
quantities (metric tons) of each
fluorinated GHG that were sold or
transferred to each facility for
destruction.
(d) Each bulk exporter of fluorinated
GHGs or nitrous oxide shall submit an
annual report that summarizes its
exports at the corporate level, except for
shipments including less than twentyfive kilograms of fluorinated GHGs or
nitrous oxide, transshipments, and
heels. The report shall contain the
following information for each export:
*
*
*
*
*
(e) By March 31, 2011, or within 60
days of commencing fluorinated GHG
production, whichever is later, a
fluorinated GHG production facility
shall submit a one-time report
describing the following information:
*
*
*
*
*
(f) By March 31, 2011, all fluorinated
GHG production facilities shall submit a
one-time report that includes the
concentration of each fluorinated GHG
constituent in each fluorinated GHG
product as measured under § 98.414(n).
If the facility commences production of
a fluorinated GHG product that was not
included in the initial report or
performs a repeat measurement under
§ 98.414(n) that shows that the identities
or concentrations of the fluorinated
GHG constituents of a fluorinated GHG
product have changed, then the new or
changed concentrations, as well as the
date of the change, must be reflected in
a revision to the report. The revised
report must be submitted to EPA by the
March 31st that immediately follows the
measurement under § 98.414(n).
(g) Isolated intermediates that are
produced and transformed at the same
facility are exempt from the reporting
requirements of this section.
(h) Low-concentration constituents
are exempt from the reporting
requirements of this section.
■ 51. Section 98.417 is amended by
revising paragraphs (a)(2), (b), and
(d)(2); and by adding paragraphs (f) and
(g) to read as follows:
§ 98.417
Records that must be retained.
(a) * * *
(2) Records documenting the initial
and periodic calibration of the
analytical equipment (including but not
limited to GC, IR, FTIR, or NMR), weigh
scales, flowmeters, and volumetric and
density measures used to measure the
quantities reported under this subpart,
including the manufacturer directions
or industry standards used for
E:\FR\FM\17DER2.SGM
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Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 / Rules and Regulations
Definitions.
Subpart PP—[Amended]
53. Section 98.422 is amended by
revising paragraphs (a) and (b) to read
as follows:
■
§ 98.422
GHGs to report.
(a) Mass of CO2 captured from
production process units.
(b) Mass of CO2 extracted from CO2
production wells.
*
*
*
*
*
54. Section 98.423 is amended by:
a. Revising the first sentence of
paragraph (a) introductory text.
■ b. Revising the first sentences of
paragraphs (a)(1) and (a)(2).
■ c. Revising the definitions of ‘‘CCO2,p’’
and ‘‘Dp’’ in Equation PP–2 in paragraph
(a)(2).
■ d. Revising paragraph (a)(3).
■ e. Redesignating paragraph (b) as
paragraph (c) and revising newly
designated paragraph (c).
■ f. Adding paragraph (b).
Where:
u = Flow meter.
CO2 = Total annual mass of CO2 (metric
tons).
CO2,u = Annual mass of CO2 (metric tons)
through flow meter u.
srobinson on DSKHWCL6B1PROD with RULES2
Except as provided below, all of the
terms used in this subpart have the
same meaning given in the Clean Air
Act and subpart A of this part. If a
conflict exists between a definition
provided in this subpart and a
definition provided in subpart A, the
definition in this subpart shall take
precedence for the reporting
requirements in this subpart.
Isolated intermediate means a product
of a process that is stored before
subsequent processing. An isolated
intermediate is usually a product of
chemical synthesis. Storage of an
isolated intermediate marks the end of
a process. Storage occurs at any time the
intermediate is placed in equipment
used solely for storage.
(ii) For facilities with production
process units that capture a CO2 stream
and measure it ahead of segregation,
Where:
CO2,v = Annual mass of CO2 (metric tons)
through subsequent flow meter v for use
on site.
u = Main flow meter.
v = Subsequent flow meter.
CO2 = Total annual mass of CO2 (metric
tons).
CO2,u = Annual mass of CO2 (metric tons)
through main flow meter u.
VerDate Mar<15>2010
17:17 Dec 16, 2010
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■
■
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§ 98.423
Calculating CO2 Supply.
(a) Except as allowed in paragraph (b)
of this section, calculate the annual
mass of CO2 captured, extracted,
imported, or exported through each flow
meter in accordance with the
procedures specified in either paragraph
(a)(1) or (a)(2) of this section. * * *
(1) For each mass flow meter, you
shall calculate quarterly the mass of CO2
in a CO2 stream in metric tons by
multiplying the mass flow by the
composition data, according to Equation
PP–1 of this section. * * *
*
*
*
*
*
(2) For each volumetric flow meter,
you shall calculate quarterly the mass of
CO2 in a CO2 stream in metric tons by
multiplying the volumetric flow by the
concentration and density data,
according to Equation PP–2 of this
section. * * *
*
*
*
*
*
CCO2,p = Quarterly CO2 concentration
measurement in flow for flow meter u in
quarter p (measured as either volume %
CO2 or weight % CO2).
*
*
*
*
*
Dp = Density of CO2 in quarter p (metric tons
CO2 per standard cubic meter) for flow
meter u if CCO2,p is measured as volume
% CO2, or density of the whole CO2
stream for flow meter u (metric tons per
standard cubic meter) if CCO2,p is
measured as weight % CO2.
*
*
*
*
*
(3) To aggregate data, use either
Equation PP–3a or PP–3b in this
paragraph, as appropriate.
(i) For facilities with production
process units that capture a CO2 stream
and either measure it after segregation
or do not segregate the flow, calculate
the total CO2 supplied in accordance
with Equation PP–3a.
calculate the total CO2 supplied in
accordance with Equation PP–3b.
(b) As an alternative to paragraphs
(a)(1) through (3) of this section for CO2
that is supplied in containers, calculate
the annual mass of CO2 supplied in
containers delivered by each CO2 stream
E:\FR\FM\17DER2.SGM
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ER17DE10.013
§ 98.418
Low-concentration constituent means,
for purposes of fluorinated GHG
production and export, a fluorinated
GHG constituent of a fluorinated GHG
product that occurs in the product in
concentrations below 0.1 percent by
mass. For purposes of fluorinated GHG
import, low-concentration constituent
means a fluorinated GHG constituent of
a fluorinated GHG product that occurs
in the product in concentrations below
0.5 percent by mass. Low-concentration
constituents do not include fluorinated
GHGs that are deliberately combined
with the product (e.g., to affect the
performance characteristics of the
product).
ER17DE10.012
calibration pursuant to § 98.414(m) and
(o).
(b) In addition to the data required by
paragraph (a) of this section, any
fluorinated GHG production facility that
destroys fluorinated GHGs shall keep
records of test reports and other
information documenting the facility’s
one-time destruction efficiency report in
§ 98.416(b).
*
*
*
*
*
(d) * * *
(2) The invoice for the export.
*
*
*
*
*
(f) Isolated intermediates that are
produced and transformed at the same
facility are exempt from the
recordkeeping requirements of this
section.
(g) Low-concentration constituents are
exempt from the recordkeeping
requirements of this section.
■ 52. Section 98.418 is revised to read
as follows:
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in accordance with the procedures
specified in either paragraph (b)(1) or
(b)(2) of this section. If multiple CO2
streams are used to deliver CO2 to
containers, you shall calculate the
annual mass of CO2 supplied in
containers delivered by all CO2 streams
according to the procedures specified in
paragraph (b)(3) of this section.
(1) For each CO2 stream that delivers
CO2 to containers, for which mass is
measured, you shall calculate CO2
supply in containers using Equation PP–
1 of this section.
Where:
CO2,u = Annual mass of CO2 (metric tons)
supplied in containers delivered by CO2
stream u.
CCO2,p,u = Quarterly CO2 concentration
measurement of CO2 stream u that
delivers CO2 to containers in quarter p
(wt. %CO2).
Qp,u = Quarterly mass of contents supplied in
all containers delivered by CO2 stream u
in quarter p (metric tons).
Where:
CO2 = Annual mass of CO2 (metric tons).
Q = Annual mass in all CO2 containers
imported or exported during the
reporting year (metric tons).
55. Section 98.424 is amended by:
a. Revising paragraphs (a)(1), (a)(2),
and (a)(5).
■ b. Revising the second sentence of
paragraph (b)(2).
■ c. Adding paragraph (c).
■
■
srobinson on DSKHWCL6B1PROD with RULES2
§ 98.424 Monitoring and QA/QC
requirements.
(a) * * *
(1) Reporters following the procedures
in § 98.423(a) shall determine quantity
using a flow meter or meters located in
accordance with this paragraph.
(i) If the CO2 stream is segregated such
that only a portion is captured for
commercial application or for injection,
you must locate the flow meter
according to the following:
(A) For reporters following the
procedures in § 98.423(a)(3)(i), you must
locate the flow meter(s) after the point
of segregation.
(B) For reporters following the
procedures in paragraph (a)(3)(ii) of
§ 98.423, you must locate the main flow
meter(s) on the captured CO2 stream(s)
prior to the point of segregation and the
subsequent flow meter(s) on the CO2
stream(s) for on-site use after the point
of segregation. You may only follow the
procedures in paragraph (a)(3)(ii) of
§ 98.423 if the CO2 stream(s) for on-site
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17:17 Dec 16, 2010
Jkt 223001
p = Quarter of the year.
u = CO2 stream that delivers to containers.
(2) For each CO2 stream that delivers
to containers, for which volume is
measured, you shall calculate CO2
supply in containers using Equation PP–
2 of this section.
Where:
standard cubic meter) if CO2,p is
measured as weight % CO2.
p = Quarter of the year.
u = CO2 stream that delivers to containers.
(3) To aggregate data, sum the mass of
CO2 supplied in containers delivered by
all CO2 streams in accordance with
Equation PP–3a of this section.
Where:
CO2,u = Annual mass of CO2 (metric tons)
supplied in containers delivered by CO2
stream u.
CCO2,p = Quarterly CO2 concentration
measurement of CO2 stream u that
delivers CO2 to containers in quarter p
(measured as either volume % CO2 or
weight % CO2).
Qp = Quarterly volume of contents supplied
in all containers delivered by CO2 stream
u in quarter p (standard cubic meters).
Dp = Quarterly CO2 density determination for
CO2 stream u in quarter p (metric tons
per standard cubic meter) if CO2,p is
measured as volume % CO2, or density
of CO2 stream u (metric tons per
(c) Importers or exporters that import
or export CO2 in containers shall
calculate the total mass of CO2 imported
or exported in metric tons based on
summing the mass in each CO2
container using weigh bills, scales, or
load cells according to Equation PP–4 of
this section.
use is/are the only diversion(s) from the
main, captured CO2 stream(s) after the
main flow meter location(s).
(ii) Reporters that have a mass flow
meter or volumetric flow meter installed
to measure the flow of a CO2 stream that
meets the requirements of paragraph
(a)(1)(i) of this section shall base
calculations in § 98.423 of this subpart
on the installed mass flow or volumetric
flow meters.
(iii) Reporters that do not have a mass
flow meter or volumetric flow meter
installed to measure the flow of the CO2
stream that meets the requirements of
paragraph (a)(1)(i) of this section shall
base calculations in § 98.423 of this
subpart on the flow of gas transferred off
site using a mass flow meter or a
volumetric flow meter located at the
point of off-site transfer.
(2) Reporters following the procedures
in paragraph (b) of § 98.423 shall
determine quantity in accordance with
this paragraph.
(i) Reporters that supply CO2 in
containers using weigh bills, scales, or
load cells shall measure the mass of
contents of each CO2 container to which
the CO2 stream is delivered, sum the
mass of contents supplied in all
containers to which the CO2 stream is
delivered during each quarter, sample
the CO2 stream delivering CO2 to
containers on a quarterly basis to
determine the composition of the CO2
stream, and apply Equation PP–1.
(ii) Reporters that supply CO2 in
containers using loaded container
volumes shall measure the volume of
contents of each CO2 container to which
the CO2 stream is delivered, sum the
volume of contents supplied in all
containers to which the CO2 stream is
delivered during each quarter, sample
the CO2 stream on a quarterly basis to
determine the composition of the CO2
stream, determine the density quarterly,
and apply Equation PP–2.
*
*
*
*
*
(5) Reporters using Equation PP–2 of
this subpart and measuring CO2
concentration as weight % CO2 shall
determine the density of the CO2 stream
on a quarterly basis in order to calculate
the mass of the CO2 stream according to
one of the following procedures:
(i) You may use a method published
by a consensus-based standards
organization. Consensus-based
standards organizations include, but are
not limited to, the following: ASTM
International (100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org), the
American National Standards Institute
(ANSI, 1819 L Street, NW., 6th floor,
Washington, DC 20036, (202) 293–8020,
https://www.ansi.org), the American Gas
Association (AGA, 400 North Capitol
Street, NW., 4th Floor, Washington, DC
20001, (202) 824–7000, https://
www.aga.org), the American Society of
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CO2 = Annual mass of CO2 (metric tons)
supplied in containers delivered by all
CO2 streams.
CO2,u = Annual mass of CO2 (metric tons)
supplied in containers delivered by CO2
stream u.
u = CO2 stream that delivers to containers.
E:\FR\FM\17DER2.SGM
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ER17DE10.014
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Mechanical Engineers (ASME, Three
Park Avenue, New York, NY 10016–
5990, (800) 843–2763, https://
www.asme.org), the American
Petroleum Institute (API, 1220 L Street,
NW., Washington, DC 20005–4070,
(202) 682–8000, https://www.api.org),
and the North American Energy
Standards Board (NAESB, 801 Travis
Street, Suite 1675, Houston, TX 77002,
(713) 356–0060, https://www.api.org).
The method(s) used shall be
documented in the Monitoring Plan
required under § 98.3(g)(5).
(ii) You may follow an industry
standard method.
(b) * * *
(2) * * * Acceptable methods
include, but are not limited to, the U.S.
Food and Drug Administration foodgrade specifications for CO2 (see 21 CFR
184.1240) and ASTM standard E1747–
95 (Reapproved 2005) Standard Guide
for Purity of Carbon Dioxide Used in
Supercritical Fluid Applications (ASTM
International, 100 Barr Harbor Drive,
P.O. Box CB700, West Conshohocken,
Pennsylvania 19428–B2959, (800) 262–
1373, https://www.astm.org).
(c) You shall convert the density of
the CO2 stream(s) and all measured
volumes of carbon dioxide to the
following standard industry temperature
and pressure conditions: Standard cubic
meters at a temperature of 60 degrees
Fahrenheit and at an absolute pressure
of 1 atmosphere. If you apply the
density value for CO2 at standard
conditions, you must use 0.001868
metric tons per standard cubic meter.
■ 56. Section 98.425 is amended by
revising paragraph (a) introductory text;
and by adding paragraph (d) to read as
follows:
§ 98.425 Procedures for estimating
missing data.
srobinson on DSKHWCL6B1PROD with RULES2
(a) Whenever the quality assurance
procedures in § 98.424(a)(1) of this
subpart cannot be followed to measure
quarterly mass flow or volumetric flow
of CO2, the most appropriate of the
following missing data procedures shall
be followed:
*
*
*
*
*
VerDate Mar<15>2010
17:17 Dec 16, 2010
Jkt 223001
(d) Whenever the quality assurance
procedures in § 98.424(a)(2) of this
subpart cannot be followed to measure
quarterly quantity of CO2 in containers,
the most appropriate of the following
missing data procedures shall be
followed:
(1) A quarterly quantity of CO2 in
containers that is missing may be
substituted with a quarterly value
measured during another representative
quarter of the current reporting year.
(2) A quarterly quantity of CO2 in
containers that is missing may be
substituted with a quarterly value
measured during the same quarter from
the past reporting year.
(3) The quarterly quantity of CO2 in
containers recorded for purposes of
product tracking and billing according
to the reporter’s established procedures
may be substituted for any period
during which measurement equipment
is inoperable.
■ 57. Section 98.426 is amended by:
■ a. Revising paragraphs (a)
introductory text and (a)(2).
■ b. Adding paragraph (a)(5).
■ c. Revising paragraphs (b)
introductory text, (b)(2), (b)(3), and
(b)(4).
■ d. Adding paragraph (b)(7).
■ e. Revising paragraphs (c) and (e)(1).
§ 98.426
Data reporting requirements.
*
*
*
*
*
(a) If you use Equation PP–1 of this
subpart, report the following
information for each mass flow meter or
CO2 stream that delivers CO2 to
containers:
*
*
*
*
*
(2) Quarterly mass in metric tons of
CO2.
*
*
*
*
*
(5) The location of the flow meter in
your process chain in relation to the
points of CO2 stream capture,
dehydration, compression, and other
processing.
*
*
*
*
*
(b) If you use Equation PP–2 of this
subpart, report the following
information for each volumetric flow
PO 00000
Frm 00081
Fmt 4701
Sfmt 9990
79171
meter or CO2 stream that delivers CO2
to containers:
*
*
*
*
*
(2) Quarterly volume in standard
cubic meters of CO2.
(3) Quarterly concentration of the CO2
stream in volume or weight percent.
(4) Report density as follows:
(i) Quarterly density of CO2 in metric
tons per standard cubic meter if you
report the concentration of the CO2
stream in paragraph (b)(3) of this section
in weight percent.
(ii) Quarterly density of the CO2
stream in metric tons per standard cubic
meter if you report the concentration of
the CO2 stream in paragraph (b)(3) of
this section in volume percent.
*
*
*
*
*
(7) The location of the flow meter in
your process chain in relation to the
points of CO2 stream capture,
dehydration, compression, and other
processing.
(c) For the aggregated annual mass of
CO2 emissions calculated using
Equation PP–3a or PP–3b, report the
following:
(1) If you use Equation PP–3a of this
subpart, report the annual CO2 mass in
metric tons from all flow meters and
CO2 streams that deliver CO2 to
containers.
(2) If you use Equation PP–3b of this
subpart, report:
(i) The total annual CO2 mass through
main flow meter(s) in metric tons.
(ii) The total annual CO2 mass
through subsequent flow meter(s) in
metric tons.
(iii) The total annual CO2 mass
supplied in metric tons.
(iv) The location of each flow meter
in relation to the point of segregation.
*
*
*
*
*
(e) * * *
(1) The type of equipment used to
measure the total flow of the CO2 stream
or the total mass or volume in CO2
containers.
*
*
*
*
*
[FR Doc. 2010–30286 Filed 12–16–10; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\17DER2.SGM
17DER2
Agencies
[Federal Register Volume 75, Number 242 (Friday, December 17, 2010)]
[Rules and Regulations]
[Pages 79092-79171]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2010-30286]
[[Page 79091]]
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Part II
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 98
Mandatory Reporting of Greenhouse Gases; Final Rule
Federal Register / Vol. 75, No. 242 / Friday, December 17, 2010 /
Rules and Regulations
[[Page 79092]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 98
[EPA-HQ-OAR-2008-0508; FRL-9234-7]
RIN 2060-AQ33
Mandatory Reporting of Greenhouse Gases
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is amending specific provisions in the greenhouse gas
reporting rule to clarify certain provisions, to correct technical and
editorial errors, and to address certain questions and issues that have
arisen since promulgation. These final changes include generally
providing additional information and clarity on existing requirements,
allowing greater flexibility or simplified calculation methods for
certain sources, amending data reporting requirements to provide
additional clarity on when different types of greenhouse gas emissions
need to be calculated and reported, clarifying terms and definitions in
certain equations and other technical corrections and amendments.
DATES: The final rule is effective on December 31, 2010. The
incorporation by reference of certain publications listed in the final
rule amendments are approved by the director of the Federal Register as
of December 31, 2010.
ADDRESSES: EPA has established a docket under Docket ID No. EPA-HQ-OAR-
2008-0508 for this action. All documents in the docket are listed in
the https://www.regulations.gov index. Although listed in the index,
some information is not publicly available, e.g., confidential business
information (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 Ave., NW., Washington, DC. 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: Carole Cook, Climate Change Division,
Office of Atmospheric Programs (MC-6207J), Environmental Protection
Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20460; telephone
number: (202) 343-9263; fax number: (202) 343-2342; e-mail address:
GHGReportingRule@epa.gov. For technical information and implementation
materials, please go to the Greenhouse Gas Reporting Program Web site
https://www.epa.gov/climatechange/emissions/ghgrulemaking.html. To
submit a question, select Rule Help Center, followed by Contact Us.
SUPPLEMENTARY INFORMATION: Regulated Entities. The Administrator
determined that this action is subject to the provisions of Clean Air
Act (CAA) section 307(d). See CAA section 307(d)(1)(V) (the provisions
of section 307(d) apply to ``such other actions as the Administrator
may determine''). These are final amendments to existing regulations.
These amended regulations affect owners or operators of certain
suppliers and direct emitters of greenhouse gases (GHGs). Regulated
categories and entities include those listed in Table 1 of this
preamble:
Table 1--Examples of Affected Entities by Category
------------------------------------------------------------------------
Examples of affected
Category NAICS facilities
------------------------------------------------------------------------
General Stationary Fuel .............. Facilities operating
Combustion Sources. boilers, process
heaters, incinerators,
turbines, and internal
combustion engines.
211 Extractors of crude
petroleum and natural
gas.
321 Manufacturers of lumber
and wood products.
322 Pulp and paper mills.
325 Chemical manufacturers.
324 Petroleum refineries
and manufacturers of
coal products.
316, 326, 339 Manufacturers of rubber
and miscellaneous
plastic products.
331 Steel works, blast
furnaces.
332 Electroplating,
plating, polishing,
anodizing, and
coloring.
336 Manufacturers of motor
vehicle parts and
accessories.
221 Electric, gas, and
sanitary services.
622 Health services.
611 Educational services.
Electricity Generation......... 221112 Fossil-fuel fired
electric generating
units, including units
owned by Federal and
municipal governments
and units located in
Indian Country.
Adipic Acid Production......... 325199 Adipic acid
manufacturing
facilities.
Aluminum Production............ 331312 Primary aluminum
production facilities.
Ammonia Manufacturing.......... 325311 Anhydrous and aqueous
ammonia production
facilities.
Cement Production.............. 327310 Portland Cement
manufacturing plants.
Ferroalloy Production.......... 331112 Ferroalloys
manufacturing
facilities.
Glass Production............... 327211 Flat glass
manufacturing
facilities.
327213 Glass container
manufacturing
facilities.
327212 Other pressed and blown
glass and glassware
manufacturing
facilities.
HCFC-22 Production and HFC-23 325120 Chlorodifluoromethane
Destruction. manufacturing
facilities.
Hydrogen Production............ 325120 Hydrogen production
facilities.
Iron and Steel Production...... 331111 Integrated iron and
steel mills, steel
companies, sinter
plants, blast
furnaces, basic oxygen
process furnace shops.
Lead Production................ 331419 Primary lead smelting
and refining
facilities.
331492 Secondary lead smelting
and refining
facilities.
Lime Production................ 327410 Calcium oxide, calcium
hydroxide, dolomitic
hydrates manufacturing
facilities.
Nitric Acid Production......... 325311 Nitric acid production
facilities.
Petrochemical Production....... 32511 Ethylene dichloride
production facilities.
[[Page 79093]]
325199 Acrylonitrile, ethylene
oxide, methanol
production facilities.
325110 Ethylene production
facilities.
325182 Carbon black production
facilities.
Petroleum Refineries........... 324110 Petroleum refineries.
Phosphoric Acid Production..... 325312 Phosphoric acid
manufacturing
facilities.
Pulp and Paper Manufacturing... 322110 Pulp mills.
322121 Paper mills.
322130 Paperboard mills.
Silicon Carbide Production..... 327910 Silicon carbide
abrasives
manufacturing
facilities.
Soda Ash Manufacturing......... 325181 Alkalies and chlorine
manufacturing
facilities.
212391 Soda ash, natural,
mining and/or
beneficiation.
Titanium Dioxide Production.... 325188 Titanium dioxide
manufacturing
facilities.
Zinc Production................ 331419 Primary zinc refining
facilities.
331492 Zinc dust reclaiming
facilities, recovering
from scrap and/or
alloying purchased
metals.
Municipal Solid Waste Landfills 562212 Solid waste landfills.
221320 Sewage treatment
facilities.
Manure Management \a\.......... 112111 Beef cattle feedlots.
112120 Dairy cattle and milk
production facilities.
112210 Hog and pig farms.
112310 Chicken egg production
facilities.
112330 Turkey Production.
112320 Broilers and other meat
type chicken
production.
Suppliers of Natural Gas and 221210 Natural gas
NGLs. distribution
facilities.
211112 Natural gas liquid
extraction facilities.
Suppliers of Industrial GHGs... 325120 Industrial gas
production facilities.
Suppliers of Carbon Dioxide 325120 Industrial gas
(CO2). production facilities.
------------------------------------------------------------------------
\a\ EPA will not be implementing subpart JJ of 40 CFR part 98 using
funds provided in its FY2010 appropriations or Continuing
Appropriations Act, 2011 (Pub. L. 111-242), due to a Congressional
restriction prohibiting the expenditure of funds for this purpose.
Table 1 of this preamble is not intended to be exhaustive, but
rather provides a guide for readers regarding facilities and suppliers
likely to be affected by this action. Table 1 of this preamble lists
the types of facilities and suppliers that EPA is now aware could be
potentially affected by the reporting requirements. Other types of
facilities and suppliers than those listed in the table could also be
subject to reporting requirements. To determine whether you are
affected by this action, you should carefully examine the applicability
criteria found in 40 CFR part 98, subpart A or the relevant criteria in
the subparts. If you have questions regarding the applicability of this
action to a particular facility or supplier, consult the person listed
in the preceding FOR FURTHER INFORMATION CONTACT section.
What is the effective date? The final rule is effective on December
31, 2010. Section 553(d) of the Administrative Procedure Act (APA), 5
U.S.C. Chapter 5, generally provides that rules may not take effect
earlier than 30 days after they are published in the Federal Register.
EPA is issuing this final rule under section 307(d)(1) of the Clean Air
Act, which states: ``The provisions of section 553 through 557 * * * of
Title 5 shall not, except as expressly provided in this section, apply
to actions to which this subsection applies.'' Thus, section 553(d) of
the APA does not apply to this rule. EPA is nevertheless acting
consistently with the purposes underlying APA section 553(d) in making
this rule effective on December 31, 2010. Section 5 U.S.C. 553(d)(3)
allows an effective date less than 30 days after publication ``as
otherwise provided by the agency for good cause found and published
with the rule.'' As explained below, EPA finds that there is good cause
for this rule to become effective on December 31, 2010, even though
this results in an effective date fewer than 30 days from date of
publication in the Federal Register.
While this action is being signed prior to December 1, 2010, there
is likely to be a significant delay in the publication of this rule as
it contains complex equations and tables and is relatively long in
length. As an example, EPA signed a shorter technical amendments
package related to the same underlying reporting rule on October 7,
2010, and it was not published until October 28, 2010 (75 FR 66434),
three weeks later.
The purpose of the 30-day waiting period prescribed in 5 U.S.C.
553(d) is to give affected parties a reasonable time to adjust their
behavior and prepare before the final rule takes effect. Where, as
here, the final rule will be signed and made available on the EPA Web
site more than 30 days before the effective date, but where the
publication is likely to be delayed due to the complexity and length of
the rule, that purpose is still met. Moreover, most of the revisions
being made in this package provide flexibilities to sources covered by
the reporting rule, or otherwise relieve a restriction. Thus, a shorter
effective date in such circumstances is consistent with the purposes of
APA section 553(d), which provides an exception for any action that
grants or recognizes an exemption or relieves a restriction.
Accordingly, we find good cause exists to make this rule effective on
December 31, 2010, consistent with the purposes of 5 U.S.C. 553(d)(3).
Judicial Review. Under section 307(b)(1) of the CAA, judicial
review of this final rule is available only by filing a petition for
review in the U.S. Court of Appeals for the District of Columbia
Circuit (the Court) by February 15, 2011. Under CAA section
307(d)(7)(B), only an objection to this final rule that was raised with
reasonable specificity during the period for public comment can be
raised during judicial review. CAA section 307(d)(7)(B) also provides a
mechanism for EPA to convene a proceeding for reconsideration, ``[i]f
the person raising an objection can demonstrate to EPA that it was
impracticable to raise such objection within [the period for public
comment] or if the grounds for such objection arose after the period
for public
[[Page 79094]]
comment (but within the time specified for judicial review) and if such
objection is of central relevance to the outcome of the rule.'' Any
person seeking to make such a demonstration to us should submit a
Petition for Reconsideration to the Office of the Administrator,
Environmental Protection Agency, Room 3000, Ariel Rios Building, 1200
Pennsylvania Ave., NW., Washington, DC 20460, with a copy to the person
listed in the preceding FOR FURTHER INFORMATION CONTACT section, and
the Associate General Counsel for the Air and Radiation Law Office,
Office of General Counsel (Mail Code 2344A), Environmental Protection
Agency, 1200 Pennsylvania Ave., NW., Washington, DC 20004. Note, under
CAA section 307(b)(2), the requirements established by this final rule
may not be challenged separately in any civil or criminal proceedings
brought by EPA to enforce these requirements.
Acronyms and Abbreviations. The following acronyms and
abbreviations are used in this document.
API American Petroleum Institute
ARP Acid Rain Program
ASME American Society of Mechanical Engineers
ASTM American Society for Testing and Materials
BAMM best available monitoring method
CAA Clean Air Act
cc cubic centimeters
CE calibration error
CEMS continuous emission monitoring system
CFR Code of Federal Regulations
CGA Cylinder gas audit
CH4 methane
CO carbon monoxide
CO2 carbon dioxide
CO2e CO2-equivalent
CWPB center worked prebake
FR Federal Register
FTIR Fourier transform infrared
GC gas chromatography
GHG greenhouse gas
GHGRP Greenhouse Gas Reporting Program
GPA Gas Processors Association
GWP global warming potential
HFCs hydrofluorocarbons
HHV high heat value
HSS horizontal stud S[oslash]derberg
IPCC Intergovernmental Panel on Climate Change
IR infrared
LDCs local natural gas distribution companies
mmBtu/hr million British thermal units per hour
mscf thousand standard cubic feet
MSW municipal solid waste
mtCO2e metric tons of CO2 equivalents
MVC molar volume conversion factor
NESHAP National Emission Standards for Hazardous Air Pollutants
NIST National Institute of Standards and Technology
NMR nuclear magnetic resonance
NSPS New Source Performance Standards
N2O nitrous oxide
NAICS North American Industry Classification System
NGLs natural gas liquids
O2 oxygen
OMB Office of Management and Budget
PFC perfluorocarbon
psia pounds per square inch absolute
QA quality assurance
QA/QC quality assurance/quality control
RATA relative accuracy test audit
RFA Regulatory Flexibility Act
scf standard cubic feet
scfm standard cubic feet per minute
SF6 sulfur hexafluoride
SO2 sulfur dioxide
SWPB side worked prebake
U.S. United States
VSS vertical stud S[oslash]derberg
Table of Contents
I. Background
A. How is this preamble organized?
B. Background on This Action
C. Legal Authority
D. How will these amendments apply to 2011 reports?
II. Final Amendments and Responses to Public Comments
A. Subpart A--General Provisions: Best Available Monitoring
Methods
B. Subpart A--General Provisions: Calibration Requirements
C. Subpart A--General Provisions: Reporting of Biogenic
Emissions
D. Subpart A--General Provisions: Requirements for Correction
and Resubmission of Annual Reports
E. Subpart A--General Provisions: Information to Record for
Missing Data Events
F. Subpart A--General Provisions: Other Technical Corrections
and Amendments
G. Subpart C--General Stationary Fuel Combustion
H. Subpart D--Electricity Generation
I. Subpart F--Aluminum Production
J. Subpart G--Ammonia Manufacturing
K. Subpart P--Hydrogen Production
L. Subpart V--Nitric Acid Production
M. Subpart X--Petrochemical Production
N. Subpart Y--Petroleum Refineries
O. Subpart AA--Pulp and Paper Manufacturing
P. Subpart NN--Suppliers of Natural Gas and Natural Gas Liquids
Q. Subpart OO--Suppliers of Industrial Greenhouse Gases
R. Subpart PP--Suppliers of Carbon Dioxide
III. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act (UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination with
Indian Tribal Governments
G. Executive Order 13045: Protection of Children from
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions that Significantly Affect
Energy Supply, Distribution, or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions to Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act
I. Background
A. How is this preamble organized?
The first section of this preamble contains the basic background
information about the origin of these rule amendments. This section
also discusses EPA's use of our legal authority under the CAA to
collect data on GHGs.
The second section of this preamble describes in detail the rule
changes that are being promulgated to, among other things, correct
technical errors, provide clarification, and address implementation
issues identified by EPA and others. This section also presents a
summary and EPA's response to the major public comments submitted on
the proposed rule amendments, and significant changes, if any, made
since proposal in response to those comments.
Finally, the last (third) section discusses the various statutory
and executive order requirements applicable to this rulemaking.
B. Background on This Action
The final Mandatory Reporting of Greenhouse Gases Rule was signed
by EPA Administrator Lisa Jackson on September 22, 2009 and published
in the Federal Register on October 30, 2009 (74 FR 56260-56519). This
rule, which added Part 98 to chapter 40 of the Code of Federal
Regulations (CFR) as well as amending other parts of 40 CFR, became
effective on December 29, 2009, and included reporting of GHG
information from facilities and suppliers, consistent with the 2008
Consolidated Appropriations Act.\1\ These source categories capture
approximately 85 percent of U.S. GHG emissions through reporting by
direct emitters as well as certain suppliers (e.g., fossil fuel,
petroleum products, industrial gases and CO2) and
manufacturers of mobile sources.
---------------------------------------------------------------------------
\1\ Consolidated Appropriations Act, 2008, Pub. L. 110-161, 121
Stat. 1844, 2128.
---------------------------------------------------------------------------
EPA published a notice proposing these amendments to Part 98 to,
among other things, correct certain technical and editorial errors that
have been identified since promulgation and clarify or propose
amendments to certain provisions that have been the subject of
questions from reporting entities. The proposal was published on
[[Page 79095]]
August 11, 2010 (75 FR 48744). The public comment period for the
proposed rule amendments ended on September 27, 2010. EPA did not
receive any requests to hold a public hearing.
This is the second time that EPA has published a notice
promulgating amendments to Part 98 to, among other things, correct
certain technical and editorial errors identified since Part 98 was
originally promulgated and to clarify and amend certain provisions that
have been the subject of questions from reporting entities. The first
final rule amendments were published on October 28, 2010 (75 FR 66434).
This final rule complements the final rule published on October 28,
2010 and is not intended to duplicate or replace those amendments.
C. Legal Authority
EPA is promulgating these rule amendments under its existing CAA
authority, specifically authorities provided in CAA section 114.
As stated in the preamble to the 2009 final rule (74 FR 56260,
October 30, 2009), CAA section 114 provides EPA broad authority to
require the information mandated by Part 98 because such data would
inform and are relevant to EPA's obligation to carry out a wide variety
of CAA provisions. As discussed in the preamble to the initial proposal
(74 FR 16448, April 10, 2009), CAA section 114(a)(1) authorizes the
Administrator to require emissions sources, persons subject to the CAA,
manufacturers of process or control equipment, and persons whom the
Administrator believes may have necessary information to monitor and
report emissions and provide such other information the Administrator
requests for the purposes of carrying out any provision of the CAA. For
further information about EPA's legal authority, see the preambles to
the proposed and final rule, and Response to Comments Documents.\2\
---------------------------------------------------------------------------
\2\ 74 FR 16448 (April 10, 2009) and 74 FR 56260 (October 30,
2009). Response to Comments Documents can be found at https://www.epa.gov/climatechange/emissions/responses.html
---------------------------------------------------------------------------
D. How will these amendments apply to 2011 reports?
We have determined that it is feasible for sources to implement
these changes for the 2010 reporting year because the revisions
primarily provide additional clarifications regarding the existing
regulatory requirements, generally do not affect the type of
information that must be collected and do not substantially affect how
emissions are calculated. Our rationale for this determination is
explained in the preamble to the proposed rule amendments.\3\ In
response to general comments submitted on the proposed rulemaking, we
have again reviewed the final amendments and determined that, with one
limited exception, they can be implemented, as finalized, for the 2010
reporting year.
---------------------------------------------------------------------------
\3\ 75 FR 48747 (August 11, 2010).
---------------------------------------------------------------------------
The one new requirement, regarding reporting of biogenic
CO2 emissions from units subject to 40 CFR Part 75, is being
phased in, so that it remains optional for reporting year 2010, but
becomes mandatory for each subsequent year. Therefore this revision, as
finalized, already accommodates implementation for the 2010 reporting
year.
In summary, except for the exception discussed above regarding
biogenic CO2 emissions, these amendments do not require any
additional monitoring or data collection above what was already
included in Part 98. Therefore, we have determined that reporters can
use the same information that they have been collecting under Part 98
for each subpart to calculate and report GHG emissions for 2010 and
submit reports in 2011 under the amended subparts.
Following is a brief summary of major comments and responses.
Several comments were received on this topic. Responses to additional
significant comments received can be found in the document, ``Response
to Comments: Revision to Certain Provisions of the Mandatory Reporting
of Greenhouse Gases Rule'' (see EPA-HQ-OAR-2008-0508).
Comment: Several commenters requested that we make use of the
amendments optional for the 2010 reporting year and mandatory beginning
with the 2011 reporting year. The commenters expressed concern that in
2010, sources may not have been collecting the required data to
implement certain amendments.
Response: We sought comment on the feasibility of incorporating the
proposed revisions for the 2010 reporting year. In the proposal, we
explained that we felt implementation for the 2010 reporting year would
be feasible because the proposed revisions, to a great extent, would
simply clarify existing regulatory requirements or add flexibility to
the rule. Further, the proposed amendments would not substantially
affect the type of information that must be collected or how emissions
are calculated. We sought comment on this conclusion and whether this
timeline is feasible or appropriate, considering the nature of the
proposed changes and the way in which data have been collected thus far
in 2010. We requested that commenters provide specific reasons why they
believe that the proposed implementation schedule would or would not be
feasible. We received some comments about making optional the use of
the amendments in 2010, as well as comments proposing to extend
submission of the first reports until June 1, 2011. We received a few
industry-specific examples providing a rationale for extending the
deadline for reporting, or making use of the amendments optional for
the 2010 reporting year. For example, some commenters expressed concern
that the proposed clarification of the definition of natural gas, as
well as the introduction of fuel gas into Table C-1, could affect
applicability under the rule and the use of the tiers under subpart C.
We have addressed the underlying concerns expressed by these
commenters, as EPA did not intend to change applicability or force
facilities to use higher tiered calculation methodologies. Therefore,
because we addressed the underlying concerns, we are finalizing
requirements to incorporate the amendments into 2010 reporting year
data.
II. Final Amendments and Responses to Public Comments
We are amending various subparts in Part 98 to correct errors in
the regulatory language that were identified as a result of working
with reporters to implement the various subparts of Part 98. We are
also amending certain rule provisions to provide greater clarity. The
amendments to Part 98 include the following types of changes:
Additional information to understand better or more fully
compliance obligations in a specific provision, such as the reference
to a standardized method that must be followed.
Amendments to certain equations to better reflect actual
operating conditions.
Corrections to terms and definitions in certain equations.
Corrections to data reporting requirements so that they
more closely conform to the information used to perform emission
calculations.
Amendments, in limited cases, to allow for the use of
simplified emissions calculation methods.
Changes to correct cross references within and between
subparts.
Other amendments related to certain issues identified as a
result of working with reporters during rule implementation and
outreach.
Applying a threshold for reporting for local distribution
companies of equal to or greater than 460,000 thousand
[[Page 79096]]
standard cubic feet (mscf) of natural gas delivered per year.
Requiring separate reporting of biogenic CO2
emissions for units that are also subject to 40 CFR part 75, beginning
with the 2011 reporting year.
The final amendments promulgated by this action reflect EPA's
consideration of the comments received on the proposal. The major
public comments and EPA's responses for each subpart are provided in
this preamble. Our responses to additional significant public comments
on the proposal are presented in a comment response document available
in Docket ID No. EPA-HQ-OAR-2008-0508.
A. Subpart A--General Provisions: Best Available Monitoring Methods
1. Summary of Final Amendments and Major Changes Since Proposal
EPA is finalizing the petition process established in 40 CFR
98.3(j) that allows use of Best Available Monitoring Methods (BAMM)
past December 31, 2010 for owners and operators required to report
under subpart P (Hydrogen Production), subpart X (Petrochemical
Production), or subpart Y (Petroleum Refineries), under limited
circumstances. Owners or operators subject to these subparts can
petition EPA to extend use of BAMM past December 31, 2010, if
compliance with a specific provision in the regulation requires
measurement device installation, and installation would necessitate an
unscheduled process equipment or unit shutdown, or could be installed
only through a ``hot tap.'' If the application is approved, the owner
or operator can postpone installation of the measurement device until
the next scheduled maintenance outage, but initially no later than
December 31, 2013. If, in 2013, owners or operators still determine and
certify that a scheduled shutdown will not occur by December 31, 2013,
they may re-apply to use best available monitoring methods for an
additional two years.
Process for requesting an extension of best available monitoring
methods. We are adding a similar petition process to that recently
concluded for the use of BAMM for 2010 in 40 CFR 98.3(j). The process
is for quantifying emissions from any source category at facilities
subject to subparts P, X and/or Y, and solely for the installation of
measurement devices that cannot be installed safely except during full
process equipment or unit shutdown or through installation via a hot
tap. BAMM is allowable initially no later than December 31, 2013.
Subpart P, X, and/or Y owners or operators requesting to use BAMM
beyond 2010 are required to electronically notify EPA by January 1,
2011 that they intend to apply for BAMM for installation of measurement
devices and certify that such installation will require a hot tap or
unscheduled shutdown.
Owners or operators must submit the full extension request for BAMM
by February 15, 2011. The full extension request must include a
description of the measurement devices that could not be installed in
2010 without a process equipment or unit shutdown, or through a hot
tap, a clear explanation of why that activity could not be accomplished
in 2010 with supporting material, an estimated date for the next
planned maintenance outage, and a discussion of how emissions will be
calculated in the interim. More specifically, the full extension
request must identify the specific monitoring instrumentation for which
the request is being made, indicate the locations where each piece of
monitoring instrumentation will be installed, and note the specific
rule requirements (by rule subpart, section, and paragraph numbers) for
which the instrumentation is needed. The extension requests must also
include supporting documentation demonstrating that it is not
practicable to isolate the equipment and install the monitoring
instrument without a full process equipment or unit shutdown, or
through a hot tap, as well as providing the dates of the three most
recent process equipment or unit shutdowns, the typical frequency of
shutdowns for the respective equipment or unit, and the date of the
next planned shutdown.
Once subpart P, X, and/or Y owners or operators have notified EPA
of their plan to apply for BAMM for measurement device installation, by
January 1, 2011, and subsequently submitted a full extension request,
by February 15, 2011, they can automatically use BAMM consistent with
their request through June 30, 2011. This automatic extension is
necessary because the current BAMM requests submitted by these
facilities will end no later than December 31, 2010. The BAMM must be
extended automatically to provide EPA the time to review thoroughly the
BAMM requests submitted for post-2010, while ensuring that the
petitioning facilities are not out of compliance with the rule during
that review process. All measurement devices must be installed by July
1, 2011 unless EPA approves the BAMM extension request before that
date.
Approval of extension requests. In any approval of an extension
request, EPA will approve the extension itself, establish a date by
which all measurement devices must be installed, and indicate the
approved alternate method for calculating GHG emissions in the interim.
If EPA approves an extension request, the owner/operator has until
the date approved by EPA to install the relevant remaining meters or
other measurement devices, however initial approvals will not grant
extensions beyond December 31, 2013. An owner/operator that already
received approval from EPA to use BAMM during part or all of 2010 is
required to submit a new request for use of BAMM beyond 2010. Unless
EPA has approved an extension request, all owners or operators that
submit a timely request under this new process for BAMM will be
required to install all measurement devices by July 1, 2011.
We recognize that occasionally a facility may plan a scheduled
process equipment or unit shutdown and the installation of required
monitoring equipment, but the date of the scheduled shutdown is
changed. We are adding a process by which owners or operators who
receive an extension will have the opportunity to extend the use of
BAMM beyond the date approved by EPA if they can demonstrate to the
Administrator's satisfaction that they are making a good faith effort
to install the required equipment. At a minimum, facilities that
determine that the date of a scheduled shutdown will be postponed are
required to notify EPA within 4 weeks of such a determination, but no
later than 4 weeks before the date for which the planned shutdown was
scheduled.
One-time request to extend best available monitoring methods past
December 31, 2013. If subpart P, X, and/or Y owners or operators
determine that a scheduled shutdown will not occur by December 31, 2013
and thus they want to continue to use BAMM, they are required to re-
apply to use BAMM for one additional time period, not to extend beyond
December 31, 2015. To obtain an extension for the use of BAMM past
December 13, 2013, owners or operators are required to submit a new
extension request by June 1, 2013 that contains the information
required in 40 CFR 98.3(j)(4). All owners or operators that submit a
request under this paragraph to extend the use of best available
monitoring methods for measurement device installation are required to
install all measurement devices by December 31, 2013, unless the
additional extension request under this paragraph is approved by EPA.
[[Page 79097]]
2. Summary of Comments and Responses
This section contains a brief summary of major comments and
responses. Several comments were received on this topic. Responses to
additional significant comments received can be found in the document,
``Response to Comments: Revision to Certain Provisions of the Mandatory
Reporting of Greenhouse Gases Rule'' (see EPA-HQ-OAR-2008-0508).
Comment: EPA received several comments, both in support of and in
opposition to, the proposed extension of BAMM for facilities subject to
subparts P, X and Y. Some commenters that supported the new BAMM
process also recommended that EPA extend the process beyond hydrogen
producers, petrochemical facilities and petroleum refineries. They
suggested that the same logic should apply to all facilities, that
installation of monitoring equipment should not require process
equipment or unit shutdown.
Other commenters were concerned that the new BAMM process conflicts
with the need for consistent data. The commenters urged that if EPA
nevertheless decides to finalize the requirements, there should be only
a one-time application process with BAMM ending no later than December
2013. Further, they asserted that EPA should require facilities to make
use of unplanned shutdowns as an opportunity to install equipment.
Response: EPA carefully considered the issues raised by commenters
and decided to retain the BAMM extension process, as proposed, only for
facilities subject to subparts P, X and Y. The proposal preamble sought
comment on this very issue and requested that commenters provide
information on additional subparts, if any, that would need this
flexibility, and include information on why installation could not be
done in the absence of such a shutdown or why such shutdowns did not or
could not occur in 2010 without unreasonable burden on the facility.
Commenters did not provide the requested information to support their
position that the provision should be extended to other industries. In
summary, the commenters argued only that EPA should provide this
flexibility, but did not provide a rationale as to why additional
industries needed the flexibility.
Regarding concerns that the new BAMM process would lead to
inconsistent data, EPA has determined that this limited opportunity for
a BAMM extension will provide sufficiently consistent data for these
industries without causing the unnecessary burden or potential safety
concerns that would be associated with installation of monitoring
devices during unplanned shutdowns or hot taps. EPA notes that the BAMM
process will still require facilities to follow the calculation methods
in the rule, but will allow owners or operators to use alternative
methods to provide the inputs to those calculations. Further, unlike
the BAMM process that was established by promulgation of the October
30, 2009 reporting rule (74 FR 56379-56380), any request for BAMM after
2010 will require EPA approval of a facility's proposed approach to be
implemented in lieu of the requirements in the rule. This further
ensures that EPA will continue to receive data of the appropriate
quality.
EPA decided not to limit BAMM to a one-time extension through 2013,
because we determined that the reasons supporting extension through
2013 were still valid post 2013. Specifically, facilities in these
particularly complex industries should not have to shut down
unnecessarily in order to install equipment. Data provided by these
industries show that some units, for example crude distillation units,
are shut down only every 4 to 7 years. Other units such as vacuum
distillation units, fluid catalytic cracking units, distillate
hydrotreating units, catalytic feed hydrotreaters, hydrocrackers,
coking units, sulfur recovery units and cogeneration units can be shut
down as infrequently as every 5 years (see final Background Technical
Support document to the Revision of Certain Provisions of the Mandatory
Reporting of Greenhouse Gases Rule). Thus, providing a potential end
date for BAMM of December 31, 2015, is appropriate based on information
presented for these industries on the typical frequency of shutdown for
these facilities.
We also are not requiring a facility to order the measurement
equipment early and have it on hand in the event of an unplanned
shutdown before the scheduled shutdown. First, it would be hard to
enforce a requirement to install equipment during an unplanned shutdown
``if feasible'' because it would be hard to objectively determine
whether a facility should have installed equipment during an unplanned
shutdown. Moreover, during an unplanned shutdown, the priority is often
to get the equipment up and running as quickly and safely as possible;
therefore, there is not necessarily time to install the measurement
equipment.
Comment: In a related comment, one commenter raised concerns about
Tier 3 monitoring requirements for a stream at its facility that is
dangerous to monitor due to the presence of hydrogen cyanide. They
indicated that they used BAMM to implement an approach other than
direct sampling of the inputs to the equations for the 2010 reporting
year, and now are considering implementing the Tier 4 method for future
years. However, they argued the rule should provide a mechanism to
address these dangerous streams.
Response: No rule change has been made as a result of the comment.
For the 2010 reporting year, the BAMM provisions were designed for use
where it was not possible to acquire, install and operate a required
piece of equipment during the early months of the GHG Reporting
Program. Safety concerns were a valid reason for approving these early
BAMM applications.
Although the commenter notes concerns with conducting the Tier 3
method for quantifying emissions from stationary combustion at the
facility due to the presence of a hydrogen cyanide stream, EPA notes
that the rule does not limit them to use of a Tier 3 approach. As
acknowledged by the commenter, they also have the opportunity to use
Tier 4 to meet the requirements of the rule and, by taking advantage of
BAMM for 2010, had one year to install the Tier 4 equipment. The
commenter merely wants additional time beyond that already provided in
the rule to comply with the Tier 4 requirements. The commenter does not
justify the requested extension by pointing to issues like unplanned
shutdowns or hot taps, as discussed in the proposal. EPA has determined
the unique situation raised by the commenter does not warrant expanding
the BAMM process generally beyond industries subject to subparts P, X
and Y.
B. Subpart A--General Provisions: Calibration Requirements
1. Summary of Final Amendments and Major Changes Since Proposal
EPA has finalized amendments to 40 CFR 98.3(i)(1) to specify that
the calibration accuracy requirements of 40 CFR 98.3(i)(2) and (i)(3)
are required only for flow meters that measure liquid and gaseous fuel
feed rates, feedstock flow rates, or process stream flow rates that are
used in the GHG emissions calculations, and only when the calibration
accuracy requirement is specified in an applicable subpart of Part 98.
For instance, the QA/QC requirements in 40 CFR 98.34(b)(1) of
[[Page 79098]]
subpart C require all flow meters that measure liquid and gaseous fuel
flow rates for the Tier 3 CO2 calculation methodology to be
calibrated according to 40 CFR 98.3(i); therefore, the accuracy
standards in 40 CFR 98.3(i)(2) and (i)(3) will continue to apply to
these meters.
We are also amending 40 CFR 98.3(i) to clarify that the calibration
accuracy specifications of 40 CFR 98.3(i)(2) and (i)(3) do not apply
where the use of company records or the use of best available
information is specified to quantify fuel usage or other parameters,
nor do they apply to sources that use Part 75 methodologies to
calculate CO2 mass emissions because the Part 75 quality-
assurance is sufficient. Although calibration accuracy requirements are
not applicable for these data sources, per the requirements of
98.3(g)(5), reporters are still required to explain in their monitoring
plan the processes and methods used to collect the necessary data for
the GHG calculations.
We are also amending 40 CFR 98.3(i)(1) to clarify that the
calibration accuracy specifications in 40 CFR 98.3(i)(2) and (i)(3) do
not apply to other measurement devices (e.g., weighing devices) that
provide data for the GHG emissions calculations. Rather, these devices
must be calibrated to meet the accuracy requirements of the relevant
subpart(s), or, in the absence of such requirements, meet appropriate,
technology-based error-limits, such as industry consensus standards or
manufacturer's accuracy specifications. Consistent with 40 CFR
98.3(g)(5)(i)(C), the procedures and methods used to quality-assure the
data from the measurement devices must be documented in the written
monitoring plan.
We are adding a new paragraph 40 CFR 98.3(i)(1)(ii) to clarify that
flow meters and other measurement devices need to be installed and
calibrated by the date on which data collection needs to begin, if a
facility or supplier becomes subject to Part 98 after April 1, 2010.
We are adding new paragraph 40 CFR 98.3(i)(1)(iii) to specify the
frequency at which subsequent recalibrations of flow meters and other
measurement devices must be performed. Recalibration must be at the
frequency specified in each applicable subpart, or at the frequency
recommended by the manufacturer or by an industry consensus standard
practice, if no recalibration frequency was specified in an applicable
subpart.
We are adding new paragraph 40 CFR 98.3(i)(7) to specify the
consequences of a failed flow meter calibration. Data become invalid
prospectively, beginning at the hour of the failed calibration and
continuing until a successful calibration is completed. Appropriate
substitute data values must be used during the period of data
invalidation.
In 40 CFR 98.3(i)(2) and (3), we are adding absolute value signs to
the numerators of Equations A-2 and A-3. These were inadvertently
omitted in the October 30, 2009 Part 98.
We are also amending 40 CFR 98.3(i)(3) to increase the alternative
accuracy specification for orifice, nozzle, and venturi flow meters
(i.e., the arithmetic sum of the three transmitter calibration errors
(CE) at each calibration level) from 5.0 percent to 6.0 percent, since
each transmitter is individually allowed an accuracy of 2.0 percent. We
are also amending 40 CFR 98.3(i)(3) for orifice, nozzle, and venturi
flow meters to account for cases where not all three transmitters for
total pressure, differential pressure, and temperature are located in
the vicinity of a flow meter's primary element. Instead of being
required to install additional transmitters, reporters are, as
described below, conditionally allowed to use assumed values for
temperature and/or total pressure based on measurements of these
parameters at remote locations. If only two of the three transmitters
are installed and an assumed value is used for temperature or total
pressure, the maximum allowable calibration error is 4.0 percent. If
two assumed values are used and only the differential pressure
transmitter is calibrated, the maximum allowable calibration error is
2.0 percent.
We are also amending 40 CFR 98.3(i)(3) to add five conditions that
must be met in order for a source to use assumed values for temperature
and/or total pressure at the flow meter location, based on measurements
of these parameters at a remote location (or locations).
The owner or operator must demonstrate that the remote
readings, when corrected, are truly representative of the actual
temperature and/or total pressure at the flow meter location, under all
expected ambient conditions. Pressure and temperature surveys can be
performed to determine the difference between the readings obtained
with the remote transmitters and the actual conditions at the flow
meter location.
All temperature and/or total pressure measurements in the
demonstration must be made with calibrated gauges, sensors,
transmitters, or other appropriate measurement devices.
The methods used for the demonstration, along with the
data from the demonstration, supporting engineering calculations (if
any), and the mathematical relationship(s) between the remote readings
and the actual flow meter conditions derived from the demonstration
data must be documented in the monitoring plan for the unit and
maintained in a format suitable for auditing and inspection.
The temperature and/or total pressure at the flow meter
must be calculated on a daily basis from the remotely measured values,
and the measured flow rates must then be corrected to standard
conditions.
The mathematical correlation(s) between the remote
readings and actual flow meter conditions must be checked at least once
a year, and any necessary adjustments must be made to the
correlation(s) going forward.
We are amending 40 CFR 98.3(i)(4) to include an additional
exemption from the calibration requirements of 40 CFR 98.3(i) for flow
meters that are used exclusively to measure the flow rates of fuels
used for unit startup. For instance, a meter that is used only to
measure the flow rate of startup fuel (e.g., natural gas) to a coal-
fired unit is exempted.
Section 98.3(i)(4) is being further amended to clarify that gas
billing meters are exempted from the monitoring plan and recordkeeping
provisions of 40 CFR 98.3(g)(5)(i)(c), (g)(6) and (g)(7), which
require, respectively, that a description of the methods used to
quality-assure data from instruments used to provide data for the GHG
emissions calculations be included in the written monitoring plan, that
the results of all required certification and QA tests be kept, and
that maintenance records be kept for those instruments.
We are amending 40 CFR 98.3(i)(5) to clarify that flow meters that
were already calibrated according to 40 CFR 98.3(i)(1) following a
manufacturer's recommended calibration schedule or an industry
consensus calibration schedule do not need to be recalibrated by the
date specified in 40 CFR 98.3(i)(1) as long as the flow meter is still
within the recommended calibration interval. This paragraph is also
being amended to clarify that the deadline for successive calibrations
will be according to the manufacturer's recommended calibration
schedule or an industry consensus calibration schedule.
We are amending 40 CFR 98.3(i)(6) to account for units and
processes that operate continuously with infrequent outages and cannot
meet the flow meter calibration deadline without disrupting
[[Page 79099]]
normal process operation. Part 98 allowed the owner or operator to
postpone the initial calibration until the next scheduled maintenance
outage. Although the rule allowed postponement of calibration, it did
not specify how to report fuel consumption for the entire time period
extending from January 1, 2010 until the next maintenance outage. We
are amending 40 CFR 98.3(i)(6) to permit sources to use the best
available data from company records to quantify fuel usage until the
next scheduled maintenance outage. This revision addresses situations
where the next scheduled outage is in 2011, or later.
The major change since proposal is identified in the following
list. The rationale for this and any other significant changes can be
found in this preamble or the document, ``Response to Comments:
Revision to Certain Provisions of the Mandatory Reporting of Greenhouse
Gases Rule'' (see EPA-HQ-OAR-2008-0508).
Removed the words ``ignition'' and ``ignition fuel'' from
40 CFR 98.3(i)(4), so that only fuel flow meters that are used
exclusively for startup are exempted from the calibration requirements
of 40 CFR 98.3(i).
2. Summary of Comments and Responses
This section contains a brief summary of major comments and
responses. Several comments were received on this topic. Responses to
additional significant comments received can be found in the document,
``Response to Comments: Revision to Certain Provisions of the Mandatory
Reporting of Greenhouse Gases Rule'' (see EPA-HQ-OAR-2008-0508).
Comment: We received several comments relating to the proposed
changes to the calibration accuracy requirements set in 40 CFR 98.3(i).
Commenters expressed concern that removing the rule-wide 5 percent
calibration accuracy requirement would compromise the rule's data
quality. The commenters noted that a global calibration accuracy
requirement is necessary to provide data that are accurate and
comparable within and across industries. By dropping this requirement,
the commenters believed small calibration errors will systematically
produce major errors in reported data. For measuring devices other than
flow meters they argued that it is not clear what an ``appropriate''
error range is, or what calibration standards a reporter would deem
``applicable,'' and suggest that by stating calibration standards are
``not limited to industry standards * * *, '' EPA is waiving
calibration requirements for other measuring devices altogether. They
acknowledge that there is a requirement to document the calibration
procedure used in the monitoring plan, but they believe it is not
enforceable and severely reduces transparency. The commenters contend
that the use of different calibration methods and varying levels of
accuracy would make it difficult to correctly interpret and compare the
emissions data, and would render future policy development very
difficult.
In summary, commenters that were concerned about our removal of the
blanket 5 percent calibration accuracy requirements asserted that EPA
has a mandate to implement the rule and cannot promulgate any
subsequent rule that would compromise the quality of the data reported.
They further argue that it is arbitrary and capricious, in light of
EPA's reporting mandate, to waive the calibration accuracy requirements
for any flow meters. All such meters, they contend, should be required
to meet these minimum accuracy requirements, with no exceptions.
Response: We acknowledge the concerns of the commenters and agree
that a high level of data quality is a valuable component of any
environmental program. However, we believe the changes to the
calibration accuracy requirements of 40 CFR 98.3(i) do not jeopardize
the integrity of the reporting program nor compromise EPA's ability to
use the data in the future to support climate policy development.
As originally promulgated, 40 CFR 98.3(i) required that ``all
measurement devices shall be calibrated to an accuracy of 5 percent.''
However, as promulgated, 40 CFR 98.3(i)(2) and (i)(3) only provided
calibration procedures for flow meters. No specific procedures were
provided for other measurement devices. As a result, measurement
devices other than flow meters would necessarily be calibrated
according to procedures specified in other subparts, industry consensus
methods, or manufacturer specifications.
In the ``Technical Support Document for Revision of Certain
Provisions: Proposed Rule for Mandatory Reporting of Greenhouse
Gases,'' dated July 8, 2010 (the TSD), vendor information on various
types of measuring devices shows accuracy ranges of significantly less
than 5 percent. Requiring the calibrations to be performed according to
the accuracy specified by the device manufacturer, rather than 5
percent, would likely actually increase the data accuracy of the rule.
In addition, we recognize that other programs to which reporters may be
subject impose calibration standards that will affect many of the
instruments used for reporting under Part 98. For example, the tested
accuracy of fuel flow meters and transmitter transducers used in the
Acid Rain Program from 2005 through 2009 was well below 1 percent.
As a result of the wide range of industries and measuring devices
used within each industry, we have determined it is not practical to
set a global calibration standard or method that would apply
generically to every measurement device. Replacing the 5 percent
requirement from the 2009 fine rule with manufacturer's specifications
or industry specific standards will provide a higher level of data
certainty across the rule while accommodating the wide variety of
industries and equipment covered by the rule. We think it is highly
unlikely that companies will choose to use arbitrary standards, as the
procedures and methods used to quality-assure the measurement data must
be listed in the facility or supplier's monitoring plan.
The commenters correctly note that the calibration accuracy
requirements of 40 CFR 98.3(i) have been removed where company records
or best available information are used. Since promulgation, we have
consistently affirmed that meters used to generate company records are
not required to be calibrated according to 40 CFR 98.3(i). The purpose
behind allowing the use of company records and best available
information was to permit companies to use fuel billing receipts or
other quality assured information they currently maintain. EPA
authorized the use of company records to alleviate burden and did not
intend for such data to be subject to additional calibration
requirements, which would defeat the purpose of this flexibility.
To be clear, we disagree with the commenter's assertions that we
are ``waiving'' any calibration accuracy requirements or that certain
types of flow meters would not have to be calibrated. All measurement
technologies, except for the limited exceptions in 40 CFR 98.3(i) must
meet calibration accuracy requirements. Further, most major emission
sources should be covered by either the requirements of 40 CFR 98.38(i)
or another program that provides a similarly, if not significantly
more, stringent accuracy requirement. We have concluded that the
amendments to the calibration accuracy requirements do not compromise
our ability to implement successfully this reporting rule.
[[Page 79100]]
Comment: One commenter pointed out an inconsistency in the proposed
rule regarding the term ``ignition fuel.'' EPA proposed to amend 40 CFR
98.3(i)(4) to exempt fuel flow meters that are used exclusively for
startup and ignition fuel from the calibration requirements of 40 CFR
98.3(i). However, EPA also proposed in 40 CFR 98.30(d) to exempt pilot
lights from GHG emission reporting requirements. The commenter noted
that pilot lights are essentially the same as ignitors, and the
reference in 40 CFR 98.3(i)(4) to flow meters that measure ignition
fuel appears to imply that GHG emissions from the combustion of
ignition fuel must be reported.
Response: The GHG emissions reporting exemption for pilot lights in
40 CFR 98.30(d) refers to emissions from combustion of the fuel that
supplies the pilot light. Therefore, in the final rule, we have removed
the words ``ignition'' and ``ignition fuel'' from 40 CFR 98.3(i)(4).
Paragraph (i)(4) now refers only to startup fuel, which is distinctly
different from ignition fuel. For instance, at startup, a coal-fired
boiler may burn natural gas for several hours at high heat input
values, whereas a pilot light is a small flame that simply ignites or
initiates combustion of the main fuel (e.g., fuel oil).
C. Subpart A--General Provisions: Reporting of Biogenic Emissions
1. Summary of Final Amendments and Major Changes Since Proposal
Under the proposed amendments, EPA's goal was to reflect in
regulatory language clarifications that have been issued stating that
separate reporting of biogenic emissions for units subject to 40 CFR
part 75 was optional. To clarify this optional reporting, we proposed
to amend the data elements in subpart A (specifically 40 CFR
98.3(c)(4)) and subpart C that currently require separate accounting
and reporting of biogenic CO2 emissions so that it is
optional for units that are subject to subpart