Approval and Promulgation of Implementation Plans; California; 2008 San Joaquin Valley PM2.5, 69896-69926 [2011-27232]
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ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R09–OAR–2010–0516; FRL–9482–2]
Approval and Promulgation of
Implementation Plans; California; 2008
San Joaquin Valley PM2.5 Plan and
2007 State Strategy
Environmental Protection
Agency (EPA).
ACTION: Final rule.
AGENCY:
EPA is approving in part and
disapproving in part state
implementation plan (SIP) revisions
submitted by California to provide for
attainment of the 1997 fine particulate
matter (PM2.5) national ambient air
quality standards in the San Joaquin
Valley (SJV). These SIP revisions are the
SJV 2008 PM2.5 Plan (revised 2010 and
2011) and SJV-related provisions of the
2007 State Strategy (revised 2009 and
2011). EPA is approving the emissions
inventory, the reasonably available
control measures/reasonably available
control technology demonstration,
reasonable further progress
demonstration, attainment
demonstration and associated air quality
modeling, and the transportation
conformity motor vehicle emissions
budgets. EPA is also granting
California’s request to extend the
attainment deadline for the SJV to April
5, 2015 and approving commitments to
measures and reductions by the SJV
Unified Air Pollution Control District
and the California Air Resources Board.
Finally, it is disapproving the SIP’s
contingency provisions and issuing a
protective finding for transportation
conformity determinations under 40
CFR 93.120(a)(3) for this disapproval.
DATES: The rule is effective January 9,
2012.
SUMMARY:
EPA has established docket
number EPA–R09–OAR–2010–0516 for
this action. The index to the docket is
available electronically at https://
www.regulations.gov and in hard copy
at EPA Region 9, 75 Hawthorne Street,
San Francisco, California. While all
documents in the docket are listed in
the index, some may be publicly
available only at the hard copy location
(e.g., copyrighted material) and some
may not be publicly available at either
location (e.g., CBI). To inspect the hard
copy materials, please schedule an
appointment during normal business
hours with the contact listed in the FOR
FURTHER INFORMATION CONTACT section
below.
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ADDRESSES:
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Copies of the SIP materials are also
available for inspection at the following
locations:
• California Air Resources Board,
1001 I Street, Sacramento, California
95812
• San Joaquin Valley Air Pollution
Control District, 1990 E. Gettysburg,
Fresno, California 93726.
The SIP materials are also
electronically available at: https://
www.valleyair.org/Air_Quality_Plans/
PM_Plans.htm and https://
www.arb.ca.gov/planning/sip/sip.htm.
FOR FURTHER INFORMATION CONTACT:
Frances Wicher, Air Planning Office
(AIR–2), U.S. Environmental Protection
Agency, Region 9, (415) 972–3957,
wicher.frances@epa.gov
SUPPLEMENTARY INFORMATION:
Throughout this document, ‘‘we’’, ‘‘us’’
and ‘‘our’’ refer to EPA.
Table of Contents
I. Summary of EPA’s Proposed and Final
Actions on the 2008 State
Implementation Plan for Attainment of
the 1997 PM2.5 Standards in the San
Joaquin Valley
II. Response to Public Comments Received on
the Proposals
III. Approval Status of the Control Strategy
Measures and Final Actions on the
Attainment Demonstration and
Enforceable Commitments
IV. Approval of the Motor Vehicle Emissions
Budgets and Trading Mechanism for
Transportation Conformity
V. Final Actions and Resulting Clean Air Act
Consequences
VI. Statutory and Executive Order Reviews
I. Summary of EPA’s Proposed and
Final Actions on the 2008 State
Implementation Plan for Attainment of
the 1997 PM2.5 Standards in the San
Joaquin Valley
On July 13, 2011, EPA proposed to
approve in part and disapprove in part
California’s state implementation plan
(SIP) for attaining the 1997 fine
particulate (PM2.5) national ambient air
quality standards (NAAQS) in the San
Joaquin Valley (SJV). See 76 FR 41338.
California developed this SIP to provide
for expeditious attainment of the PM2.5
standards in the SJV and to meet other
applicable PM2.5 planning requirements
in Clean Air Act (CAA) section 172(c)
and EPA’s PM2.5 implementation rule.1
In all, California has made six
submittals to address the PM2.5 SIP
planning requirements for the SJV. The
two principal ones are the SJV Unified
Air Pollution Control District’s
(SJVUAPCD or District) 2008 PM2.5 Plan
1 ‘‘The Clean Air Fine Particle Implementation
Rule for the 1997 PM2.5 NAAQS,’’ 72 FR 20586
(April 25, 2007) and codified at 40 CFR part 51,
subpart Z (PM2.5 implementation rule).
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(amended 2010 and 2011) and the
California Air Resources Board’s (CARB)
State Strategy for California’s 2007 State
Implementation Plan (amended 2009
and 2011).2 Together, the 2008 PM2.5
Plan and the 2007 State Strategy present
a comprehensive and innovative
strategy for attaining the 1997 PM2.5
standards in the SJV.
In our July 2011 notice, EPA proposed
multiple approval actions on the SJV
2008 PM2.5 SIP. First, we proposed to
approve the SIP’s reasonably available
control measure/reasonably available
control technology (RACM/RACT)
demonstration, reasonable further
progress (RFP) demonstration,
attainment demonstration and
associated air quality modeling, base
year emissions inventory; air quality
modeling; and motor vehicle emissions
budgets.3 Second, we proposed to
approve enforceable commitments by
both the District and CARB to certain
measures and specific amounts of
emissions reductions. Third, we
proposed to concur with the State’s
determination that volatile organic
compounds (VOC) and ammonia are not
attainment plan precursors for
attainment of the 1997 PM2.5 NAAQS in
2 These
SIP submittals are:
1. SJVUAPCD, 2008 PM2.5 Plan, adopted on April
30, 2008 by the SJVUAPCD and on May 22, 2008
by CARB, submitted on June 30, 2008.
2. CARB, Proposed State Strategy for California’s
2007 State Implementation Plan, as amended and
adopted on September 27, 2007 by CARB,
submitted on November 16, 2007.
3. CARB, Status Report on the State Strategy for
California’s 2007 State Implementation Plan (SIP)
and Proposed Revisions to the SIP Reflecting
Implementation of the 2007 State Strategy (pages
11–27 only), adopted on April 24, 2009 by CARB,
submitted on August 12, 2009.
4. SJVUAPCD, 2008 PM2.5 Plan Amendment to
Extend the Rule 4905 Amendment Schedule,
adopted on June 17, 2010 by the SJVUAPCD,
submitted on September 15, 2010
5. CARB, Progress Report on Implementation of
PM2.5 State Implementation Plans (SIP) for the
South Coast and San Joaquin Valley Air Basins and
Proposed SIP Revisions (Appendices B, C and D
only), adopted on April 28, 2011 by CARB,
submitted on May 18, 2011. ‘‘2011 Progress
Report.’’
6. CARB, 8-Hour Ozone State Implementation
Plan Revisions and Technical Revisions to the PM2.5
State Implementation Plan Transportation
Conformity Budgets for the South Coast and San
Joaquin Valley Air Basins, adopted on July 21, 2011
by CARB and submitted on July 29, 2011. (‘‘2011
Ozone SIP Revisions’’) Only the PM2.5 motor
vehicle emissions budgets in this submittal are
addressed in today’s action.
3 The 2011 Progress Report contained budgets
that were not approvable because they included
emissions reductions from a rule that was ineligible
for SIP credit. These budgets also included data
entry errors. See 76 FR 41338, 41360. We proposed
instead to approve alternative budgets that CARB
had developed and posted for public comment as
part of its 2011 Ozone SIP Revisions and stated that
the approval was contingent on our receipt of the
SIP revision containing the revised budgets. Id.
CARB submitted that SIP revision on July 29, 2011.
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the SJV. Lastly, we proposed to grant
California’s request to extend the
attainment date for the San Joaquin
Valley PM2.5 nonattainment area to
April 5, 2015. See 76 FR 41338, 41361.
EPA also proposed to disapprove the
contingency measures provisions of the
SJV 2008 PM2.5 SIP for failing to provide
sufficient emissions reductions.4 Id.
A more detailed discussion of each of
California’s SIP submittals for the SJV
area, the CAA and EPA requirements
applicable to them, and our evaluation
and proposed actions can be found in
our July 2011 proposal (76 FR 41338)
and the technical support document
(TSD) for this final action.5
Our July 2011 proposal was the
second time that EPA proposed action
on California’s SJV 2008 PM2.5 SIP. On
November 30, 2010 (75 FR 74518), EPA
proposed to disapprove the majority of
the provisions in this SIP. During the
comment period for the November 2010
proposal, we received several comment
letters from the public as well as
comment letters from CARB and the
District. Subsequent to the close of the
comment period, CARB adopted and
submitted revisions to the SJV PM2.5
Plan and 2007 State Strategy. After
considering information contained in
the comment letters and the
supplemental SIP submittals, we issued
the July 2011 proposed rule which
substantially amended our November
2010 proposal.
EPA is today approving most
elements of the SJV 2008 PM2.5 SIP
based on our conclusion that they
comply with applicable CAA
requirements and provides for
expeditious attainment of the 1997
PM2.5 standards in the San Joaquin
Valley. We are also today disapproving
the SIP’s contingency measure
provisions because they do not provide
sufficient emissions reductions. We are
continuing to working with the State
and District to identify additional
control measures and incentive
programs that meet the CAA’s
requirements for contingency measures
4 We also proposed to disapprove a commitment
by the District to adopt revisions to its Rule 4702
‘‘Reciprocating Internal Combustion Engines’’ by
December 2010 because that date had passed and
the District had not adopted revisions to the rule.
We stated in the proposal that we would not
finalize this proposed disapproval if the District
adopted revisions to the rule by the time of our final
action on the SIP. See 76 FR 41338, 41361. On
August 18, 2011, the District adopted the revisions
to Rule 4702; therefore, we are not finalizing our
proposed disapproval of this commitment.
5 ‘‘Technical Support Document and Response to
Comments Final Rule on the San Joaquin Valley
2008 PM2.5 State Implementation Plan,’’ Air
Division, U.S. EPA Region 9, September 30, 2011.
The TSD can be found in the docket for this
rulemaking.
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consistent with EPA regulations and
policy.
II. Response to Public Comments
Received on the Proposals
As part of this final action, EPA has
considered and provided responses to
the comments submitted in response to
both the November 2010 and the July
2011 proposals. Comments on our
proposals were received from:
The Center on Race, Poverty & the
Environment on behalf of the
Association of Irritated Residents (AIR)
and other San Joaquin Valley-based
environmental and community
organizations. AIR submitted comments
on both proposals.
Earthjustice, on behalf of Medical
Advocates for Healthy Air and other San
Joaquin Valley-based environmental and
community organizations. Earthjustice
submitted comments on both proposals.
SJVUAPCD provided comments on
the November 2010 proposal.
CARB provided two comment letters
on our November 2010 proposal. The
first transmitted air quality modeling
documentation and the second provided
comments on the proposal.6
Tom Frantz, President, AIR,
submitted comments on our November
2010 proposal.
Arthur D. Unger submitted comments
on our November 2010 proposal.
A copy of these comment letters and
their attachments can be found in the
docket for this final rule.
In the following sections, we
summarize our responses to the most
significant comments received on the
proposals. Our full responses to all
comments received can be found in the
‘‘Response to Comments’’ section
(section III) of the TSD for this final
rule.
A. Comments on the Proposed Action
on the Emissions Inventory
Comment: Earthjustice comments on
the importance of emissions inventories,
noting that CAA section 172(c)(3)
requires that nonattainment plans
‘‘include a comprehensive, accurate,
current inventory of actual emissions
from all sources of the relevant
pollutant or pollutants in such area.’’
Earthjustice objects to EPA’s proposal to
approve the inventories in the 2008
PM2.5 SIP because they were current and
accurate ‘‘at the time the Plan was
developed and submitted,’’ arguing that
such language is not in the CAA and is
not a reasonable extension of Congress’s
6 The
majority of CARB’s and the District’s
comments addressed the November 2010 proposed
disapprovals and EPA’s grounds for them. These
comments were, for the most part, addressed by our
July 2011 amended proposal.
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intent, which is to ensure the adoption
and approval of SIPs that will achieve
clean air meeting the NAAQS.
Earthjustice argues that an inventory
that is ‘‘known to be wrong’’
undermines the modeling
demonstration of the emissions
reductions needed to attain, and that
EPA’s interpretation suggests that
revisions to an inventory are needed
only when it is found that the inventory
is not current or accurate as of the date
it is submitted. Earthjustice argues that
such an interpretation undermines any
assurance that ‘‘the requirements of
[Part D of the CAA] are met.’’ Finally,
Earthjustice asserts that ‘‘EPA cannot
approve these inventories as complying
with the requirements of section
172(c)(3) knowing that the data are not
valid for purposes of building an
attainment plan.’’
Response: EPA does not dispute the
importance of emissions inventories.
We evaluated the emissions inventories
in the 2008 PM2.5 Plan to determine
whether they satisfy the requirements of
CAA section 172(c)(3) and adequately
support the Plan’s RACM, RFP and
attainment demonstrations. Based on
this evaluation, we have concluded that
the Plan’s 2005 base year emissions
inventory was based on the most current
and accurate information available to
the State and District at the time the
Plan was developed and submitted and
comprehensively addresses all source
categories in the SJV area, consistent
with applicable CAA requirements and
EPA guidance. See 76 FR 41338 at
41342–41343 and 2011 Proposal TSD 7
at section IIA; see also ‘‘General
Preamble for Implementation of Title I
of the Clean Air Act Amendments of
1990,’’ 57 FR 13498 at 13502 (April 16,
1992) (‘‘General Preamble’’).
We do not agree with Earthjustice’s
suggestion that EPA interprets the CAA
to require revisions to an emissions
inventory only when it is found that
such inventory is not current or accurate
as of the date it is submitted. Significant
changes to a base year inventory that
undermine the assumptions in an
attainment demonstration may, on a
case by case basis, call for a reevaluation
of the modeling or other planning
analyses supporting that demonstration.
In this case, however, as discussed in
the proposed rule (76 FR 41562, 41567)
and in section II.A. below, we have
concluded that the State’s changes to its
methodologies for estimating future
7 ‘‘Technical Support Document for the Revised
Proposed Rulemaking Action on the San Joaquin
Valley 2008 PM2.5 Plan and the San Joaquin Valley
Portions of the Revised 2007 State Strategy,’’ Air
Division, U.S. EPA, Region 9, June 29, 2011, ‘‘2011
Proposal TSD.’’
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emissions do not significantly affect the
2002 base year inventories and,
consequently, do not undermine the
modeling or other analyses that rely on
those inventories and that support the
attainment demonstration in the Plan.
Based on this technical assessment, we
have concluded that it is not necessary
in this case for the State to submit a
revised base year inventory. We note
that states are required to report
comprehensive emissions inventories to
EPA every three years under the Air
Emissions Reporting Requirements in 40
CFR part 51, subpart A. See 40 CFR
51.30(b).
CAA section 172(b) provides that ‘‘the
State containing [a nonattainment] area
shall submit a plan or plan revision
(including the plan items) meeting the
applicable requirements of [section
172(c) and section 110]’’ on the
schedule established by EPA, and
section 172(c) contains, inter alia, the
requirement that nonattainment plans
‘‘shall include a comprehensive,
accurate, current inventory of actual
emissions from all sources of the
relevant pollutant or pollutants in such
area.’’ We believe it is reasonable to read
these provisions together as requiring
that the State submit an inventory that
is ‘‘comprehensive, accurate, [and]
current’’ at the time the State submitted
it to EPA, rather than requiring that the
State continually revise its plan as new
emissions data becomes available. See
Brief of Respondents, EPA, in Sierra
Club, et al. v. U.S. EPA, et al., Case Nos.
10–71457 and 10–71458 (consolidated),
May 5, 2011. States could never
effectively plan for air quality
improvements if they had to constantly
revise their inventories as new data
became available. Air quality planning
is an iterative process and states and
EPA must rely on the best available data
at the time the plans are created.
Comment: Throughout its comments,
AIR uses the term ‘‘recession
reductions’’ which it defines as ‘‘the
emissions reductions the [C]ARB claims
have occurred as a result of the
recession.’’
Response: In its comments, AIR
calculates what it considers ‘‘the total
reductions from baseline reductions
without recession reductions’’ as 11 tpd
of PM2.5, 195 tons per day (tpd) of
nitrogen oxides (NOX), and 0.9 tpd of
sulfur oxides (SOX). These figures are
the same as the calculated reductions
from the baseline measures prior to the
updates to the 2014 baseline inventory.8
8 See line D on Table 7 in the November 30, 2010
proposed action on the SJV PM2.5 SIP at 75 FR
74518. On this table, the baseline NOX reductions
are listed as 199.2 tpd but include 4.2 tpd of
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Based on these calculations, AIR seems
to consider the ‘‘recession reductions’’
to be the difference between the 2014
baseline inventory submitted with the
2008 PM2.5 Plan in 2008 and the revised
2014 baseline inventory submitted with
the 2011 Progress Report in 2011. By
labeling this difference as ‘‘recession
reductions,’’ AIR attributes the
differences entirely to revisions to the
economic forecasts. This is not entirely
correct.
Changes to the 2014 baseline
inventory include revisions not only to
the economic forecasts but also to a
variety of other factors (out-of-state
vehicle miles traveled (VMT) estimates,
cumulative mileage, equipment
populations, load factors, and hours of
use, etc.) used to calculate emissions
from trucks, buses, and certain off-road
equipment categories. See 2011 Progress
Report, Appendix E. CARB estimates
that revisions to the truck inventory
excluding recession impacts reduced
truck emissions statewide by 10 percent
from the 2014 baseline levels estimated
when the Truck rule was adopted in
2008 while recession impacts reduced
the baseline level by a further 7 percent.
See 2010 Truck Rule ISOR, p. 19.9 For
off-road equipment, CARB estimates
that inventory changes independent of
the recession were responsible for half
the overall reduction in projected
statewide emissions. See 2010 Off Road
Rule ISOR, p. 17.10 We note that these
figures are average statewide figures and
not specific to the SJV.
Comment: AIR contends that in the
2011 Progress Report, CARB first claims
that the reduced economic activity
caused by the recession has reduced
2014 emissions levels in the SJV by 2.7
tpd of PM2.5, 63.1 tpd of NOX and 0.1
tpd of SOX. AIR further contends that
CARB claims that the recession has
caused current inventories of the goods
movement and construction sectors to
uncreditable reductions that are not included in
AIR’s numbers. By ‘‘baseline inventories’’ or
‘‘projected baseline inventories,’’ we mean
projected emissions inventories for future years that
account for, among other things, the ongoing effects
of economic growth and adopted emissions control
requirements. A 2014 baseline inventory is
important because this year is the ‘‘attainment
year,’’ the year by which all reductions needed for
attainment need to be in place for the SJV. See 40
CFR 51.1007(b).
9 CARB, ‘‘Staff Report: Initial State of Reasons for
Proposed Rulemaking, Proposed Amendments to
the Truck and Bus Regulations, The Drayage Truck
Regulation and the Tractor-Trailer Greenhouse Gas
Regulation,’’ October 2010 (‘‘2010 Truck Rule
ISOR’’).
10 CARB Staff Report: Initial Statement of Reasons
for Proposed Amendments to the Regulation for InUse Off-Road Diesel-Fueled Fleets and the Off-Road
Large Spark-Ignition Fleet Requirements, October
2010, including Appendix D1 (‘‘2010 Off-Road Rule
ISOR’’).
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be lower than projected in the 2008
PM2.5 Plan. Finally, citing EPA’s
statement in the 2011 Proposal TSD
about the effect of the 2007–2009
economic recession on activity levels in
the State’s construction and goods
movement sectors, AIR asserts that
accounting for the recession through
inventory adjustments is improper.
Response: CARB does not claim that
the recession alone has reduced the
projected 2014 baseline emissions in the
SJV nor did it provide the numbers cited
by AIR. As discussed in the response to
the preceding comment, revisions to the
baseline inventory took into account not
only changes to the State’s economic
forecasts but also updated information
on out-of-state VMT estimates,
cumulative mileage, equipment
populations, and other data used to
calculate emissions from trucks, buses,
and certain off-road equipment. The
emissions reduction figures that AIR
ascribes to CARB are figures EPA
calculated using data provided by
CARB.
EPA uses the phrase ‘‘adjustments to
the baseline’’ to refer to the difference
between the 2014 baseline initially
submitted in the 2008 SJV PM2.5 Plan
and the recently revised 2014 baseline
as submitted in the 2011 Progress
Report. This ‘‘adjustments to baseline’’
figure is nothing more than EPA’s
summary of the overall impact of both
recession and non-recession related
changes between the two projected
inventories. EPA calculated this
adjustment from summary data CARB
provided in Appendix E of the 2011
Progress Report. The adjustment
represents the net results of CARB’s
changes to its inventories rather than
the changes themselves.
CARB revised its inventories for
trucks and diesel off-road equipment to
incorporate new and better data
including new research on truck travel
within California. See 2010 Truck Rule
ISOR, Appendix G. These revisions
were not mere adjustments to previous
inventories but thorough reviews of
much of the data that goes into
estimating emissions from these
sources. See 2010 Truck Rule ISOR,
Appendix G and 2010 Off-Road Rule
ISOR, Appendix D.11 These inventory
revisions also included review of
current and future activity data (such as
fuel consumption, diesel fuel sales,
11 For an overview of these changes and their
results, see the presentation to the CARB Board by
CARB’s Planning and Technical Support Division
on November 18, 2010, entitled, ‘‘Diesel Inventory
Improvements for Regulatory Development,’’
available at https://www.arb.ca.gov/board/books/
2010/111810/10-10-9pres.pdf and in the docket for
this rule.
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trucking industry tonnage reports, truck
sales trends, and truck registration data)
for these categories as well as economic
forecasts from a number of reputable
sources.12 Throughout its development
of these revisions, CARB held
workshops seeking public review and
input into its work. See 2010 Truck Rule
ISOR, p. 13.
Emissions projections are a function
of change in activity (growth or decline)
combined with changes in the emissions
rate or controls applicable to emissions
sources. Projected inventories are,
therefore, necessarily affected by
forecasts of industrial growth,
population growth, and transportation
growth, among other factors.13 EPA
guidance emphasizes the importance of
developing reliable methods for
estimating future source activity levels
as part of the SIP planning process.14
We disagree with AIR’s assertion that
‘‘EPA claims that the ARB has opted to
take credit for the decrease in the
inventory in the attainment
demonstration as ‘a line-item
adjustment to the baseline
inventories.’ ’’ EPA stated in the 2011
Proposal TSD (pg. 18) that ‘‘California is
reflecting these recession impacts as a
line-item adjustment to the baseline
inventories.’’ This statement was
incorrect and should have read that EPA
(not CARB) is reflecting the recession
impacts as a line-item adjustment to the
baseline inventories. EPA believes this
adjustment is appropriate in light of the
impact of these emissions changes on
the baseline. We should have also been
clearer that the 2014 adjustments
included the technical revisions to the
inventory that are discussed on page 19
of the 2011 Proposal TSD.
Finally, we note that although AIR
objects categorically to the revisions to
the projected emissions inventories
based on CARB’s revised economic
forecasts, it provides no information to
refute CARB’s extensive documentation
of the impact of the economic recession
12 See CARB, ‘‘ARB Staff Assessment of the
Impact of the Economy on California Trucking
Activity and Emissions 2006–2014,’’ draft
December 2009, available in the docket for this rule.
Sources of economic data included California
Department of Finance, California Legislative
Analyst’s Office, California Energy Commission,
UCLA Anderson School, Beacon Economics,
University of the Pacific, Congressional Budget
Office, and US Energy Information Agency. Id. pp.
11–12.
13 See ‘‘Emission Projections,’’ STAPPA/
ALAPCO/EPA Emissions Inventory Improvement
Project, Volume X (December 1999) at 1–1
(available at https://www.epa.gov/ttnchie1/eiip/
techreport/volume10/x01.pdf).
14 See ‘‘Procedures for Preparing Emissions
Projections,’’ EPA Office of Air Quality Planning
and Standards, EPA–450/4–91–019 (July 1991) at p.
6 and section III.
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on air pollution generating activity. It
also provides no information to refute
CARB’s non-recession related revisions
to the projected inventories.
B. Comments on the Proposed Action on
the Air Quality Modeling
Comment: Earthjustice and AIR
comment that CARB’s emissions
inventory update necessitates new
attainment demonstration modeling.
AIR alleges that EPA’s 2011 Proposal
TSD stated that updates should trigger
new modeling. AIR notes EPA’s
statement in that TSD that the model
underpredicts. In addition, AIR
questions EPA’s reliance on unreviewed
model sensitivity results from CARB as
the basis for not requiring new
modeling. Earthjustice comments that
the difficulty of performing new
modeling is not a valid reason for
approving an erroneous attainment
demonstration. It adds that EPA’s
method for assessing the effect of the
inventory update has the ‘‘obvious
flaw’’ that it relies on design value
changes to within hundredths of a
percent, starting from design values that
are, according to Earthjustice,
acknowledged to be erroneous.
Response: While some large emissions
inventory changes might indeed
necessitate new modeling, EPA does not
agree that the inventory changes were
large enough to substantially affect the
SJV modeling conclusions, or to
invalidate the SJV attainment
demonstration. As EPA stated in the
2011 Proposal TSD (p. 47), ideally new
modeling would be performed when an
area’s emissions inventory is changed.
However, since the cost in time and
resources of remodeling and consequent
reworking of a plan is not trivial,
administrative necessity requires a
judgment call about when changes are
large enough to merit new modeling;
there is no automatic trigger. An
important criterion in making this
judgment is whether the changes would
affect the conclusion that the plan’s
emissions reductions are adequate for
attaining the NAAQS. Another
consideration is the uncertainty
inherent in modeling; although model
results may be reported to several
decimal places, model performance
goals for fractional bias are typically in
the range of 30 percent. Plan’s Regional
Model Performance Analysis,15 p.12,
and EPA Guidance 16 Appendix B.
15 The ‘‘Regional Model Performance Analysis’’ is
an appendix to the 2008 PM2.5 Plan.
16 EPA ‘‘Guidance on the Use of Models and
Other Analyses for Demonstrating Attainment of
Air Quality Goals for the 8-Hour Ozone and PM2.5
NAAQS and Regional Haze,’’ April 2007. (‘‘EPA
Guidance’’).
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Small changes in the emissions
inventory could be in the range of the
‘‘noise’’ of the model. This is not to
discount the importance of an accurate
emissions inventory, but rather to make
the point that relatively small changes
in inventory estimates do not
necessarily invalidate a model
application. EPA finds that the 5–6
percent base year emissions decreases
due to the inventory updates in this case
are relatively small.
EPA did assess the effect of the
emissions inventory improvements on
the attainment demonstration, using a
procedure described in the 2011
Proposal TSD and other supporting
documents. EPA did note in the 2011
Proposal TSD (p. 48) that the emissions
update revealed some model bias. The
model appears to be underpredicting
(biased low): Its emissions inputs are
now known to be too high, so its
predicted concentrations should have
been higher, too. Model bias is an
important issue that modelers address
in developing the model application for
a specific area and pollution episode,
through testing and refinement of a
model’s many inputs. The bias problem
is somewhat ameliorated by the use of
models in a relative sense via ‘‘relative
reduction factors’’ (RRFs), as
recommended in EPA Guidance (p. 20).
The various influences that lead to
model underestimation in the base year
would also be expected to cause
underestimation in the attainment year,
and these tend to cancel out in the RRF
ratio calculation used to project the
future effect of controls. In other words,
the effect of model bias is minimized
when it is accounted for at both end
points, the base and attainment years. In
a similar vein, EPA assessed the effect
of the emissions update on the
attainment demonstration, essentially
by removing the bias revealed by the
update from both the base year and the
attainment year.17 The bias was
estimated by combining the emissions
changes with an estimate of model PM2.5
sensitivity per unit of emissions change.
The effect of removing the bias by this
procedure was to increase predicted
attainment year annual PM2.5 design
values by 1–2 percent. EPA finds that
this is small enough to be considered
17 This procedure is in some ways parallel to but
not the same as the RRF calculation and could be
applied even if the model were not used in a
relative sense. The inventory estimates the
emissions reduction between the base and future
years. An RRF scales the monitored design value
using the relative model response to a given
emissions reduction estimate, in order to account
for that reduction. The procedure here scales the
model’s future predictions using model sensitivity,
in order to account for changes in the emissions
reduction estimate.
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within the ‘‘noise’’ of the model and
does not change the overall modeling
conclusions. But even with this increase
added in, the predicted concentrations
meet the NAAQS. This is a quantitative
showing that the emissions updates are
small enough that they do not invalidate
the attainment demonstration.
As described in the 2011 Proposal
TSD (section II.B), EPA reviewed the
development of the model application,
the procedures used to develop the
model inputs, model testing methods
and performance statistics, and the
methods used to compute RRFs and
attainment year PM2.5 design values.
EPA finds that CARB applied these
methods appropriately, including to the
sensitivity results and believes that
these modeling inputs and RRF
calculations were carried out as
described by CARB. As a result, we find
that the sensitivity results provide a
reasonable basis for assessing the effect
of the inventory update on the
attainment demonstration.
EPA does not agree with Earthjustice
that starting from the Plan’s modeled
design values and ending with small
design value changes constitute flaws in
the procedure for estimating the effect of
the baseline inventory revisions. All
modeling has uncertainty and bias
including any new modeling that would
be done using the updated emissions
inventory estimates. Every modeling
result is an approximation and is likely
to contain errors. Administrative
necessity, therefore, requires a judgment
call about whether such problems are
substantial enough to impact regulatory
decisions. Modeling experts from
regulatory agencies, academia, and
consulting firms were involved in
developing the SJV modeling. It
underwent successful diagnostic testing
and performs well. EPA finds that it
continues to constitute an adequate
basis for the attainment demonstration.
Further, EPA believes that the original
modeling is basically sound in how it
portrays SJV atmospheric chemistry and
transport and that results derived from
model sensitivity tests are a reasonable
approximation to what would result
from new modeling with the updated
inventory. EPA’s procedure for
estimating the effect of the inventory
changes using model sensitivity results
does make a number of assumptions:
Emissions changes are small enough
that the model response is linear, model
sensitivity is similar in the starting and
ending years, and the spatial and
temporal distribution of emissions is
little changed with the inventory
update. EPA believes that these
assumptions are reasonable and that the
procedure it used provides strong
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evidence for the attainment
demonstration’s validity.
As for the smallness of the design
value changes resulting from the
procedure, EPA does not believe this is
a substantive issue. Any procedure
(even new modeling) that starts with
small emissions changes will
necessarily result in small design value
changes. Within a small range, over
which the chemistry does not shift
fundamentally, ambient concentrations
are approximately proportional to
emissions, by the law of conservation of
matter. This is not a case of an overly
precise tiny number being added to a
large erroneous random number, but
rather of an adjustment ratio applied to
a number derived from extensive data
and analysis. Some intermediate steps
in the calculation procedure that EPA
used to evaluate the emissions
inventory change did involve tenths of
a percent (not hundredths as stated by
the commenter), but this is largely an
artifact of showing the procedure in
multiple steps for comprehensibility.
EPA could have done the calculation in
a single step to avoid this artifact. When
modeling a 10 percent change in NOX
emissions results in a design value
change of 1.4 percent, a calculation
using this model sensitivity result will
necessarily involve fractions of 1
percent or less. In this case, the
emissions inventory update involved a
change in NOX emissions of less than 10
percent, and thus, would also be
expected to yield relatively small design
value changes.
Comment: Earthjustice comments that
a simple screening analysis cannot
substitute for an unmonitored area
analysis, as it is inadequate to address
the sharp ambient concentration
gradients that occur in near-highway
areas.
Response: EPA agrees that the simple
screening analysis in the Plan as
originally submitted in June 2008 is not
an adequate substitute for an
unmonitored area analysis (UAA) and
noted this deficiency in our November
2010 proposal. See 75 FR 74518, 74530.
As noted in the 2011 proposal (76 FR
41388, 41348), CARB subsequently
submitted a modeling supplement that
included a UAA that follows EPA
Guidance. See CARB modeling
supplement, p. 139.18 The UAA led to
the conclusion that there would not be
any NAAQS violations at locations
18 Letter and enclosure, John DaMassa, Chief,
Modeling and Meteorology Branch; California Air
Resources Board, January 28, 2011 (‘‘CARB
modeling supplement’’).
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away from monitors, and EPA has
evaluated and accepted that conclusion.
As for whether the UAA itself
adequately addresses the commenter’s
underlying concern about sharp
concentration gradients, the EPA
Guidance states:
‘‘The unmonitored area analysis is
intended to be the primary means for
identifying high PM2.5 concentrations outside
of traditionally monitored locations. * * *
Based on the monitoring guidance, we
believe that an unmonitored area analysis
conducted at 12 km or finer resolution is
sufficient to address unmonitored PM2.5 for
the annual NAAQS. Conducting the
unmonitored analysis at 4 km or finer
resolution will provide an even more
detailed analysis of the spatial gradients of
primary PM2.5, especially when evaluating
violations of the 24-hr. NAAQS.’’
This modeling guidance
recommendations are consistent with
the requirements of the EPA’s PM2.5
monitoring rules. The modeling
guidance UAA spatial scale
recommendations are intended to
capture neighborhood scale and larger
areas, since the monitoring rules do not
require micro or middle scale monitors
for either the annual or 24-hr PM2.5
standards. CARB’s UAA was conducted
at a resolution of 4 km, so it is more
detailed than EPA’s recommended
approach for UAA. In addition, it is
intended for areas with a large primary
PM2.5 contribution (that is, directly
emitted rather than formed chemically
over time), and relying on local primary
PM controls to reach attainment. EPA
Guidance, p.100. By contrast, the
attainment demonstration in the 2008
p.m.2.5 Plan mainly relies on area-wide
control of NOX, a PM2.5 precursor, rather
than on control of local primary PM2.5.
Comment: Earthjustice comments that
air quality worsened after 2005 despite
the economic downturn, so that new air
quality modeling should be performed
to account for this upward trend.
Response: EPA did review the
evaluation of air quality progress
presented in the Plan and also
independently examined air quality
data. See 2011 Proposal TSD, p.6 and
p.45. Air quality monitoring data is
useful for a general understanding of the
SJV’s air quality problem, as well as for
use in supplemental analyses that
accompany the modeled attainment
demonstration. Downward trending
emissions and ambient concentrations
would tend to support the conclusion
that the area is on track toward
attainment of the NAAQS, although
evaluation of such trends should
account for the particular location, time
period, and air quality metric examined.
In addition, overall trends may be hard
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to discern given the year-to-year
variability of meteorology and other
factors.
The Plan used the data that was
available at the time it was developed,
focusing on 2001–2006, for which the
Plan’s Weight of Evidence analysis
makes a strong case for air quality
progress according to several metrics,
including design value concentrations,
frequency of high concentrations,
concentration of PM2.5 component
species, and emissions. We conclude
that these analyses adequately support
the attainment demonstration. EPA also
looked at a longer period, 2000–2010,
and found that the slight PM2.5
concentration increase shown in the
Plan for 2006 continued through 2008
and flattened in 2009. Although PM2.5
concentrations continued to improve in
2010, the Bakersfield area’s annual and
24-hour PM2.5 design values calculated
from 2008–2010 data were the highest
in the U.S. See 76 FR 41338, 41339. We
note, however, that data over the longer
time frame shows there has been
substantial air quality progress over the
past decade. See TSD, section I.B.1.
The concentration increases during
2006–2009 are not well understood but
may have been partly a result of
unfavorable meteorology during that
time. District and CARB efforts to
evaluate the effect of meteorology on air
quality trends are under way. The
higher values during that period do
weaken the case made in the Plan’s
Weight of Evidence analysis, which is a
supplemental analysis to the attainment
demonstration itself, but are not
themselves grounds for disapproving
the attainment demonstration or the
Plan.
Comment: Citing 40 CFR 51.1000 and
72 FR at 20600, Earthjustice asserts that
attainment of the PM2.5 NAAQS by
April 5, 2015 will require review of
ambient data from 2012, 2013, and
2014. Earthjustice also asserts that the
majority of emissions reductions in the
Plan are delayed until 2014 and argues
that modeling ambient concentration in
2014 does not provide an accurate
picture of what emissions will be in
2012 and 2013. It further states that the
modeling year must be adjusted to give
a more reasonable prediction of what a
3-year average concentration from 2012–
2014 will be since it is this
concentration that will determine if the
Valley has attained the PM2.5 standards
by the attainment date. Finally,
Earthjustice asserts that the fact that the
majority of reductions are in 2014
violates the reasonable further progress
requirement.
Response: We disagree with
Earthjustice’s assertion that the Plan
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delays the majority of emissions
reductions until 2014 and therefore fails
to satisfy RFP requirements. As
explained in our amended proposal (76
FR 41338 at 41355–41357) and further
in section II.H. of the TSD, the majority
of the reductions needed for attainment
occur well before 2014. The Plan’s RFP
demonstration shows that more than 87
percent of the NOX, 80 percent of the
PM2.5 and all the SOX reductions needed
for attainment will occur by 2012. See
2011 Progress Report, Appendix C, p. 1.
We explain further in section II.H. of the
TSD our reasons for concluding that the
2008 PM2.5 SIP provides for RFP
consistent with the CAA and the PM2.5
implementation rule.19 We also explain
in section II.D. our reasons for
concluding that the Plan demonstrates
that all control measures needed for
attainment of the 1997 PM2.5 standards
will be in place as expeditiously as
practicable and no later than the
beginning of 2014, consistent with the
CAA and 40 CFR 51.1007(b) (requiring
‘‘implementation of all control measures
needed for attainment as expeditiously
as practicable, but no later than the
beginning of the year prior to the
attainment date’’). See section II.G. and
II.D. of the TSD.
We also concluded that the
attainment demonstration in the Plan
was developed consistent with
procedures in EPA’s modeling guidance.
In addition, to a degree the modeling
procedures already reflect the expected
continuing emissions decreases during
the years before the attainment year.
The monitored base year design value
reflects an emissions decrease over the
three years of 2004–2006, not just the
single 2005 emissions year. The
projected design value reflects a
modeled change to that monitored
design value, so it too is consistent with
some decreases occurring over multiple
years, not just the single year of 2014.
Finally, we note that Earthjustice
conflates the requirements governing
EPA’s action on an attainment
demonstration under CAA section
172(c)(1) with those governing an
attainment determination under CAA
section 179(c). Earthjustice appears to
assume that a demonstration of
attainment by April 5, 2015, requires a
demonstration that the area will have air
quality measurements at or below the
levels of the standards three years prior
to that date. This is incorrect. An
attainment determination under CAA
179(c) is a fact-based determination
19 Clean Air Fine Particulate Implementation
Rule, 72 FR 20586 (April 25, 2007), codified at 40
CFR part 51, subpart Z ‘‘PM2.5 implementation
rule.’’
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made after the attainment date based on
air quality monitoring data.20 An
attainment demonstration, on the other
hand, is a predictive tool for assessing
what air quality will be at a future time.
An attainment demonstration is based
on air quality modeling showing that
the projected design value of the
relevant pollutant in attainment year
will be at or below the level of the
relevant ambient air quality standard.
See 72 FR from 20605 to 20609.
Additionally, for a PM2.5
nonattainment area subject only to the
requirements of subpart 1 of title I, part
D of the CAA, a State may demonstrate
that in the attainment year, the area will
have air quality such that the area could
be eligible for the first of two one-year
extensions allowed under CAA section
172(a)(2)(C). Under CAA section
172(a)(2)(C), an area that does not have
three years of monitored data
demonstrating attainment of the PM2.5
NAAQS but has complied with all
requirements and commitments
pertaining to the area in the applicable
SIP, and that has no more than minimal
number of exceedances of the NAAQS
in the attainment year, may receive a
one-year extension of its attainment
date. If the same conditions are met in
the following year, the area may receive
an additional one-year extension.
Should the SJV area qualify for both of
these extensions, the relevant 3-year
period for determining whether the area
has attained the PM2.5 NAAQS would be
2014–2016.21
Comment: Earthjustice comments that
given the problems it has described with
the air quality modeling, the 9:1 NOX to
PM2.5 relative effectiveness ratio cannot
be used for transportation conformity or
other purposes, unless it is supported
with new modeling.
Response: EPA does not agree with
Earthjustice that the modeling problems
are substantial enough to invalidate the
9:1 ratio for NOX to direct PM2.5
emissions trading in the transportation
20 A determination of attainment of the 1997
annual PM2.5 standard is based on monitoring data
that shows a 3-year average of annual mean PM2.5
concentrations of less than 15 microgram per cubic
meter (m/m3), and a determination of the attainment
of the 1997 24-hour PM2.5 standard is based on
monitoring data that shows the 3-year average of
98th percentile 24-hour concentrations is less than
65 m/m3. See 40 CFR 50.7.
21 EPA has long interpreted analogous provisions
for ozone nonattainment areas in CAA sections
181(a)(5) and 182(c)(2) in this same manner. See
Brief of Respondents, EPA, in Sierra Club, et al. v.
U.S. EPA, et al., Case Nos. 10–71457 and 10–71458
(consolidated), May 5, 2011; see also Environmental
Defense v. U.S .EPA, 369 F.3d 193 (2nd Cir. 2004)
(denying petition for review of EPA’s approval of
New York’s 1-hour ozone attainment plan based on,
inter alia, EPA’s reasonable interpretation of the
extension provision in CAA section 181(a)(5)).
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For the November 2011 proposal, EPA
reviewed various monitoring and
modeling studies on the role of VOC as
a PM2.5 precursor in the SJV. EPA
proposed to find that these studies
constitute a technical demonstration
that VOC is a PM2.5 attainment plan
precursor, and used that as a basis to
propose disapproval of the Plan, which
lacks VOC controls.
Earthjustice correctly notes that CARB
did not submit any new study results
per se in response to our 2010 proposal
but rather reinterpretation of the same
modeling studies that EPA had already
examined. For the 2011 proposal, EPA
reviewed and accepted several of
CARB’s arguments made in its VOC
supplement.22 CARB noted the
importance of considering simultaneous
VOC and NOX reductions, a more
realistic scenario than VOC-only or
NOX-only reductions, given the various
controls that are already in place for the
ozone plan. The only study to consider
simultaneous reductions found a
disbenefit from VOC control, while NOX
C. Comments on the Identification of
control continued to be beneficial.
PM2.5 Attainment Plan Precursors
CARB discounted one study that had
Comment: Earthjustice comments that found VOC control to be beneficial by
noting that it had used artificially
EPA should rely on the November 2010
proposal’s technical demonstration that doubled VOC emissions in order to
VOC should be considered a PM2.5 plan perform reasonably well at predicting
PM2.5. For another study, CARB pointed
precursor and should disapprove the
out some features of the multi-day
Plan for its failure to address control of
model response to VOC reductions that
VOC emissions. The commenter states
are inconsistent with the photochemical
that EPA reversed its earlier VOC
VOC pathway to PM2.5 formation and
finding without receiving any new
that the benefits from VOC reduction
credible evidence on the issue.
were seen only at high PM2.5
Response: The PM2.5 implementation
rule establishes a presumption that VOC concentrations that are seldom seen
today.
is not a PM2.5 plan precursor requiring
controls. See 40 CFR 51.1002(c)(3). This
EPA found these arguments
presumption may be overturned if either persuasive enough to raise questions
EPA or the State provides an
about the efficacy of VOC controls for
appropriate technical demonstration
reducing PM2.5 levels in the SJV. Even
showing that VOC emissions from
setting aside the concern that VOC
sources in the State significantly
control could worsen PM2.5
contribute to PM2.5 concentrations in the concentrations in some circumstances,
nonattainment area. See 40 CFR
EPA finds that the evidence of the
51.1002(c)(3)(i) and (ii). The preamble to effectiveness of VOC controls is at this
the implementation rule suggests
time not clear enough to overcome the
various analyses that could be part of
presumption in the PM2.5
such a demonstration, such as emissions implementation rule that VOC should
inventory, speciation data, modeling
not be an attainment plan precursor.
information, or other special studies.
However, EPA also believes it is
But the preamble is not prescriptive on
important that reductions of VOC,
required technical demonstrations, and
ammonia, and other PM2.5 precursors be
neither the preamble nor the rule
more thoroughly explored with realistic
defines ‘‘significantly.’’ Under the rule,
model sensitivity and other analyses as
excluding VOC as an attainment plan
precursor does not require a showing
22 Letter, James N. Goldstene, Executive Officer,
that VOC controls are ineffective or
CARB, to Frances Wicher, Office of Air Planning,
counterproductive. Rather, since VOC is EPA Region 9, January 28, 2011, Attachment 4, ‘‘Air
Resources Board comments on U.S. EPA’s
already excluded by presumption, the
November 30, 2010 proposal that VOC be
lack of a clear showing that VOC
considered a significant PM2.5 Precursor for the San
controls are effective is sufficient for it
Joaquin Valley 2008 PM2.5 State Implementation
Plan (SIP).’’ (‘‘CARB VOC supplement’’).
to remain excluded.
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conformity context. As discussed above,
EPA believes that the modeling is
basically sound, including the model’s
(relative) sensitivity to emissions
changes. There is no established method
for determining trading ratios in
conformity, but as discussed in the 2011
Proposal TSD (p.148), EPA finds that
the model sensitivity-based method
used by CARB for determining an
equivalency or relative effectiveness
ratio is adequate for assessing the effect
of area-wide emissions changes, such as
are used in conformity budgets. The
method modeled ‘‘across the board’’
emissions changes over the entire
modeling domain; emissions considered
in transportation conformity are also
domain-wide. Trading in other contexts
could involve additional consideration
of spatial and temporal variation of the
emissions, and would require an
additional technical demonstration by
the State and evaluation by EPA. EPA is
not approving the trading ratio for any
other purpose than in conformity
budgets.
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part of future modeling efforts in the
SJV.
In its comment letter, Earthjustice also
included additional information in favor
of VOC as a precursor. We have
reviewed this information (which
mainly duplicates information EPA has
already reviewed) and concluded that it
does not provide sufficient grounds to
reverse the presumption that VOC is not
a PM2.5 attainment plan precursor in the
SJV. Our complete analysis of
Earthjustice’s information can be found
in the response to comments section
(section III.D.) of the TSD.
D. Comments on the Proposed Action on
the Reasonably Available Control
Measures/Reasonably Available Control
Technology Demonstration
Comment: Earthjustice asserts that
EPA must disapprove the Plan’s RACM/
RACT demonstration because many of
the rules that the District and CARB rely
on have not been approved as satisfying
RACT requirements. Earthjustice also
states that the demonstration fails to
address VOC controls or to provide
adequate air quality modeling
documentation. Finally, Earthjustice
asserts that several of the rules intended
to provide the majority of NOX and PM
reductions from stationary sources in
the Valley were adopted with
substantially weakened controls from
what was anticipated during plan
development and will now provide only
a fraction of what is needed to bring the
area into attainment by 2014.
Response: Section 172(c)(1) of the
CAA requires that each attainment plan
‘‘provide for the implementation of all
reasonably available control measures as
expeditiously as practicable (including
such reductions in emissions from
existing sources in the area as may be
obtained through the adoption, at a
minimum, of reasonably available
control technology), and shall provide
for attainment of the national primary
ambient air quality standards.’’ For over
30 years, EPA has consistently
interpreted this provision to require that
States adopt only those ‘‘reasonably
available’’ measures necessary for
expeditious attainment and to meet RFP
requirements. 40 CFR 51.1010; see also
44 FR 20372 (April 4, 1979) (Part D of
title I of the CAA ‘‘does not require that
all sources apply RACM if less than all
RACM will suffice for [RFP] and
attainment’’); 57 FR 13498 at 13560
(April 16, 1992) (‘‘where measures that
might in fact be available for
implementation in the nonattainment
area could not be implemented on a
schedule that would advance the date
for attainment in the area, EPA would
not consider it reasonable to require
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implementation of such measures’’);
‘‘Guidance on the Reasonably Available
Control Measures (RACM) Requirement
and Attainment Demonstration
Submissions for Ozone Nonattainment
Areas,’’ November 30, 1999 (1999 Seitz
Memo) (a State may justify rejection of
a measure as not ‘‘reasonably available’’
for that area based on technological or
economic grounds); and 70 FR 71612
(November 29, 2005) at 71661 (noting
that States ‘‘need adopt measures only
if they are both economically and
technologically feasible and will
advance the attainment date or are
necessary for RFP’’). EPA’s
interpretation of section 172(c)(1) has
been upheld by several courts. See, e.g.,
Sierra Club v. EPA, et al., 294 F. 3d 155
(DC Cir. 2002); Sierra Club v. EPA, 314
F.3d 735 (5th Cir. 2002).
Under the PM2.5 implementation rule
at 40 CFR 51.1010, a RACM
demonstration must include ‘‘the list of
the potential measures considered by
the State, and information and analysis
sufficient to support the State’s
judgment that it has adopted all RACM,
including RACT.’’ 40 CFR 51.1010(a). In
addition, ‘‘[p]otential measures that are
reasonably available considering
technical and economic feasibility must
be adopted as RACM if, considered
collectively, they would advance the
attainment date by one year or more.’’
As explained in the preamble to the
PM2.5 implementation rule, Congress
provided EPA and States broad
discretion to determine what measures
to include in an attainment plan, and
the language in section 172(c)(1)
requiring only ‘‘reasonably available’’
measures and implementation of these
measures ‘‘as expeditiously as
practicable’’ indicates that Congress
intended for the RACT/RACM
requirement to be driven by an overall
requirement that the measure be
‘‘reasonable.’’ 72 FR 20586 at 20610
(April 25, 2007). Thus, the rule of
‘‘reason’’ drives the decisions on what
controls to apply, what should be
controlled, by when emissions must be
reduced, and finally, the rigor required
in a State’s RACT/RACM analysis. See
id. States may, as part of a RACM
analysis, consider the costs of potential
control measures and whether the
measures can be readily and effectively
implemented without undue
administrative burden. See id. (citing 55
FR 38327 and 66 FR 26969).
As a threshold matter, we note that
VOC controls are not a required element
of the RACM demonstration in the 2008
PM2.5 Plan because EPA agrees with the
State’s determination that VOCs are not
attainment plan precursors for purposes
of the 1997 PM2.5 NAAQS in the SJV
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area. See 76 FR at 41343 (citing 40 CFR
51.1002(c) and 51.1010) and our
responses to comments on attainment
plan precursors, in section II.C. above.
Second, as to air quality modeling
documentation, we explain in section
II.B. above in our responses to
comments on the air quality modeling
our reasons for concluding that the
modeling in the 2008 PM2.5 Plan
adequately supports the Plan’s RACM
and attainment demonstration.
Third, as to Earthjustice’s assertions
about RACT, we note that although CAA
section 182(b)(2) requires States to
implement RACT for specific types of
sources in ozone nonattainment areas
classified as moderate or above, there is
no specific RACT control mandate for
PM2.5 purposes that applies to specific
sources in PM2.5 nonattainment areas.
Rather, under the PM2.5 implementation
rule, RACT and RACM are those
measures that a state finds are both
reasonably available and contribute to
attainment as expeditiously as
practicable in the specific
nonattainment area. See 76 FR at 41343
(citing 40 CFR 51.1010 and 72 FR 20586
at 20612). EPA has, therefore, evaluated
the collection of reasonably available
control measures that CARB and the
District have adopted and submitted
with the attainment demonstration in
the 2008 PM2.5 Plan to meet the RACM/
RACT requirement in CAA section
172(c)(1) and 40 CFR 51.1010. See 76 FR
41338 at 41343–41346 and 2011
Proposal TSD at section II.D.
Finally, as to the specific NOX and
PM control options that Earthjustice
asserts should also be required as
RACM, we have considered whether
these additional control options are
reasonably available for implementation
in SJV considering technical and
economic feasibility, and as to those
measures that are potentially
reasonable, whether they would
considered collectively would advance
the attainment date in the SJV by one
year or more. For the reasons discussed
below, we conclude that the control
options identified by Earthjustice are
not required RACM for purposes of the
1997 PM2.5 NAAQS in the SJV area.
Comment: Earthjustice states that EPA
should not approve Rule 4692
(Commercial Charbroiling) as RACT
because there is no justification for the
District’s decision to exclude control
requirements for under-fired
charbroilers (UFC) from the rule. In
support of this assertion, Earthjustice
states, among other things, that: (1)
SJVUAPCD had initially found certain
control options for UFC units to be costeffective and that its later revisions to
these cost estimates in response to
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comments were based on inappropriate
criteria, such as its ‘‘10 percent of the
industry’s profits’’ test; (2) that
BAAQMD’s adoption of UFC control
requirements in 2007 indicates that
such controls are considered feasible;
and (3) that SJVUAPCD’s failure to
control UFCs means that PM emissions
reductions from this rule are reduced
from more than 2 tons per day (tpd) to
just 0.02 tpd.
Response: EPA recently determined
that Rule 4692 satisfied applicable CAA
requirements and fully approved the
rule into the SJV portion of the
California SIP.23 See 76 FR 38340 (June
30, 2011) (proposed rule) and
‘‘Revisions to the California State
Implementation Plan, San Joaquin
Valley Unified Air Pollution Control
District’’ final rule, pre-publication
notice signed September 30, 2011 (Rule
4692). As part of that action, EPA
reviewed the District’s evaluation of
potential UFC controls and concurred
with the District’s conclusion that those
controls are not reasonably available for
implementation in the SJV area at this
time, considering technological and
economic feasibility (see EPA’s June 9,
2011 Proposal TSD at pp. 4–5). Given
EPA’s long-standing position that States
may justify rejection of certain control
measures as not ‘‘reasonably available’’
based on economic grounds (among
others), we believe that it is appropriate
for the District to consider the cost of
controls at sources actually located
within the specific area to determine if
they are economically feasible with
respect to those sources. Although we
do not endorse the District’s use of a ‘‘10
percent of the industry’s profit’’ test for
economic feasibility, we agree with the
District’s conclusion that UFC controls
are not economically feasible based on
the facts and circumstances related to
actual cost of those controls in the SJV
area. For the reasons stated in our
separate proposed and final rules on
Rule 4692, we conclude in this final
action on the 2008 PM2.5 Plan that Rule
4692 requires all RACM for charbroilers
in SJV, and that the additional controls
for UFC identified by Earthjustice are
not required RACM for purposes of the
2008 PM2.5 Plan because they are not
23 As explained in our June 30, 2011 proposal to
approve Rule 4692 (76 FR 38340), the specific
ozone RACT requirement in CAA section 182(b)(2)
does not apply to this rule because there are no
Control Techniques Guideline (CTG) documents for
this source category and no major sources of NOX
or VOC subject to this rule in the SJV area. See 76
FR at 38341. We therefore interpret the
commenters’ reference to RACT as referring to the
general requirement for reasonably available control
measures (including RACT for stationary sources)
in CAA section 172(c)(1). See 40 CFR 51.1010.
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reasonably available considering
technological and economic feasibility.
Comment: Earthjustice asserts that
Rule 4103 (Open Burning) achieves far
less than what was anticipated in the
Plan, and that the District had
inappropriately relied on the 10 percent
of profits test to exempt from control the
three largest source categories of NOX,
PM, and VOC covered by the Rule.
Earthjustice asserts that this resulted in
foregone emissions reductions of 1,030
tpy NOX, 1,262 tpy PM2.5 and 1,138 tpy
VOC.
Response: EPA recently determined
that Rule 4103 satisfied applicable CAA
requirements and fully approved the
rule into the SJV portion of the
California SIP. See 76 FR 40660 (July 11,
2011) (proposed rule) and ‘‘Revisions to
the California State Implementation
Plan, San Joaquin Valley Unified Air
Pollution Control District;’’ final rule,
pre-publication notice signed September
30, 2011 (Rule 4103)). As part of that
action, EPA reviewed the District’s
evaluation of the postponements of
certain burning prohibitions for certain
agricultural crop categories and
concurred with the District’s conclusion
that alternatives to open burning for
these crop categories are not reasonably
available for implementation in the SJV
area at this time, considering
technological and economic feasibility
(see, e.g., EPA’s June 2011 TSD at pp.
5–7). For the reasons stated in those
separate proposed and final rules on
Rule 4103, we conclude in this final
action on the 2008 PM2.5 Plan that Rule
4103 requires all RACM for open
burning in SJV, and that the additional
controls identified by Earthjustice are
not required RACM for purposes of the
2008 PM2.5 Plan because they are not
reasonably available considering
technological and economic feasibility.
Comment: Earthjustice stated that
SJVUAPCD added a contingency
provision to Rule 4901 (Wood Burning
Fireplaces and Wood Burning Heaters)
stating that, should the Valley fail to
attain the 1997 PM2.5 standards by the
attainment date, the PM2.5 concentration
triggering a mandatory wood burning
curtailment would be lowered from 30
to 20 mg/m3. Earthjustice contends that,
given the underperformance of other
SJVUAPCD rules, this ‘‘contingency’’
should be adopted now to achieve
additional reductions before the
attainment date.
Response: EPA determined that Rule
4901 satisfied applicable CAA
requirements and fully approved the
rule into the SJV portion of the
California SIP. See 74 FR 57907
(November 10, 2009). As part of that
action, EPA reviewed the District’s
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evaluation of available controls and
concluded that Rule 4901 requires
implementation of Best Available
Control Measures under CAA section
189(b) for particulate matter of 10
microns or less (PM–10) in the SJV area.
This conclusion was based in part on
our finding that SJV’s 30 mg/m3
threshold for mandatory wood burning
curtailment is more stringent than the
35 mg/m3 threshold adopted in other
areas such as Sacramento, South Coast
and Bay Area. See SJVUAPCD, ‘‘Final
Draft Staff Report, Proposed
Amendments to Rule 4901 ‘‘Wood
Burning Fireplaces and Wood Burning
Heaters,’’ October 16, 2008, at pp. 5–6.
Earthjustice has provided no
information to support an argument that
reducing the threshold for mandatory
wood burning curtailment in the SJV
from 30 to 20 mg/m3 is a ‘‘reasonably
available’’ control measure, nor any
information to support an argument that
such a measure would, individually or
in combination with other reasonable
measures, advance attainment of the
1997 PM2.5 standards in the SJV by at
least a year. We have, nonetheless,
evaluated in the section entitled
‘‘Evaluation of potential to advance
attainment’’ below the additional PM
emissions reductions that could be
achieved by implementing a mandatory
wood burning curtailment at a 20 mg/m3
threshold (1.6 tons per winter average
day, see 76 FR at 41358) to determine
whether this measure could, in
combination with other potentially
reasonable measures, advance
attainment in the SJV area.
Comment: Earthjustice asserts that the
exemption in Rule 4354 (Glass Melting
Furnaces) for furnaces that actually emit
less than 8 tons per year of NOX or VOC
(but are located at major sources) is
‘‘illegal’’ because the CAA requires that
RACT be implemented for all major
sources. Earthjustice states that this
exemption cost the Valley 1.6 tons per
day of SOX reductions and 2.9 tons per
day of PM reductions. Earthjustice also
states that the District had adopted a
previous version of Rule 4354 that had
earlier compliance deadlines than the
version EPA ultimately approved into
the SIP. Earthjustice asserts that the
District should have removed the
exemption for small furnaces at large
facilities and should not have delayed
compliance requirements, and that ‘‘it is
unacceptable for the District to forego
any emissions reductions in the years
leading up to attainment.’’
Response: EPA recently determined
that Rule 4354 satisfied applicable CAA
requirements and fully approved the
rule into the SJV portion of the
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California SIP. 24 See 76 FR 53640
(August 29, 2011). As part of that action,
we determined that the VOC and NOX
emission limits in Rule 4354 meet the
CAA section 182(b)(2) and (f) RACT
requirements for major sources of VOC
and NOX. The compliance schedule for
NOX and VOC limits in the SIPapproved rule requires implementation
of all technologically and economically
feasible controls by January 2014. See
SJVUAPCD, Final Draft Staff Report,
‘‘Proposed Amendments to Rule 4354
(Glass Melting Furnaces),’’ August 19,
2010, at pp. 10–12. We conclude,
therefore, that this rule implements all
VOC and NOX controls that are
reasonably available for this source
category in the SJV. We did not fully
evaluate in that action the stringency of
the rule’s requirements for SOX and
PM10 emissions, as there is no specific
RACT control mandate for SOX or PM10
purposes that necessarily applies to
sources covered by this rule.25 We
disagree with Earthjustice’s assertion
that the exemption from the SOX and
PM10 limits for certain furnaces that
actually emit less than 8 tpy of VOC or
NOX (see Rule 4354, section 4.3) is
‘‘illegal,’’ as the CAA does not establish
a specific RACT control mandate for
major sources of SOX or PM10. Under
CAA section 172(c)(1), however, the
State/District are required to adopt all
RACM necessary to demonstrate
attainment as expeditiously as
practicable and to meet RFP
requirements. 40 CFR 51.1010. Given
the need for substantial NOX and PM2.5
emissions reductions in the SJV to meet
both the 1997 PM2.5 standards and the
more stringent 2006 PM2.5 standard by
the applicable attainment dates, we
encourage the SJVUAPCD to reevaluate
the PM10 control requirements in Rule
4354 and to adopt, as expeditiously as
practicable, any additional PM10 and
PM2.5 control requirements that are
reasonably available for implementation
in the Valley. For purposes of the 2008
PM2.5 Plan, additional PM control
requirements for glass melting facilities
24 As explained in our June 30, 2011 proposal to
approve Rule 4692 (76 FR 38340), the specific
ozone RACT requirement in CAA section 182(b)(2)
does not apply to this rule because there are no
Control Techniques Guideline (CTG) documents for
this source category and no major sources of NOX
or VOC subject to this rule in the SJV area. See 76
FR at 38341. We therefore interpret the
commenters’ reference to RACT as referring to the
general requirement for reasonably available control
measures (including RACT for stationary sources)
in CAA section 172(c)(1). See 40 CFR 51.1010.
25 The CAA requires implementation of RACT at
any major source of NOX or VOC in ozone
nonattainment areas classified as moderate or above
(see CAA 182(b)(2)(C) and 182(f)) but does not
contain such a major source RACT control mandate
for SOX or PM purposes.
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may, upon SIP approval, be credited
toward the District’s remaining
enforceable commitments. See 76 FR at
41354, Table 8.
Earthjustice asserts that the
exemption in Rule 4354 for furnaces
emitting less than 8 tpy of NOX or VOC
cost the Valley 1.6 tons per day of SOX
reductions and 2.9 tons per day of PM
reductions. For purposes of the 2008
PM2.5 Plan, the foregone SOX emissions
reductions do not affect the RACM and
attainment demonstration because SJV
has exceeded its target level of SOX
reductions needed for attainment. See
76 FR at 41354, Table 8. As to PM, we
have evaluated the additional emissions
reductions that Earthjustice claims
could have been achieved from glass
melting facilities 26 in our evaluation
below of the potential for such
additional controls, in combination with
other potential control options, to
advance attainment of the 1997 PM2.5
standards in the SJV. See section
‘‘Evaluation of potential to advance
attainment’’ below.
Comment: Earthjustice states that EPA
recently rejected all of the NOX
emission limits in Rule 4352 (Solid
Fuel-Fired Boilers, Steam Generators
and Process Heaters) for failing to satisfy
RACT and asserts that substantial NOX
reductions could be achieved if the
District amended this rule to meet the
stringent limits in place in other areas
of the Country.
Response: Earthjustice correctly notes
that EPA recently disapproved all of the
NOX emission limits in Rule 4352 based
on our conclusion that the District had
failed to adequately demonstrate that
these limits satisfy CAA section 182
RACT requirements. See 75 FR 60623
(October 1, 2010). Earthjustice did not
provide any specific information about
additional control measures that are
reasonably available, nor has it provided
information about the amount of
emissions reductions that might be
achieved by such controls. We have,
however, developed a conservative
(high) estimate of the additional NOX
reductions that could be achieved under
this rule if the emission limits are
strengthened. We developed this
estimate based on the NOX emission
limits in the SIP-approved version of
Rule 4352, the emissions attributed in
the 2008 PM2.5 plan to solid fuel-fired
boilers, steam generators, and process
heaters in the SJV, emissions data from
existing solid fuel-fired boilers in the
SJV, and technical information about
26 For this assessment, we use Earthjustice’s
estimate of the foregone PM reductions and assume
conservatively that all such PM reductions are
PM2.5 reductions.
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available control options from EPA’s
1994 Alternative Control Techniques
Document for NOX Emissions from
Industrial/Commercial/Institutional
Boilers, U.S. EPA 453/R–94–022 (1994
Boiler ACT). Based on this information,
we have conservatively estimated that
more stringent control requirements for
solid fuel-fired boilers, steam
generators, and process heaters in SJV
could achieve an additional 3.16 tpd of
NOX reductions.27
Comment: Earthjustice states that
EPA’s proposal fails to address the fact
that the RACM/RACT analysis ‘‘does
not include reasonable controls for
condensable [PM2.5] emissions’’ and
contains no discussion of such controls.
Earthjustice references 40 CFR
51.1002(c) to support its assertion that
‘‘[t]he transition period allowing
agencies to ignore controls on
condensable emissions ended on
January 1, 2011,’’ and also quotes EPA’s
statement in the preamble to the PM2.5
implementation rule (72 FR at 20652)
that ‘‘[w]e expect States to address the
control of direct PM2.5 emissions,
including condensables with any new
actions taken after January 1, 2011.’’
Earthjustice asserts that EPA must
disapprove the RACM demonstration for
failure to assess reasonably available
controls on condensable emissions.
Response: EPA’s PM2.5
implementation rule states that ‘‘[a]fter
January 1, 2011, for purposes of
establishing emission limits under
51.1009 and 51.1010, States must
establish such limits taking into
consideration the condensable fraction
of direct PM2.5 emissions.’’ 40 CFR
51.1002(c). Prior to this date, the rule
required that nonattainment area SIPs
identify and evaluate sources of PM2.5
direct emissions and PM2.5 attainment
plan precursors as part of the RFP and
RACM/RACT demonstrations but did
not specifically require states to address
condensable PM2.5. See id.28 Because
the attainment, RFP and RACM
demonstrations in the 2008 PM2.5 Plan
were adopted on May 22, 2008 (see 76
FR at 41340), California was not
required to address condensable PM in
establishing the emission limits
contained in these demonstrations as
originally submitted, or in adopting any
other PM emission limits under 40 CFR
sections 51.1009 and 51.1010 prior to
January 1, 2011. Consistent with these
27 Documentation of this estimate can be found in
the TSD, section III.E.
28 See also Letter dated April 25, 2011, from Lisa
P. Jackson, EPA, to Paul Cort, Earthjustice, denying
Petition for Reconsideration with respect to the
deferral of the requirement to establish emission
limits for condensable particulate matter (CPM)
until January 1, 2011.
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requirements, EPA has evaluated the
RFP and RACM demonstrations in the
2008 PM2.5 Plan and concluded that
these elements of the Plan appropriately
address all sources of direct PM2.5
emissions and PM2.5 attainment plan
precursors (SO2 and NOX) in the SJV.
See 76 FR 41338 at 41343.29
The 2008 PM2.5 Plan relies on several
rules regulating direct PM2.5 emissions
as part of the PM2.5 control strategy (e.g.,
Rule 4692 (Commercial Charbroiling,
adopted 9/17/09), Rule 4103 (Open
Burning, adopted 4/15/10), Rule 4354
(Glass Melting Furnaces, adopted 9/16/
10) and Rule 4901 (Wood Burning
Fireplaces and Wood Burning Heaters,
adopted 10/16/08)) as well as rules
controlling NOX and SOX emissions. See
2011 Proposal TSD at Tables F–2, F–3,
and F–4. Of the rules that control direct
PM2.5 emissions, only two establish
emission limits for particulate matter
(Rule 4692 (Commercial Charbroiling)
and Rule 4354 (Glass Melting
Furnaces)). EPA has not yet acted on
any District rule adopted or revised after
January 1, 2011 that regulates direct
PM2.5 emissions. As part of our action
on any such rule, we will evaluate the
emission limits in the rule to ensure that
they appropriately address CPM as
required by 40 CFR 51.1002(c). We note
that the revised version of Rule 4692
(Commercial Charbroiling) that EPA has
recently proposed to approve (see 76 FR
38340 (June 30, 2011)) requires testing
in accordance with the SCAQMD
Protocol, which requires measurement
of both condensable and filterable PM in
accordance with South Coast Air
Quality Management District
(SCAQMD) Test Method 5.1.30 We also
note that the SIP-approved version of
Rule 4354 (Glass Melting Furnaces)
requires testing for condensable PM
emissions using EPA Method 202. See
76 FR 53640 (August 29, 2011).
29 In our proposed rule, we noted that the
SJVUAPCD has deferred limits for CPM in its rules
but that this limited deferral does not affect the
Plan’s RACM/RACT and expeditious attainment
demonstrations. 76 FR 41338 at 41342, n. 12. We
also noted that we would evaluate any PM2.5 rule
adopted or revised by the District after January 1,
2011 to assure that it appropriately addresses CPM.
See id.
30 See SCAQMD Protocol, Determination of
Particulate and Volatile Organic Compound
Emissions From Restaurant Operations, November
14, 1997 (available at https://yosemite.epa.gov/R9/
R9Testmethod.nsf/0/3D4DEB4D21AB4AAF8825
70AD005DFF69/$file/SC%20Rest%20emiss.pdf)
and SCAQMD Test Method 5.1, Determination of
Particulate Matter Emissions From Stationary
Sources Using a Wet Impingement Train, March
1989 (available at https://aqmd.gov/tao/methods/
stm/stm-005-1.pdf).
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Evaluation of Potential to Advance
Attainment
Table E–2 of our 2011 Proposal TSD
indicates that to advance attainment of
the 1997 PM2.5 standards in the SJV by
one year, i.e., from 2014 to 2013, the
area would need an additional 15.6 tpd
of NOX reductions and an additional 3.9
tpd of direct PM2.5 reductions. These
figures represent the difference between
the 2013 ‘‘controlled inventory’’ and the
2014 ‘‘NOX emissions level needed for
PM2.5 attainment.’’ See 2011 Proposal
TSD at Table E–2 (pg. 80).31 The 2013
‘‘controlled inventory’’ figures were
based on the District’s expected
emissions reductions from individual
measures as identified in the 2008 PM2.5
Plan. See Plan at pp. 6–11 and 6–12
(Table 6–3).32 Following adoption of
these measures, however, the District
updated its estimates of the emissions
reductions associated with several of
these measures. See 2011 Proposal TSD
at Table F–4 (pg. 91). Based on these
updated estimates of the reductions
associated with specific control
measures, which alter the 2013
‘‘controlled inventory’’ estimates, we
have re-calculated the amount of PM2.5
reductions needed to advance
attainment by one year as 6.4 tpd.33
As discussed above, with respect to
Rule 4692 (Charbroiling) and Rule 4103
(Open Burning), we have concluded that
the additional PM emissions control
options that Earthjustice identified are
not reasonably available considering
economic and technical feasibility.
Therefore, these potential control
measures are not required RACM for
purposes of the 1997 PM2.5 standards in
the Valley. With respect to Rule 4901
(Wood Burning), Rule 4354 (Glass
Melting Furnaces), and Rule 4352 (Solid
Fuel-Fired Boilers), we assume for
purposes of this analysis that additional
control options are reasonably available
for implementation in the SJV. We
therefore evaluate whether the
31 For NO , 15.6 tpd represents the difference
X
between the 2013 ‘‘controlled inventory’’ (306.8
tpd) and the 2014 ‘‘NOX emissions level needed for
PM2.5 attainment’’ (291.2 tpd). For PM2.5, 3.9 tpd
represents the difference between the 2013
‘‘controlled inventory’’ (67.2 tpd) and the 2014
‘‘Direct PM2.5 emissions level needed for PM2.5
attainment’’ (63.3 tpd).
32 For example, the 2013 ‘‘controlled inventory’’
for PM2.5 (67.2 tpd) is the sum of the expected
emissions reductions from four PM2.5 control
measures identified in Table F–2. See 2011
Proposal TSD at Table E–2 (pg. 87).
33 The updates to the PM
2.5 emissions reduction
estimates reduced the creditable reductions from
6.7 tpd to 4.2 tpd, which in turn increased the 2013
‘‘controlled inventory’’ from 67.2 tpd to 69.7 tpd.
6.4 tpd is the difference between the updated 2013
‘‘controlled inventory’’ (69.7 tpd) and the 2014
‘‘Direct PM2.5 emissions level needed for PM2.5
attainment’’ (63.3 tpd).
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emissions reductions from these
additional control options would,
collectively, advance attainment of the
1997 PM2.5 standards in the SJV by at
least one year.
Our estimate of the total reductions of
direct PM2.5 that could be achieved by
the potential control options for wood
burning (1.6 tpd) and glass melting
furnaces (2.9 tpd) identified by
Earthjustice is 4.5 tpd. As to NOX
reductions, although Earthjustice did
not provide any estimate of the
reductions that could be achieved by
more stringent requirements for solid
fuel-fired boilers, steam generators, and
process heaters, we have conservatively
estimated that such controls could
result in an additional 3.12 tpd of NOX
reductions from existing emissions units
in the SJV. These combined emissions
reductions (4.5 tpd of direct PM2.5 and
3.12 tpd of NOX) are significantly lower
than the total reductions necessary to
advance attainment by one year in the
SJV (6.4 tpd of direct PM2.5 and 15.6 tpd
of NOX). Therefore, even assuming that
additional control options for these
three source categories are reasonably
available for implementation in the SJV,
they are not required RACM for
purposes of the 1997 PM2.5 standards
because they would not advance the
attainment date in SJV by at least one
year. See 40 CFR 51.1010(b).
Conclusion on RACM Demonstration
For all of these reasons and as
discussed in our proposed rule (76 FR
41338) and 2011 Proposal TSD, we
conclude that the 2008 PM2.5 Plan
includes all RACM (including RACT for
stationary sources) necessary for RFP
and expeditious attainment of the 1997
PM2.5 standards in the SJV and,
therefore, satisfies the requirements of
CAA section 172(c)(1) and 40 CFR
51.1010.
E. Comments on the Proposed Actions
on the Control Strategy and Enforceable
Commitments
1. Baseline Measures
Comment: Earthjustice and AIR assert
that the baseline inventories are flawed
because they include emissions
reduction credit from both ‘‘waiver
measures’’ and ‘‘non-waiver measures’’
adopted before December 2006 (together
referred to as ‘‘baseline measures’’) that
have not been approved into the SIP,
and that the inclusion of credit for these
baseline measures undermines the
attainment and progress demonstrations
attached to these inventories. For
example, both commenters object to the
inclusion of credit for CARB’s antiidling requirements in the baseline
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inventories because these requirements
have never been submitted for SIP
approval, and Earthjustice suggests that
EPA should have adjusted the credit for
these anti-idling requirements based on
CARB’s failure to enforce them. Both
commenters assert that EPA has not
specifically evaluated these baseline
measures to determine how they should
be credited in the baseline inventories,
and Earthjustice asserts that the
measures upon which the attainment
and progress demonstrations rely must
be enforceable, creditable controls
approved into the SIP subject to the
CAA’s anti-backsliding provisions.
In addition, based on information
provided in Table 7 of the 2011
Proposal and tables F–7 and F–9 of the
2011 Proposal TSD, AIR provides its
own calculations of the total amount of
emissions reduction credits attributed to
baseline measures and requests that
EPA confirm the accuracy of AIR’s
calculations.
Finally, AIR asserts that these
additional ‘‘non-waiver’’ baseline
measures should also be SIP-approved:
• Heavy Duty Diesel Chip Reflash
(adopted March 27, 2004);
• Diesel Particulate Matter Control
Measure for On-Road Heavy-Duty
Diesel-Fueled Vehicles Owned or
Operated by Public Agencies and
Utilities (adopted December 8, 2005);
• Solid Waste Collection Vehicle Rule
(adopted September 24, 2003);
• Fork Lifts and Other Industrial
Equipment (adopted May 26, 2006);
• Pesticides—Field Fumigant Limits
(submitted to EPA October 12, 2009).
Response: We disagree that there is
any inadequacy in the emissions
projections that undermines the RACM,
RFP or attainment demonstrations in the
2008 PM2.5 Plan. We explained in our
2011 proposal (76 FR 41338 at 41342,
41343) our reasons for concluding both
that the 2005 base year inventory in the
2008 PM2.5 Plan is comprehensive,
accurate, and current as required by
CAA section 172(c)(3) and that the
projected baseline inventories for 2009,
2012 and 2014 provide adequate bases
for the RACM, RFP and attainment
demonstrations in the Plan.
With respect to mobile source
emissions, we believe that credit for
emissions reductions from
implementation of California mobile
source rules that are subject to CAA
section 209 waivers (‘‘waiver
measures’’) is appropriate
notwithstanding the fact that such rules
are not approved as part of the
California SIP. In the TSD supporting
our 2011 proposal, we explained why
we believe such credit is appropriate.
See 2011 Proposal TSD at section
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II.F.4.a.i. Historically, EPA has granted
credit for the waiver measures because
of special Congressional recognition, in
establishing the waiver process in the
first place, of the pioneering California
motor vehicle control program and
because amendments to the CAA (in
1977) expanded the flexibility granted
to California in order ‘‘to afford
California the broadest possible
discretion in selecting the best means to
protect the health of its citizens and the
public welfare’’ (H.R. Rep. No. 294, 95th
Congr., 1st Sess. 301–2 (1977)). In
allowing California to take credit for the
waiver measures notwithstanding the
fact that the underlying rules are not
part of the California SIP, EPA treated
the waiver measures similarly to the
Federal motor vehicle control
requirements, which EPA has always
allowed States to credit in their SIPs
without submitting the program as a SIP
revision.
EPA’s historical practice has been to
give SIP credit for motor-vehicle-related
waiver measures by allowing California
to include motor vehicle emissions
estimates made by using California’s
EMFAC (and its predecessors) motor
vehicle emissions factor model in SIP
inventories. EPA verifies the emissions
reductions from motor-vehicle-related
waiver measures through review and
approval of EMFAC, which is updated
from time to time by California to reflect
updated methods and data, as well as
newly-established emissions standards.
(Emissions reductions from EPA’s motor
vehicle standards are reflected in an
analogous model known as MOVES.34)
The 2008 PM 2.5 Plan was developed
using a version of the EMFAC model
referred to as EMFAC2007, which EPA
has approved for use in SIP
development in California. See 73 FR
3464 (January 18, 2008). Thus, the
emissions reductions that are from the
California on-road ‘‘waiver measures’’
and that are estimated through use of
EMFAC are as verifiable as are the
emissions reductions relied upon by
states other than California in
developing their SIPs based on
estimates of motor vehicle emissions
made through the use of the MOVES
model. All other states use the MOVES
model (and prior to release of MOVES,
the MOBILE model) in their baseline
inventories without submitting the
federal motor vehicle regulations for
incorporation into their SIPs.
Similarly, emissions reductions that
are from California’s waiver measures
for non-road engines and vehicles (e.g.,
34 MOVES replaced the MOBILE model as EPA’s
on-road mobile source emissions estimation model
for use in SIPs and conformity in 2010.
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agricultural, construction, lawn and
garden and off-road recreation
equipment) are estimated through use of
CARB’s OFFROAD emissions factor
model.35 (Emissions reductions from
EPA’s non-road engine and vehicle
standards are reflected in an analogous
model known as NONROAD). Since
1990, EPA has treated California nonroad standards for which EPA has
issued waivers in the same manner as
California motor vehicle standards, i.e.,
allowing credit for standards subject to
the waiver process without requiring
submittal of the standards as part of the
SIP. In so doing, EPA has treated the
California non-road standards similarly
to the Federal non-road standards,
which are relied upon, but not included
in, various SIPs. See generally 2011
Proposal TSD at section II.F.4.a.i.
CARB’s EMFAC and OFFROAD
models employ complex routines that
predict vehicle fleet turnover by vehicle
model years and include control
algorithms that account for all adopted
regulatory actions which, when
combined with the fleet turnover
algorithms, provide future baseline
projections. See 2007 State Strategy,
Appendix F at 7–8. For stationary
sources, the California Emissions
Forecasting System (CEFS) projects
future emissions from stationary and
area sources (in addition to aircraft and
ships) using a forecasting algorithm that
applies growth factors and control
profiles to the base year inventory.36 See
id. at 7. The CEFS model integrates the
projected inventories for both stationary
and mobile sources into a single
database to provide a comprehensive
statewide forecast inventory, from
which nonattainment area inventories
are extracted for use in establishing
future baseline planning inventories.
See id. In 2011, CARB updated the
baseline emissions projections for
several source categories to account for,
among other things, more recent
economic forecasts and improved
methodologies for estimating emissions
from the heavy duty truck and
construction source categories. See 2011
Progress Report at Appendix E. These
methodologies for projecting future
emissions based on growth factors and
existing Federal, State, and local
35 Information about CARB’s emissions
inventories for on-road and non-road mobile
sources, and the EMFAC and OFFROAD models
used to project changes in future inventories, is
available at https://www.arb.ca.gov/msei/msei.htm.
36 Information on base year emissions from
stationary point sources is obtained primarily from
the districts, while CARB and the districts share
responsibility for developing and updating
information on emissions from various area source
categories. See 2007 State Strategy, Appendix F at
21.
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69907
controls were consistent with EPA
guidance on developing projected
baseline inventories. See 2011 Proposal
TSD at section II.A; see also
‘‘Procedures for Preparing Emissions
Projections,’’ EPA Office of Air Quality
Planning and Standards, EPA–450/4–
91–019, July 1991; ‘‘Emissions
Projections,’’ STAPPA/ALAPCO/EPA
Emissions Inventory Improvement
Project, Volume X, December 1999
(available at https://www.epa.gov/
ttnchie1/eiip/techreport/volume10/
x01.pdf).
In sum, the 2005 base year and future
projected baseline inventories in the
2008 PM2.5 Plan were prepared using a
complex set of CARB methodologies to
estimate and project emissions from
stationary sources, in addition to the
most recent emissions factors and
models and updated activity levels for
emissions associated with mobile
sources, including: (1) The latest EPAapproved California motor vehicle
emissions factor model (EMFAC2007)
and the most recent motor vehicle
activity data from each of the
metropolitan planning organizations
(MPOs) in the San Joaquin Valley; (2)
improved methodologies for estimating
emissions from specific source
categories; and (3) CARB’s non-road
mobile source model (the OFFROAD
model). See TSD Section II.A
(referencing, inter alia, 2007 State
Strategy at Appendix F) and 2011
Progress Report. EPA has approved
numerous California SIPs that rely on
base year and projected baseline
inventories including emissions
estimates derived from the EMFAC,
OFFROAD, and CEFS models. See, e.g.,
65 FR 6091 (February 8, 2000)
(proposed rule to approve 1-hour ozone
plan for South Coast) and 65 FR 18903
(April 10, 2000) (final rule); 70 FR
43663 (July 28, 2005) (proposed rule to
approve PM–10 plan for South Coast
and Coachella Valley) and 70 FR 69081
(November 14, 2005) (final rule); 74 FR
66916 (December 17, 2009) (direct final
rule to approve ozone plan for Monterey
Bay). The commenter has provided no
information to support a claim that
these methodologies for developing base
year inventories and projecting future
emissions in the SJV are inadequate to
support the RACM, RFP, and attainment
demonstrations in the 2008 PM2.5 Plan.
For all of these reasons and as
discussed in our 2011 proposal (76 FR
41338 at 41342, 41343), we have
concluded that the 2005 base year
inventory in the 2008 PM2.5 Plan is a
‘‘comprehensive, accurate, current
inventory of actual emissions from all
sources of the relevant pollutant or
pollutants’’ in the SJV area, consistent
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with the requirements for emissions
inventories in CAA section 172(c)(3), 40
CFR 51.1008, and 40 CFR part 51,
subpart A. In addition, we conclude that
the projected baseline inventories for
2009, 2012 and 2014 were prepared
consistent with EPA’s guidance on
development of emissions inventories
and attainment demonstrations and,
therefore, provide an adequate basis for
the RACM, RFP and attainment
demonstrations in the Plan. See 2011
Proposal TSD at section II.A.
As to the six specific baseline
measures that CRPE asserts should be
SIP-approved, we note first that the SJV
2008 PM2.5 SIP does not rely on credit
for emissions reductions from the
Pesticides regulations (Field Fumigant
Limits) as those regulations address
only VOC and therefore do not apply to
any pollutant that is a PM2.5 attainment
plan precursor in the SJV (PM2.5, NOX,
or SO2).
Second, both the Requirements to
Reduce Idling Emissions from New and
In-Use Trucks (effective November 15,
2006) 37 and the Fork Lifts and Other
Industrial Equipment measure (adopted
May 26, 2006) are pending EPA waiver
determinations under CAA section
209(b) or section 209(e).38 We expect
that EPA will act on these requests for
waivers of preemption or authorization
under CAA section 209 in the near term,
and that our final approval of the 2008
PM2.5 Plan based in part on its reliance
on the emissions reductions associated
with these rules is, therefore, reasonable
and appropriate. If, however, EPA either
37 EPA is currently reviewing a request from
CARB for a determination as to whether certain
requirements of these anti-idling rules are
preempted by section 209(a) of the CAA; certain
provisions are conditions precedent pursuant to
section 209(a) of the Act; certain provisions are
within-the-scope of previous waivers and
authorizations issued pursuant to sections 209(b)
and 209(e) of the Act, respectively; and at least one
provision requires and merits a full authorization
pursuant to section 209(e) of the Act. See 75 FR
43975 (July 27, 2010). CARB estimates that the
operational requirement of the anti-idling rule,
which is not subject to a CAA section 209 waiver,
achieves 0.2 tpd of NOX in the SJV. See
Memorandum, Doris Lo, Air Division, Planning
Office (AIR–2); to the San Joaquin Valley PM2.5
Docket No. EPA–R09–OAR–2010–0516, ‘‘SIP Credit
for Heavy-Duty Diesel Engine Low-NOX Software
(‘‘Chip Reflash’’)’’; from, September 28, 2011.
38 See letter, James Goldstene, Executive Officer,
CARB to Stephen L. Johnson, Administrator, EPA
RE: Request for Authorization Determination
Pursuant to Clean Air Act Section 209(e) for
Amendments to California’s Off-Road Emissions
Standards Regulation for large Spark-Ignition (LSI)
Engines and Fleet Requirement for In-Use LSI
Forklifts and Other Industrial Equipment and
California State Motor Vehicle and Nonroad Engine
Pollution Control Standards; Truck Idling
Requirements; Opportunity for Public Hearing and
Request for Public Comment; Notice Of
Opportunity For Public Hearing And Comment. 75
FR 43975 (July 27, 2010).
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denies or does not issue the State’s
requested waiver for any of these
measures prior to the effective date of
today’s action, we will take appropriate
remedial action to ensure that our action
on the plan is fully supportable or to
reconsider that action.
Third, as to the Diesel Particulate
Matter Control Measure for On-Road
Heavy-Duty Diesel-Fueled Vehicles
Owned or Operated by Public Agencies
and Utilities (adopted December 8,
2005), CARB’s staff report on this
measure indicates that the projected
baseline inventories have attributed
emissions reductions of 0.1 tpd PM2.5
and 0.18 tpd NOX statewide to this
measure. See Staff Report: Proposed
Diesel Particulate Matter Control
Measure for On-Road Heavy-Duty
Diesel-Fueled Vehicles Owned or
Operated by Public Agencies and
Utilities, October 2005, at pg. 55.
Assuming less than 25 percent of these
reductions are attributed to the SJV area,
the de minimis amounts of emissions
reductions attributed to this measure in
the 2008 PM2.5 SIP do not affect our
evaluation of the attainment and RFP
demonstrations in the 2008 PM2.5 SIP.
Similarly, as to the Solid Waste
Collection Vehicle Rule (adopted
September 24, 2003), CARB’s staff
report on this measure indicates that the
projected baseline inventories have
attributed emissions reductions of 0.17
tpd PM2.5 and 2.3 tpd NOX statewide to
this measure. See Supplemental Staff
Report: Proposed Diesel Particulate
Matter Control Measure for On-Road
Heavy-Duty Residential and
Commercial Solid Waste Collection
Vehicles, August 8, 2003, at pg. 18.
Assuming less than 25 percent of these
reductions are attributed to the SJV area,
the de minimis amounts of emissions
reductions attributed to this measure in
the 2008 PM2.5 SIP also do not affect our
evaluation of the attainment and RFP
demonstrations in the 2008 PM2.5 SIP.
Finally, the Heavy Duty Diesel
Engine-Chip Reflash rule (adopted
March 27, 2004) (‘‘Chip Reflash’’ rule)
was intended to ensure expeditious
compliance with CARB’s NOX
emissions standard for heavy-duty
diesel (HDD) engines by requiring
installation of ‘‘Low-NOX Software.’’
The Chip Reflash rule was invalidated
in part by a California State Court, and
CARB repealed the related regulations
in June 2007. The emissions reduction
credit attributed to Chip Reflash in
CARB’s baseline inventories is limited
to vehicles that have been ‘‘reflashed,’’
i.e., physically installed the Low-NOX
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Software,39 removal of which would
constitute a violation of the CAA
and/or California state law. See the
statutory anti-tampering laws in CAA
section 203(a)(3) and California Vehicle
Code section 27156. Thus, the NOX
emissions reductions attributed to
‘‘reflashed’’ engines are enforceable
under the CAA and/or California state
law.
As to AIR’s calculation of the
reductions from baseline measures, AIR
calculates what it considers ‘‘the total
reductions from baseline reductions
without recession reductions’’ to be 11
tpd of PM2.5, 195 tpd of NOX, and 0.9
tpd of SOX. These figures are not correct
because they do not take into account
CARB’s recent updates to the projected
2014 inventory.
For the 2008 PM2.5 SIP, ‘‘baseline
reductions’’ are calculated by
subtracting the 2005 base year inventory
form the projected 2014 pre-controlstrategy inventory. As we have
discussed above, CARB revised its
projected 2014 inventories to
incorporate not only the continuing
effects of the recent economic recession
but also many non-recession related
changes. These revisions have resulted
in a more accurate projected 2014
inventory.
As we have discussed previously,
projected emissions inventories are a
function in part of changes in activity.
Projected inventories are, therefore,
necessarily affected by forecasts of
industrial growth, population growth,
and transportation growth, among other
factors. EPA guidance emphasizes the
importance of developing reliable
methods for estimating future source
activity levels as part of the SIP
planning process. We believe that CARB
has done this.
39 The 2007 State Strategy, Appendix A,
‘‘Emissions Inventory Output Tables’’ documents
the adjustment in the baseline that CARB made to
account for Chip Reflash (or Heavy-Duty Diesel
Engine Software Upgrade). As described in
appendix A, CARB staff estimates that the overall
benefits of the software upgrade regulation plus
related actions provided approximately 38 tons per
day of NOX emissions reductions statewide in year
2007. CARB also indicates that it took into account
the fact that the software upgrade regulation had
been invalidated by including no additional
emissions reductions from chip reflash other than
those that had already occurred due to compliance
with the regulation (prior to invalidation by the
court), voluntary upgrade programs, ongoing engine
rebuilds, engine upgrades by manufacturers exempt
from the regulation, and interstate trucks. CARB
staff recently confirmed that the baseline
adjustment for chip reflash in the 2007 State
Strategy reflects emissions reduction credit only for
engines that have been ‘‘reflashed’’. See
Memorandum, Doris Lo, Air Division, Planning
Office (AIR–2); to the San Joaquin Valley PM2.5
Docket No. EPA–R09–OAR–2010–0516, ‘‘SIP Credit
for Heavy-Duty Diesel Engine Low-NOX Software
(‘‘Chip Reflash’’)’’; from September 28, 2011.
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2. Waiver Measures
Comment: Earthjustice and CRPE
object to our proposal to grant emissions
reduction credit to California’s mobile
source control measures that have
received a waiver of preemption under
CAA section 209 without first approving
them into the SIP. Both commenters
argue that our reliance for this proposal
on the general savings clause in CAA
section 193 is inappropriate for several
reasons.
First, the commenters assert that CAA
section 193 only saves those ‘‘formal
rules, notices, or guidance documents’’
that are not inconsistent with the CAA.
They argue that both the CAA and
EPA’s long-standing policies and
regulations require SIPs to contain the
state and local emission limitations and
control measures that are necessary for
attainment and RFP and to meet other
CAA requirements. They assert that our
position on the treatment of California’s
waived measures is inconsistent with
this requirement. CRPE asserts that EPA
has, in contrast, approved other (nonmobile source) state measures into the
SIP, e.g., the consumer products rules
and fuel standards. Earthjustice also
argues that only SIP approval provides
for the CAA’s enforcement oversight
(CAA sections 179 and 304) and antibacksliding (CAA section 110(l) and
193) safeguards.
Second, the commenters argue that
we cannot claim that our position was
ratified by Congress because section 193
saves only regulations, standards, rules,
notices, orders and guidance
‘‘promulgated or issued’’ by the
Administrator and we have not
identified documents promulgated or
issued by EPA that establish our
position here. Earthjustice further
asserts that our interpretation has not
been expressed through any affirmative
statements and the only statements of
relevant statutory interpretations are
contrary to our position on California’s
waived measures.
Third, Earthjustice argues that there is
no automatic presumption that Congress
is aware of an agency’s interpretations
and we have not provided any evidence
that Congress was aware of our
interpretation regarding the SIP
treatment of California’s mobile source
control measures. Similarly, CRPE
argues that our positions that Congress
must expressly disapprove of EPA’s
long-standing interpretation and
Congressional silence equates to a
ratification of EPA’s interpretation are
incorrect.
Finally, CRPE argues that waiver
measures may not be used in attainment
demonstrations because EPA makes no
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finding during the waiver process that
the rules achieve the reductions claimed
or that the measures are SIP creditable.
CRPE also notes that these issues are the
subject of litigation in the 9th Circuit
U.S. Court of Appeals in Sierra Club v.
EPA, Consolidated Case Nos. 10–71457
and 10–71458.
Response: We continue to believe that
credit for emissions reductions from
implementation of California mobile
source rules that are subject to CAA
section 209 waivers (‘‘waiver
measures’’) is appropriate
notwithstanding the fact that such rules
are not approved as part of the
California SIP. In our 2011 proposal and
the 2011 Proposal TSD, we explained
why we believe such credit is
appropriate. See 76 FR 41338 at 41345
and 2011 Proposal TSD at section
II.F.4.a.i. Historically, EPA has granted
credit for the waiver measures because
of special Congressional recognition, in
establishing the waiver process in the
first place, of the pioneering California
motor vehicle control program and
because amendments to the CAA (in
1977) expanded the flexibility granted
to California in order ‘‘to afford
California the broadest possible
discretion in selecting the best means to
protect the health of its citizens and the
public welfare,’’ (H.R. Rep. No. 294,
95th Congr., 1st Sess. 301–2 (1977)). In
allowing California to take credit for the
waiver measures notwithstanding the
fact that the underlying rules are not
part of the California SIP, EPA treated
the waiver measures similarly to the
Federal motor vehicle control
requirements, which EPA has always
allowed States to credit in their SIPs
without submitting the program as a SIP
revision. As we explained in the 2011
Proposal TSD (pp. 100–102), credit for
Federal measures, including those that
establish on-road and nonroad
standards, notwithstanding their
absence in the SIP, is justified by
reference to CAA section 110(a)(2)(A),
which establishes the following content
requirements for SIPs: ‘‘* * *
enforceable emission limitations and
other control measures, means, or
techniques (including economic
incentives such as fees, marketable
permits, and auctions of emissions
rights), * * *, as may be necessary or
appropriate to meet the applicable
requirements of this chapter.’’
(emphasis added). Federal measures are
permanent, independently enforceable
(by EPA and citizens), and quantifiable
without regard to whether they are
approved into a SIP, and thus EPA has
never found such measures to be
‘‘necessary or appropriate’’ for inclusion
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in SIPs to meet the applicable
requirements of the Act. Section 209 of
the CAA establishes a process under
which EPA allows California’s waiver
measures to substitute for Federal
measures, and like the Federal measures
for which they substitute, EPA has
historically found, and continues to
find, based on considerations of
permanence, enforceability, and
quantifiability, that such measures are
not ‘‘necessary or appropriate’’ for
California to include in its SIP to meet
the applicable requirements of the Act.
First, with respect to permanence, we
note that, to maintain a waiver, CARB’s
on-road waiver measures can be relaxed
only to a level of aggregate equivalence
to the Federal Motor Vehicle Control
Program (FMVCP). See section
209(b)(1). In this respect, the FMVCP
acts as a partial backstop to California’s
on-road waiver measures (i.e., absent a
waiver, the FMVCP would apply in
California). Likewise, Federal nonroad
vehicle and engine standards act as a
partial backstop for corresponding
California nonroad waiver measures.
The constraints of the waiver process
thus serve to limit the extent to which
CARB can relax the waiver measures for
which there are corresponding EPA
standards, and thereby serve an antibacksliding function similar in
substance to those established for SIP
revisions in CAA sections 110(l) and
193.40 Meanwhile, the growing
convergence between California and
EPA mobile source standards
diminishes the difference in the
emissions reductions reasonably
attributed to the two programs and
strengthens the role of the Federal
program in serving as an effective
backstop to the State program. In other
words, with the harmonization of EPA
mobile source standards with the
corresponding State standards, the
Federal program is becoming essentially
a full backstop to most parts of the
California program.
Second, as to enforceability, we note
that the waiver process itself bestows
enforceability onto California to enforce
the on-road or nonroad standards for
which EPA has issued the waiver. CARB
has as long a history of enforcement of
40 In addition, the commenters’ concerns over the
potential for relaxation by the State of the waiver
measures because the underlying regulations are
not subject to EPA review and approval as a SIP
revision are not a practical concern for this
particular plan given that the plan’s horizon is very
short term (next couple of years), and the on-road
and nonroad vehicles that in part will determine
whether the area attains the standard are already in
operation or in dealer showrooms. There is no
practical means for the State to relax the standards
of vehicles already manufactured, even if the State
wanted to relax the standards.
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vehicle/engine emissions standards as
EPA, and CARB’s enforcement program
is equally as rigorous as the
corresponding EPA program. The
history and rigor of CARB’s enforcement
program lends assurance to California
SIP revisions that rely on the emissions
reductions from CARB’s rules in the
same manner as EPA’s mobile source
enforcement program lends assurance to
other state’s SIPs in their reliance on
emissions reductions from the FMVCP.
While it is true that citizens and EPA
are not authorized to enforce California
waiver measures under the Clean Air
Act (i.e., because they are not in the
SIP), citizens and EPA are authorized to
enforce EPA standards in the event that
vehicles operate in California without
either California or EPA certification.
As to quantifiability, EPA’s historical
practice has been to give SIP credit for
motor-vehicle-related waiver measures
by allowing California to include motor
vehicle emissions estimates made by
using California’s EMFAC (and its
predecessors) motor vehicle emissions
factor model in SIP inventories. EPA
verifies the emissions reductions from
motor-vehicle-related waiver measures
through review and approval of EMFAC,
which is updated from time to time by
California to reflect updated methods
and data, as well as newly-established
emissions standards. (Emissions
reductions from EPA’s motor vehicle
standards are reflected in an analogous
model known as MOVES.) The EMFAC
model is based on the motor vehicle
emissions standards for which
California has received waivers from
EPA but accounts for vehicle
deterioration and many other factors.
The motor vehicle emissions estimates
themselves combine EMFAC results
with vehicle activity estimates, among
other considerations. See the 1982 Bay
Area Air Quality Plan, and the related
EPA rulemakings approving the plan
(see 48 FR 5074 (February 3, 1983) for
the proposed rule and 48 FR 57130
(December 28, 1983) for the final rule)
as an example of how the waiver
measures have been treated historically
by EPA in California SIP actions. The
San Joaquin Valley plan was developed
using a version of the EMFAC model
referred to as EMFAC2007, which EPA
has approved for use in SIP
development in California. See 73 FR
3464 (January 18, 2008). Thus, the
emissions reductions that are from the
California on-road ‘‘waiver measures’’
and that are estimated through use of
EMFAC are as verifiable as are the
emissions reductions relied upon by
states other than California in
developing their SIPs based on
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estimates of motor vehicle emissions
made through the use of the MOVES
model.
Moreover, EPA’s waiver review and
approval process is analogous to the SIP
approval process. First, CARB adopts its
emissions standards following notice
and comment procedures at the state
level, and then submits the rules to EPA
as part of its waiver request. When EPA
receives new waiver requests from
CARB, EPA publishes a notice of
opportunity for public hearing and
comment and then publishes a decision
in the Federal Register following the
public comment period. Once again, in
substance, the process is similar to that
for SIP approval and supports the
argument that one hurdle (the waiver
process) is all Congress intended for
California standards, not two (waiver
process plus SIP approval process).
Second, just as SIP revisions are not
effective until approved by EPA,
changes to CARB’s rules (for which a
waiver has been granted) are not
effective until EPA grants a new waiver,
unless the changes are ‘‘within the
scope’’ of a prior waiver and no new
waiver is needed. Third, both types of
final actions by EPA—i.e., final actions
on California requests for waivers and
final actions on state submittals of SIPs
and SIP revisions may be challenged
under section 307(b)(1) of the CAA in
the appropriate United States Court of
Appeals.
In the 2011 Proposal TSD (pp. 102–
103), we indicated that we believe that
section 193 of the CAA, the general
savings clause added by Congress in
1990, effectively ratified our longstanding practice of granting credit for
the California waiver rules because
Congress did not insert any language
into the statute rendering EPA’s
treatment of California’s motor vehicle
standards inconsistent with the Act.
Rather, Congress extended the
California waiver provisions to most
types of nonroad vehicles and engines,
once again reflecting Congressional
intent to provide California with the
broadest possible discretion in selecting
the best means to protect the health of
its citizens and the public welfare.
Requiring the waiver measures to
undergo SIP review in addition to the
statutory waiver process is not
consistent with providing California
with the broadest possible discretion as
to on-road and nonroad vehicle and
engine standards, but rather, would add
to the regulatory burden California faces
in establishing and modifying such
standards, and thus would not be
consistent with Congressional intent. In
short, we believe that Congress intended
California’s mobile source rules to
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undergo only one EPA review process
(i.e., the waiver process), not two.
In summary, we disagree that our
interpretation of CAA section 193 is
fundamentally flawed. EPA has
historically given SIP credit for waiver
measures in our approval of attainment
demonstrations and other planning
requirements such as reasonable further
progress and contingency measures
submitted by California. We continue to
believe that section 193 ratifies our
long-standing practice of allowing credit
for California’s waiver measures
notwithstanding the fact they are not
approved into the SIP, and correctly
reflects Congressional intent to provide
California with the broadest possible
discretion in the development and
promulgation of on-road and nonroad
vehicle and engine standards.41
CRPE correctly notes that EPA’s
treatment of California waiver measures
in SIP actions is the subject of current
litigation in Sierra Club v. EPA,
Consolidated Case Nos. 10–71457 and
10–71458 (9th Circuit).
3. Enforceable Commitments
Comment: AIR argues that EPA
cannot make a finding that the
‘‘recession reductions’’ are an
‘‘enforceable’’ measure within the
meaning of CAA section 110(a)(2)(A)
and 172(c)(6) because ‘‘recession
reductions’’ are only voluntary behavior
to reduce activity for economic reasons
and nothing prevents such an increase
in activity as the economy improves.
Based on this argument, AIR asserts that
EPA’s approval of the attainment
demonstration is arbitrary and
capricious and not in accordance with
the law. AIR asserts that CARB concedes
that the reductions coming from
reduced activity may change in the
future.
Response: EPA is not making a
finding that emissions ‘‘reductions’’
related to the economic recession are
‘‘enforceable’’ measures under CAA
sections 110(a)(2)(A) and 172(c)(6). As
explained in our amended proposal (76
FR 41338 at 41354–41356), we are
concluding that CARB’s 2011 SIP
revisions, which updated the State’s
projected (‘‘baseline’’) emissions
inventories based on improved
41 In this regard, we disagree that we are treating
the waiver measures inconsistently with other
California control measures, such as consumer
products and fuels rules, for the simple reason that,
unlike the waiver measures, there is no history of
past practice or legislative history supporting
treatment of other California measures, such as
consumer products rules and fuels rules, in any
manner differently than is required as a general rule
under CAA section 110(a)(2)(A), i.e., state and local
measures that are relied upon for SIP purposes must
be approved into the SIP.
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methodologies for estimating emissions
and more recent growth factors, reduced
the total amount of emissions
reductions needed for attainment and
that the control strategy in the 2008
PM2.5 Plan, as revised in 2011,
demonstrates expeditious attainment of
the 1997 PM2.5 NAAQS in the SJV from
the revised baseline.
Section 110(a)(2)(A) of the CAA
requires that each implementation plan
submitted by a State include
‘‘enforceable emission limitations and
other control measures, means, or
techniques * * * as well as schedules
and timetables for compliance, as may
be necessary or appropriate to meet the
applicable requirements of [the CAA].’’
Section 172(c)(6) contains substantively
identical requirements for all
nonattainment area plans. Baseline
emissions inventories, however, are not
‘‘enforceable emission limitations and
other control measures, means, or
techniques’’ or ‘‘schedules and
timetables for compliance’’ that are
necessary or appropriate to meet CAA
requirements. See El Comite Para El
Bienestar de Earlimart v. Warmerdam,
539 F.3d 1062 (9th Cir. 2008)
(concluding that a baseline inventory is
not an enforceable ‘‘standard or
limitation’’ as defined by the CAA and
is not, therefore, an independently
enforceable aspect[] of the SIP’’). Rather,
baseline emissions inventories provide
the basis for, among other things, the
demonstrations of attainment and
progress toward attainment required by
CAA sections 172(c)(1) and 172(c)(2).
Specifically, CAA section 172(c)(3)
requires that each plan for a
nonattainment area include ‘‘a
comprehensive, accurate, current
inventory of actual emissions from all
sources of the relevant pollutant or
pollutants in such area * * *’’). After
developing this ‘‘base year’’ emissions
inventory, States use modeling and
other analyses to calculate future
emissions projections and ‘‘target’’
emissions levels, which then inform the
State’s development of progress
milestones and control strategies for
attaining the NAAQS. See General
Preamble at 13507–13510. In short,
emissions inventories provide estimates
of current and future emissions that, in
turn, provide the starting point for the
State’s attainment demonstration and
enforceable control strategy.
Nothing in the CAA precludes a State
from revising a submitted plan to take
into account revised emissions
estimates and projections. All
projections of future emissionsgenerating activity (including the
original projections in the 2008 PM2.5
Plan that AIR would have CARB and
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EPA continue to use) are based on
projections of population and
employment and other growth factors
that reflect voluntary behavior, all of
which can increase or decrease as
economic conditions change. However,
reliance on projections from reputable
sources of economic behavior based on
established methods of predicting such
behavior is the historic practice for
development of emissions inventories.
CARB’s revised projections of future
emissions-generating activity are based
on reputable sources, represent the most
current understanding of expected
economic conditions through at least
2014, and were subject to extensive
public review and comment before
CARB adopted its 2011 SIP revisions
containing these updated projections.
Given the magnitude of the economic
recession’s impact on emissionsgenerating activity in SJV and other
parts of California, and the resulting
impact on the State’s assessment of the
control strategy necessary to
demonstrate attainment of the 1997
PM2.5 standards, we conclude that it is
appropriate to take these updated
emissions projections into account as
part of our action on the 2008 PM2.5
Plan. Other than asserting generally that
CARB and EPA should not rely on the
revised economic data to determine the
reductions needed for attainment and
that future conditions may change, AIR
provides no information that
undermines the State’s revised
economic data or the related changes to
the projected inventories.
We disagree with AIR’s unsupported
assertion that ‘‘CARB concedes that the
reductions coming from reduced
activity may change in the future.’’
CARB has stated that it will continue to
track emissions trends to ensure that the
2014 emissions targets are met and
maintains its commitment to adopt and
implement additional control
requirements, incentive programs, or
other measures as appropriate to reduce
emissions to the levels necessary to
attain. See 2011 Progress Report, p. 4.
Moreover, as discussed above, the
revisions to the 2014 baseline inventory
that AIR characterizes as ‘‘recession
reductions’’ took into account not only
the State’s revised economic forecasts
but numerous other factors, including
updated activity data and growth
projections. See section II.A
(‘‘Comments on the Proposed Actions
on the Emissions Inventory’’) above.
Comment: AIR asserts that the Plan
relies on emissions reductions caused
by the recent economic recession to
demonstrate attainment, rather than
requiring reductions from diesel trucks
and other diesel equipment in 2014.
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Noting CARB’s recent revisions to five
of its in-use rules,42 AIR argues that
these rule revisions ‘‘reduc[ed] the
amount of reductions that those five inuse rules would have achieved by
2014,’’ and that CARB has equated
recession-related emissions reductions
with the reductions necessary to meet
the 2014 tonnage targets. AIR asserts
that the difference between the prerecession and recession inventories in
the Valley is 40 tons per day of NOX.
Response: As discussed above,
CARB’s revisions to the 2014 baseline
inventories took into account not only
the State’s revised economic forecasts
but numerous other factors, including
updated activity data and growth
projections. See section II.A above.
These improvements to the emissions
estimates reduced the projected 2014
emissions levels for trucks, buses and
certain off-road equipment compared to
the levels expected when CARB initially
adopted its rules for these sources in
2007 and 2008. These revised
projections, in turn, reduced the State’s
assessment of the amount of emissions
reductions needed from these emissions
sources to provide for attainment of the
1997 PM2.5 NAAQS in the SJV and
allowed CARB to provide some
economic relief to the affected
industries.43 We note that because EPA
has not previously approved California’s
in-use truck rules into the SIP, EPA’s
approval of these rules strengthens the
SIP and meets the requirements of CAA
section 110(l). See CAA 110(l)
(prohibiting EPA from approving a
revision of a plan ‘‘if the revision would
interfere with any applicable
requirement concerning attainment and
reasonable further progress * * * or any
other applicable requirement of [the
Act]’’).
Both the revised Truck rule and the
revised Off-Road rule continue to
require reductions from diesel trucks
42 These five in-use rules are CARB’s Truck rule,
Heavy-Duty Vehicle Greenhouse Gas Emission
Reduction Regulation, In-Use On-Road DieselFueled Heavy-Duty Drayage Trucks Regulation, OffRoad rule), and the LSI regulation (collective ‘‘inuse rules’’).
43 To determine the extent to which it could
revise its in-use rules to provide economic relief
and still meet the attainment target, CARB
evaluated whether the lower emissions from the
revised inventories for both trucks, buses and offroad equipment, when combined with the effects of
the recession, provided greater emissions
reductions from the in-use rules than were initially
expected. CARB referred to these greater-thanexpected emissions reductions as the ‘‘emission
margin.’’ Because the in-use diesel rules reduced
both direct PM2.5 and NOX and both pollutants
contribute to ambient levels of PM2.5, CARB
calculated the margin on a ‘‘NOX equivalent’’ basis
and found that the margin for the SJV was 40 tpd
of NOX equivalents. See 2010 Truck Rule ISOR,
p. 23.
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and other diesel equipment in 2014 and
future years. See 2010 Truck Rule ISOR,
p. 45 and 2010 Off-Road Equipment
ISOR, p. 38; see also, 76 FR 41338,
41346 (Table 6).
Comment: AIR claims that the 2011
Progress Report shows CARB considers
‘‘recession reductions’’ as a part of its
‘‘global’’ emissions reduction
commitment. In support of this claim,
AIR quotes the 2011 Progress Report at
page 4:
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As a result of the recession, actual
emissions decreases moved California closer
to the emissions levels needed for attainment
in 2014. The recession has reduced economic
activity and emissions, most notably in the
goods movement sector. This has allowed
ARB to maintain the State’s SIP
commitments in the South Coast and San
Joaquin Valley while also providing some
near-term economic relief to affected
industries.
As the economy recovers, ARB will
continue to track emissions trends to ensure
the 2014 emissions targets are met. If future
emissions were to exceed the SIP target, the
State’s commitment could be made up with
additional controls, incentive programs, or
other programs to bring emissions down to
the necessary levels. A discussion of how
ARB accounted for the recession is found
later in this report.
Response: EPA is not treating any
‘‘recession reductions’’ as part of the
State’s enforceable commitments. As
explained above, we are approving the
attainment demonstration and control
strategy in the 2008 PM2.5 Plan based on
our conclusion that the Plan, as revised
by CARB’s 2011 revisions to the
projected baseline inventories,
demonstrates expeditious attainment of
the PM2.5 standards in the SJV. EPA
interprets the quoted language as a
statement of CARB’s future plans to
revise the SIP as necessary should
economic activity change significantly
in the future.
Comment: AIR claims that in
proposing to disapprove the CARB’s
global commitment in November 2010,
EPA recognized that the Truck rule
could reduce that percentage of
reductions remaining as commitments
below 10 percent. It then asserts that
EPA cannot now approve the
commitment and the attainment
demonstration because CARB’s
relaxation of the Truck rule and the OffRoad rule to delay reductions beyond
2014 mean that the percentages of PM2.5
and NOX reductions needed for
attainment that remain as commitments
are still well above the 10 percent
threshold. AIR states that based on its
calculations, the percentage of total
reductions remaining as commitments,
if adjustments to the baseline are not
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included, would be 25.1 percent for
PM2.5 and 26.7 percent for NOX.
Response: EPA did not propose to
disapprove CARB’s aggregate
commitments in its 2010 proposal. We
proposed then and again in our 2011
proposal to approve CARB’s aggregate
emissions reductions commitments as
described in CARB Resolution 07–28,
Attachment B. See 75 FR 74518 at 74541
and 76 FR 41338 at 41361. EPA did
initially propose to disapprove the
attainment demonstration based in part
on our finding that the percentage of the
emissions reductions needed for
attainment that remained as
commitments was too high. See 75 FR
at 74541. As explained in our 2011
proposal, however, additional
submittals from CARB have reduced the
percentages of emissions reductions
remaining as commitments to 13.2
percent for direct PM2.5 and 4.5 percent
for NOX. These percentages are
reasonably close to the 10 percent range
that EPA has historically accepted as
appropriate for enforceable
commitments in approving attainment
demonstrations. See 76 FR at 41355,
41356. Because the State’s revisions to
the projected baseline inventories in the
SJV 2008 PM2.5 SIP have reduced the
total tonnage of emissions reductions
necessary to attain the 1997 PM2.5
standards (see section II.A above), we
disagree with AIR’s calculation of the
percentage of total reductions remaining
as commitments.
Comment: Earthjustice comments that
EPA has outlined a three-factor test to
assess whether the commitments in the
SJV 2008 PM2.5 SIP are reasonable but
has not documented, under the first
factor, how we determine the level of
remaining reductions and what is meant
by ‘‘reasonably close.’’
Response: In our 2011 proposal we
provide a detailed discussion of the
emissions reductions needed for
attainment and how they have been or
will be achieved. See generally 76 FR
41339, 41344–41347 and 41354–41357
and 2011 Proposal TSD, sections II.F.
and G. These reductions include those
from measures adopted prior to 2007
(baseline measures), measures adopted
since 2007 and measures that are yet to
be adopted (i.e., enforceable
commitments). The expected reductions
from each of these sets of measures are
provided in the 2011 proposal, as are
EPA’s calculations of the percentages of
needed reductions remaining as
commitments. See 76 FR 41338 at
41354, Table 8; see also 2011 Proposal
TSD at pp. 105–106 and 113–114. As
provided in the tables in our 2011
proposal and 2011 Proposal TSD, the
reductions remaining as commitments
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are 12.9 tpd of NOX and 3.0 tpd of
PM2.5. Id. These reductions represent 4.5
percent and 13.2 percent of the total
NOX and PM2.5 emissions reductions
(respectively) needed for attainment. Id.
In support of our statement that these
percentages (4.5 percent of NOX and
13.2 percent of PM2.5) are ‘‘reasonably
close to the 10 percent range that EPA
has historically accepted in approving
attainment demonstrations,’’ we
referenced several prior EPA approvals
of SIPs relying on similar enforceable
commitments. See 76 FR 41339 at 41355
and n. 30. We also explained our legal
rationale for approving such enforceable
commitments and referenced several
court decisions that support our
interpretation of the CAA. See id. at n.
27 and 28. Based on our evaluations, we
proposed to allow the State to rely on
these limited enforceable commitments
as part of the attainment demonstration
in the 2008 PM2.5 Plan and 2007 State
Strategy. Id. at 41356. Earthjustice does
not explain why these explanations
were not adequate or why reliance on
enforceable commitments consistent
with these court cases is inappropriate.
Comment: Earthjustice comments that
it is not reasonable to approve a ‘‘plan
to make a plan,’’ which is what they
believe the District and CARB have
provided. Earthjustice states that the
District and CARB are asking EPA to
trust them that they will find emissions
reductions needed to meet the standards
by 2015. Earthjustice states that this is
not what the CAA contemplates, citing
section 110(a)(2)(A) of the CAA
(requiring plans to include ‘‘enforceable
emission limitations and other control
measures * * * necessary or
appropriate to meet the applicable
requirements of this Act’’). Earthjustice
states that there is no point in having a
plan which does not specifically
identify how it plans to accomplish the
needed reductions.
Response: We disagree with
Earthjustice’s assertion that the 2008
PM2.5 SIP does not identify how CARB
and the SJVUAPCD plan to accomplish
the reductions needed for attainment of
the 1997 PM2.5 standards in the SJV by
2015. As discussed in our amended
proposal, the 2008 PM2.5 Plan relies
principally on adopted measures
approved into the SIP or given waivers
under CAA section 209 rules to achieve
the emissions reductions needed to
attain the 1997 PM2.5 standards in the
SJV by April 5, 2015, including baseline
(pre-2007) measures that continue to
achieve emissions reductions through
2014. See 76 FR at 41356. The balance
of the needed reductions is currently in
the form of enforceable commitments
that account for 13.2 percent of the
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direct PM2.5 and 4.5 percent of the NOX
emissions reductions needed from 2005
levels to attain. See id. These SIPapproved or CAA-waived control
measures and enforceable commitments
satisfy the requirement in CAA section
110(a)(2)(A) to include ‘‘enforceable
emission limitations and other control
measures, means or techniques * * * as
well as schedules and timetables for
compliance, as may be necessary or
appropriate to meet the applicable
requirements’’ of the CAA. See id. at
41355, n. 27. Although CARB’s and the
District’s enforceable commitments to
achieve additional emissions reductions
are expressed in aggregate tonnages and
not tied to specific measures, both
CARB and the District have provided a
list of potential measures that may
achieve the additional reductions
needed to attain the standards, together
with expeditious rule development,
adoption, and implementation
schedules consistent with EPA’s policy
on acceptable enforceable commitments.
See id. at 41355, 41356. Both CARB and
the District have also made significant
progress to date in meeting their
enforceable commitments. Id.
Comment: AIR notes that one of EPA’s
criteria for evaluating an attainment
demonstration that relies on
commitments is whether the state is
capable of fulfilling the commitment.
AIR argues that CARB is not capable of
fulfilling its commitment given CARB’s
alleged use of ‘‘recession reductions’’
instead of actual measures to meet its
commitment when diesel emissions can
change based on economic forces that
the State cannot control. It also claims
that CARB’s decision to revise its five
in-use rules is evidence that CARB can
and likely will amend rules in the future
that may undermine its commitment.
Response: We disagree with AIR’s
assertion that CARB’s revisions to the
in-use rules or to its projected emissions
levels based on updated economic
forecasts undermine its commitments or
demonstrate that the State is not capable
of fulfilling its commitment. We
discussed above in section II.A our
reasons for concluding that the revisions
to the 2014 baseline emissions
inventories are legitimate.
Contrary to AIR’s assertions, CARB’s
rulemaking record for the revisions to
its in-use rules indicate that the State
intends to ensure that any future
revisions to the rules will not
undermine its SIP commitment. See,
e.g., 2010 Truck Rule ISOR, p. 2 and
2010 Off-Road Rule ISOR, p. 2 (stating
that rule revisions should ‘‘continue
progress toward cleaner air’’ and ‘‘meet
state implementation plan (SIP)
commitments’’). Before revising its in-
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use rules, CARB calculated the
maximum level of relief it could provide
without violating it SIP commitment.
This ‘‘SIP margin’’ was calculated as 40
tpd in NOX equivalent (a weighted
combination of NOX and PM2.5
emissions) in the SJV. See 2010 Truck
Rule ISOR, p. 23 and 2010 Off-Road
Rule ISOR, p. 20. The revisions to the
in-use rules did not decrease their
combined benefits by more this amount.
See 2010 Truck Rule ISOR, p. 51 and
2010 Off-Road Rule ISOR, p. 43. Thus,
CARB’s actions did not reflect any lack
of intention to fully meet its enforceable
commitments to provide emissions
reductions sufficient for timely
attainment.
Comment: Earthjustice also contends
that the second factor for determining
whether to approve an attainment
demonstration that relies on
commitments, whether the state is
capable of meeting its commitment, is
not met because CARB has repeatedly
fallen short of achieving its estimated
emissions reduction from its rules and
has not begun to develop its
Agricultural Equipment Rule which was
to achieve 5 to 10 tons per day of NOX
in the SJV and be adopted by 2009. To
support its argument, it points to the
methodology changes associated with
the Truck Rule and Off-Road Rule and
the ‘‘massive recession reductions’’ that
have resulted in fewer reductions being
needed from these rules. Earthjustice
concludes that it does not believe that
CARB is capable of meeting the
‘‘massive, last-minute commitments’’
relied upon in the Plan given CARB’s
history of avoiding satisfying its
commitments. It also argues that CARB
cannot rely on changes to the inventory
to lessen the reductions from its rules
without reassessing the relationship
between emissions and ambient
concentrations of fine particulates and
that the ‘‘massive recession reductions’’
are neither permanent nor enforceable.
Response: We disagree with
Earthjustice’s assertion that CARB has a
history of not satisfying its
commitments or that the State’s recent
revisions to its future emissions
projections indicate it is not capable of
meeting its commitments. We discussed
above in section II.A. our reasons for
concluding that the revisions to the
2014 baseline emissions inventories are
valid. We also note that Earthjustice has
provided no information or data to
undermine CARB’s revisions to its
future emissions projections based on
its revised economic forecasts and
updated methodologies for estimating
emissions.
In addition, Earthjustice’s assertion
that CARB’s actions with respect to
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regulation of in-use agricultural
equipment indicate it will not meet its
enforceable commitment is
unsupported. CARB recently adopted
changes to its rulemaking schedule to
establish an adoption date of 2013 for
regulation of in-use agricultural
equipment. See 2011 Ozone SIP
Revisions, p. 3. The 2007 State Strategy
indicates that this measure is expected
to achieve 5 to 10 tpd NOX reductions
in 2017, well after the period covered by
the 2008 PM2.5 SIP. See 2009 State
Strategy Status Report, p. 18. CARB did
not quantify emissions reductions for
this measure for 2014. See id. at 16. The
fact that the State revised its adoption
schedule for a measure that is not relied
on for attainment or RFP in the SJV
2008 PM2.5 SIP does not establish that
the State is generally incapable of
meeting its enforceable commitments in
that SIP. As discussed in the 2011
proposal and its TSD and in our
response to comments on the air quality
modeling above in section II.B., EPA has
concluded as a technical matter that the
revisions to the base year inventory are
not significant enough to change the
basic conclusions drawn from the air
quality modeling or to warrant a new air
quality modeling assessment at this
time. See 76 FR 41338, 41349 and 2011
Proposal TSD, section II.B.
Comment: Earthjustice states that
CAA sections 110(a)(2)(A) and 172(c)(6)
require SIPs to contain ‘‘enforceable
limitations * * * as may be necessary
or appropriate’’ to achieve attainment.
Earthjustice further states that, while
section 110(k)(4) allows EPA to grant
‘‘conditional approval’’ of a SIP lacking
certain statutory elements ‘‘based on a
commitment of the state to adopt
specific enforceable measures’’ by a date
certain, the statute provides that the
conditional approval automatically
becomes a disapproval if the state fails
to comply with the commitment within
one year. Earthjustice then claims that
EPA appears to be trying to avoid this
limitation by treating open-ended
promises of the State to reduce
emissions as enforceable commitments
even though the State has never
specified exactly what it commits to do.
Earthjustice states that courts have
rejected similar attempts to circumvent
the statute’s limitations on conditional
approval and cites Sierra Club v. EPA,
356 F.3d 296, 298 (DC Cir. 2004) as
overturning EPA’s conditional approval
of SIPs based in part on the fact that the
commitments identified no specific
measures the state would implement.
Response: As pertinent to the
comment, Sierra Club involved EPA’s
conditional approval under section
110(k)(4) of SIPs lacking in their entirety
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RACM and rate-of-progress (ROP)
demonstrations and contingency
measures based on letters submitted by
states that committed to cure these
deficiencies. The court rejected EPA’s
construction of section 110(k)(4) as
contrary to the unambiguous statutory
language requiring the state to commit
to adopt specific enforceable measures.
Sierra Club at 302. The court found that
EPA’s construction turned the section
110(k)(4) conditional approval into a
means of circumventing SIP deadlines.
Id. at 303.
EPA does not dispute the holding of
Sierra Club. However that case is not
germane to EPA’s approval of CARB’s
and the District’s commitments here
because the Agency is not approving
those commitments under section
110(k)(4). The relevant precedent is
instead BCCA Appeal Group v. EPA,
355 F.3d 817 (5th Cir. 2003). The facts
in BCCA were very similar to those
presented here. In BCCA, EPA approved
an enforceable commitment in the
Houston ozone SIP to adopt and
implement unspecified NOX controls on
a fixed schedule to achieve aggregate
emissions reductions. Petitioners
claimed that EPA lacked authority
under the CAA to approve a SIP
containing an enforceable commitment
to adopt unspecified control measures
in the future. The court disagreed and
found that section 110(k)(4) conditional
approvals do not supplant EPA’s
practice of fully approving enforceable
commitments:
Nothing in the CAA speaks directly to
enforceable commitments. The CAA does,
however, provide EPA with great flexibility
in approving SIPs. A SIP may contain
‘‘enforceable emission limitations and other
control measures, means, or techniques
* * * as well as schedules and timetables for
compliance, as may be necessary or
appropriate’’ to meet the CAA’s requirements
* * *. Thus, according to the plain language
of the statute, SIPs may contain ‘‘means,’’
‘‘techniques’’ and/or ‘‘schedules and
timetables for compliance’’ that the EPA
considers ‘‘appropriate’’ for attainment so
long as they are ‘‘enforceable.’’ See id.
§ 7410(a)(2)(A). ‘‘Schedules and timetables’’
is broadly defined as ‘‘a schedule of required
measures including an enforceable sequence
of actions or operations leading to
compliance with an emission limitation,
prohibition or standard.’’ 42 U.S.C. 7602(p).
The remaining terms are not defined by the
Act. Because the statute is silent on the issue
of whether enforceable commitments are
appropriate means, techniques, or schedules
for attainment, EPA’s interpretation allowing
limited use of an enforceable commitment in
the Houston SIP must be upheld if
reasonable.
BCCA at 839–840. The court upheld
EPA’s approval of the commitment,
finding that ‘‘EPA reasonably concluded
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that an enforceable commitment to
adopt additional control measures on a
fixed schedule was an ‘appropriate’
means, technique, or schedule or
timetable for compliance’’ under
sections 110(a)(2)(A) and 172(c)(6). Id.
at 841. Thus the court recognized that
sections 110(a)(2)(A) and 172(c)(6)
provide a basis for EPA to approve
enforceable commitments as distinct
from the commitments contemplated by
section 110(k)(4), which are not in fact
enforceable but instead lead to SIP
disapproval if not honored. See also
Environmental Defense v. EPA, 369 F.3d
193, 209–210 (2nd Cir. 2004) (similarly
upholding enforceable SIP
commitments). As a result, contrary to
Earthjustice’s contention, section
110(k)(4) is not a bar to EPA’s approval
of CARB’s and the District’s enforceable
commitments and that approval under
section 110(k)(3) is permissible as an
appropriate means, technique or
schedule or timetable for compliance
under sections 110(a)(2)(A) and
172(c)(6).
Comment: Earthjustice states that the
commitments are ‘‘absurd’’ because
CARB may claim credit toward its
aggregate commitments from everything
from new regulations to unenforceable
incentive programs to ‘‘actual decreases
occurring in any air basin for which
emissions reduction commitments have
been made.’’ Earthjustice states this is
arbitrary and that EPA needs to explain
how the commitments offered in the
plan would be enforced, what relief EPA
or the public could demand, and when
a suit could be brought. Earthjustice
states that it does not see how these
open-ended commitments are
practically enforceable in a court of law
and asserts that EPA must lay out a
roadmap that can be followed by courts
in the future to ensure that meaningful
emissions reductions are achieved.
Response: As discussed in our
amended proposal (76 FR at 41355), the
CAA allows approval of enforceable
commitments that are limited in scope
where circumstances warrant the use of
such commitments in place of adopted
control measures. Commitments
approved by EPA under section
110(k)(3) of the CAA are enforceable by
EPA and citizens under, respectively,
sections 113 and 304 of the CAA. In the
past, EPA has approved enforceable
commitments and courts have enforced
these actions against states that failed to
comply with those commitments: See,
e.g., American Lung Ass’n of N.J. v.
Kean, 670 F. Supp. 1285 (D.N.J. 1987),
aff’d, 871 F.2d 319 (3rd Cir. 1989);
NRDC, Inc. v. N.Y. State Dept. of Env.
Cons., 668 F. Supp. 848 (S.D.N.Y. 1987);
Citizens for a Better Env’t v.
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Deukmejian, 731 F. Supp. 1448, recon.
granted in par, 746 F. Supp. 976 (N.D.
Cal. 1990); Coalition for Clean Air v.
South Coast Air Quality Mgt. Dist., No.
CV 97–6916–HLH, (C.D. Cal. Aug. 27,
1999). See 76 FR at 41355, n. 27.
In response to Earthjustice’s
comment, we are clarifying in this final
action that we are not providing SIP
credit for ‘‘actual decreases’’ in air
pollution emissions or ‘‘recessionrelated reductions’’ in approving the
2008 PM2.5 Plan. Rather, we are
approving the 2008 PM2.5 Plan taking
into account CARB’s revisions to the
control strategy based on the revisions
to its projected baseline inventories.
Specifically, as explained in our 2011
proposal, CARB’s aggregate emissions
reduction commitment in the 2008
PM2.5 Plan as submitted in 2008 is to
achieve 76 tpd of NOX reductions and
5 tpd of PM2.5 reductions by 2014. See
76 FR at 41346; CARB Resolution 07–
28, Attachment B at pp. 3–6 and 2009
State Strategy Status Report, p. 21.44
The District’s aggregate emissions
reduction commitment in the Plan as
submitted in 2008 is to achieve 8.97 tpd
of NOX reductions, 6.7 tpd of PM2.5
reductions, and 0.92 tpd of SO2
reductions by 2014. See 76 FR at 41345,
Table 3. More broadly, however, CARB’s
emissions reduction commitment is to
achieve the ‘‘total emissions reductions
necessary to attain Federal standards’’
through ‘‘the implementation of control
measures; the expenditure of local,
State, or federal incentive funds; or
through other enforceable measures.’’
See CARB Resolution 07–28,
Attachment B at pp. 3–6. The updates
and improvements to the inventories as
presented in CARB’s 2011 Progress
Report altered the calculation of the
reductions needed for attainment of the
1997 PM2.5 standards in SJV by reducing
the total reductions needed from control
strategy measures to 9 tpd (for PM2.5),
26.1 tpd (for NOX), and 0.8 tpd (for
SO2). See 76 FR at 41354, Table 7. We
therefore interpret CARB’s emissions
reduction commitment, together with
the adjustments to the 2014 baseline
inventories provided in CARB’s 2011
SIP revision and the District’s
commitments, as adjusting CARB’s total
emission reduction commitment such
that the CARB is now obligated to
achieve 2.3 tpd of PM2.5 reductions and
44 In our proposed rule (76 FR 41338, 41346) we
reference the 2007 State Strategy, p. 63 and CARB
Resolution 07–28, Attachment B. p.6. Note that
page 63 of the 2007 State Strategy was replaced
with information in the 2009 State Strategy Status
Report, pp. 20–21.
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17.1 tpd of NOX reductions 45 by 2014
through enforceable control measures to
provide for attainment of the 1997 PM2.5
NAAQS in SJV. The District’s aggregate
emissions reduction commitment in the
Plan as submitted in 2008 (8.97 tpd of
NOX reductions, 6.7 tpd of PM2.5
reductions, and 0.92 tpd of SO2
reductions by 2014) remains unchanged.
See Table 3 below.
We also note that we do not agree
with CARB’s position that ‘‘actual
decreases occurring in any air basin for
which emissions reduction
commitments have been made’’ or
incentive programs may be counted as
SIP credit toward CARB’s enforceable
commitment, unless the State provides
a demonstration that such emissions
decreases are actually enforceable or
otherwise meet EPA’s requirements for
SIP creditability.
CARB’s commitment is to adopt and
implement measures that will achieve
specific reductions of NOX and PM2.5
emissions and are, as such, specific
strategies designed to achieve the SIP’s
overall objectives. Further, if CARB fails
to meet its commitments, EPA could
make a finding of failure to implement
the SIP under CAA Section 179(a),
which starts an 18-month period for the
State to correct the non-implementation
before mandatory sanctions are
imposed, or alternatively either EPA or
citizens could enforce the commitments
directly against CARB under CAA
section 113 or 304, respectively.
Comment: Earthjustice states that
courts ‘‘may only enforce SIP strategies’’
and that ‘‘[m]ere approval of an
aspirational goal or non-specific
promise into the SIP does not convert
that goal or promise into an enforceable
commitment.’’ In support of these
assertions, Earthjustice cites Bayview
Hunters Point Community Advocates v.
Metropolitan Transp. Comm’n, 366 F.3d
692, 701 (9th Cir. 2004) and Citizens for
a Better Environment v. Metropolitan
Tranp. Comm’n, 746 F. Supp. 976, 980
(N.D.Cal. 1990) [known as CBE II]. In
addition, Earthjustice singles out El
Comite Para El Bienstar de Earlimart v.
Warmerdam, 539 F.3d 1062, 1067 (9th
Cir. 2008), stating that in El Comite the
court explained that because an
inventory in a SIP is not a ‘‘standard or
limitation’’ as defined by the CAA, it
was not an independently enforceable
aspect of the SIP. Thus, Earthjustice
reasons, in order to be enforceable, not
only must a state’s commitment to adopt
additional measures to attain emission
standards be specific and announced in
45 Note that the District has already achieved all
of the SOX reductions necessary to attain. See 76
FR 41338, 41354, Table 8.
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plain language, but any data or rubric
that will be used to determine when and
how the state will adopt those measures
must be enforceable.
Similarly, citing Bayview and El
Comite, AIR characterizes CARB’s and
the District’s commitments to achieve
aggregate emissions reductions by the
attainment year as ‘‘global
commitments’’ that could be interpreted
as ‘‘goals’’ unenforceable by citizens
under Ninth Circuit precedent, rather
than enforceable ‘‘strategies’’ to achieve
those goals. AIR argues that the plans’
global commitments are not enforceable
for two reasons. First, enforcement is
not practical because it is virtually
impossible for citizens or EPA to
determine whether the CARB and the
District have, in fact, met the global
commitments. Second, the manner in
which CARB and the District determine
compliance with the tonnage target is
left to their discretion, and citizens and
EPA would be placed in the situation
held by the plaintiffs in Warmerdam.
AIR adds that even if the
commitments are viewed as ‘‘strategies’’
enforcement is not practical because
when no measures are submitted to EPA
for inclusion into the SIP, citizens have
no idea which measures CARB has used
to satisfy the total tonnage
commitments. AIR also states that there
are no provisions for CARB and the
District to report to EPA and the public
what actions they have taken to comply
with the tonnage commitments. EPA
and citizens are left to determine, based
on information collected by CARB and
the District, whether the commitments
have in fact been met.
Response: Under CAA section
110(a)(2)(A), SIPs must include
enforceable emission limitations and
other control measures, means or
techniques necessary to meet the
requirements of the Act, as well as
timetables for compliance. Similarly,
section 172(c)(6) provides that
nonattainment area SIPs must include
enforceable emission limitations and
such other control measures, means or
techniques ‘‘as may be necessary or
appropriate to provide for attainment’’
of the NAAQS by the applicable
attainment date.
Control measures, including
commitments in SIPs, are enforced
directly by EPA under CAA section 113
and also through CAA section 304(a)
which provides for citizen suits to be
brought against any person who is
alleged ‘‘to be in violation of * * * an
emission standard or limitation* * *.’’
‘‘Emission standard or limitation’’ is
defined in subsection (f) of section 304.
As observed in Conservation Law
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69915
Foundation, Inc. v. James Busey et al.,
79 F.3d 1250, 1258 (1st Cir. 1996):
Courts interpreting citizen suit jurisdiction
have largely focused on whether the
particular standard or requirement plaintiffs
sought to enforce was sufficiently specific.
Thus, interpreting citizen suit jurisdiction as
limited to claims ‘‘for violations of specific
provisions of the act or specific provisions of
an applicable implementation plan,’’ the
Second Circuit held that suits can be brought
to enforce specific measures, strategies, or
commitments designed to ensure compliance
with the NAAQS, but not to enforce the
NAAQS directly. See, e.g., Wilder, 854 F.2d
at 613–14. Courts have repeatedly applied
this test as the linchpin of citizen suit
jurisdiction. See, e.g., Coalition Against
Columbus Ctr. v. City of New York, 967 F.2d
764, 769–71 (2d Cir. 1992); Cate v.
Transcontinental Gas Pipe Line Corp., 904 F.
Supp. 526, 530–32 (W.D. Va. 1995); Citizens
for a Better Env’t v. Deukmejian, 731 F.
Supp. 1448, 1454–59 (N.D. Cal.), modified,
746 F. Supp. 976 (1990).
Thus courts have found that the
citizen suit provision cannot be used to
enforce the aspirational goal of attaining
the NAAQS, but can be used to enforce
specific strategies to achieve that goal,
including enforceable commitments to
develop future emissions controls.
We describe CARB’s and the District’s
commitments in the 2007 State Strategy
(revised in 2009 and 2011) and the 2008
PM2.5 Plan in detail in our amended
proposal. See 76 FR at 41343–41347.
The 2007 State Strategy includes
commitments to propose defined new
measures and an enforceable
commitment for emissions reductions
sufficient, in combination with existing
measures and the District’s
commitments, to attain the PM2.5
NAAQS in the SJV by April 5, 2015. See
CARB Resolution 07–28, Attachment B
at pp. 3–6 and 2009 State Strategy
Status Report, p. 21. For the SJV, the
CARB’s emissions reductions
commitments as submitted in 2008 were
to achieve 76 tpd NOX and 5 tpd of
direct PM2.5 by 2014. Id.
SJVUAPCD’s commitments as
submitted in 2008 were to achieve 9 tpd
NOX and 6.7 tpd direct PM2.5 by 2014.
See 76 FR at 41345–41346, See also
2008 PM2.5 Plan, p. 6–9, Table 6–2. The
language used in the Board’s resolution
adopting the 2008 PM2.5 Plan at page 5
to describe its commitment is
mandatory and unequivocal in nature:
9. The District Governing Board commits to
adopt and implement the rules and measures
in the 2008 PM2.5 Plan by the dates specified
in Chapter 6 to achieve the emissions
reductions shown in Chapter 6, and to submit
these rules and measures to the ARB within
one month of adoption for transmittal to EPA
as a revision to the State Implementation
Plan. If the total emissions reductions from
the adopted rules are less than those
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committed to in the Plan, the District
Governing Board commits to adopt, submit,
and implement substitute rules and measures
that will achieve equivalent reductions in
emissions of direct PM2.5 or PM2.5 precursors
in the same adoption and implementation
timeframes or in the timeframes needed to
meet CAA milestones. (emphasis added).
SJVUAPCD Board Resolution No. 08–
04–10, p. 5.
As discussed above, the 2011 SIP
revisions reduced the reductions needed
from new measures in 2014 to attain to
9 tpd of PM2.5 reductions, 26.1 tpd of
NOX reductions, and 0.8 tpd of SOX. See
76 FR at 41354, Table 7. The District’s
aggregate emissions reduction
commitment in the Plan as submitted in
2008 remains unchanged (8.97 tpd of
NOX reductions, 6.7 tpd of PM2.5
reductions, and 0.92 tpd of SO2
reductions by 2014). Thus, CARB
remains obligated to achieve through
the adoption of enforceable measures by
2014, 2.3 tpd of PM2.5 and 17.1 tpd of
NOX. The District’s commitments
remain as submitted in 2008 at 9 tpd
NOX, 6.7 tpd direct PM2.5 and 0.9 tpd
SOX by 2014. See Table 3 below.
Thus, CARB’s and the District’s
commitments here are to adopt and
implement measures that will achieve
specific amounts of NOX and direct
PM2.5 emissions reductions by 2014.
These are not mere aspirational goals to
ultimately achieve the standards or
emissions inventories as mentioned by
Earthjustice. Rather, the State and
District have committed to adopt
enforceable measures no later than 2014
that will achieve these specific amounts
of emissions reductions prior to the
attainment date of April 5, 2015. All of
these control measures are subject to
State and local rulemaking procedures
and public participation requirements,
through which EPA and the public may
track the State/District’s progress in
achieving the requisite emissions
reductions. EPA and citizens may
enforce these commitments under CAA
sections 113 and 304(a), respectively,
should the State/District fail to adopt
measures that achieve the requisite
amounts of emissions reductions by the
beginning of 2014. See 40 CFR
51.1007(b) (requiring implementation of
all control measures needed for
expeditious attainment no later than the
beginning of the year prior to the
attainment date). We conclude that
these enforceable commitments to adopt
and implement additional control
measures to achieve aggregate emissions
reductions on a fixed schedule are
appropriate means, techniques, or
schedules for compliance under
sections 110(a)(2)(A) and 172(c)(6) of
the Act.
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Both Earthjustice and AIR cite
Bayview as support for their contention
that the plan’s commitments are
unenforceable aspirational goals.
Bayview does not, however, provide any
such support. That case involved a
provision of the 1982 Bay Area 1-hour
ozone SIP, known as TCM 2, which
states in pertinent part:
Support post-1983 improvements
identified in transit operator’s 5-year plans,
after consultation with the operators adopt
ridership increase target for 1983–1987.
Emission Reduction Estimates: These
emission reduction estimates are predicated
on a 15% ridership increase. The actual
target would be determined after consultation
with the transit operators.
Following a table listing these estimates,
TCM 2 provided that ‘‘[r]idership increases
would come from productivity improvements
* * *.’’
Ultimately the 15 percent ridership
estimate was adopted by the
Metropolitan Transportation
Commission (MTC), the implementing
agency, as the actual target. Plaintiffs
subsequently attempted to enforce the
15 percent ridership increase. The court
found that the 15 percent ridership
increase was an unenforceable estimate
or goal. In reaching that conclusion, the
court considered multiple factors,
including the plain language of TCM 2
(e.g., ‘‘[a]greeing to establish a ridership
‘target’ is simply not the same as
promising to attain that target,’’ Bayview
at 698); the logic of TCM 2, i.e., the
drafters of TCM 2 were careful not to
characterize any given increase as an
obligation because the TCM was
contingent on a number of factors
beyond MTC’s control, id. at 699; and
the fact that TCM 2 was an extension of
TCM 1 that had as an enforceable
strategy the improvement of transit
services, specifically through
productivity improvements in transit
operators’ five-year plans, id. at 701. As
a result of all of these factors, the Ninth
Circuit found that TCM 2 clearly
designated the productivity
improvements as the only enforceable
strategy. Id. at 703.
The commitments in the 2007 State
Strategy (revised in 2009 and 2011) and
2008 PM2.5 Plan are in stark contrast to
the ridership target that was deemed
unenforceable in Bayview. The language
in CARB’s and the District’s
commitments, as stated multiple times
in multiple documents, is specific; the
intent of the commitments is clear; and
the strategy of adopting measures to
achieve the required reductions is
completely within CARB’s and the
District’s control. Furthermore, as stated
previously, CARB and the District
identify specific emissions reductions
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that they will achieve, how they will be
achieved and the time by which these
reductions could be achieved, i.e., by
2014.
Earthjustice also cites CBE II at 980 for
the proposition that courts can only
enforce ‘‘express’’ or ‘‘specific’’
strategies. However, as discussed below,
there is nothing in the CBE cases that
supports the commenter’s view that the
CARB and District commitments are
neither express nor specific. In fact,
these cases support our interpretation of
CARB’s and the District’s commitments.
Citizens for a Better Environment v.
Deukmejian, 731 F.Supp.1448 (N.D. Cal.
1990), known as CBE I, concerned in
part contingency measures for the
transportation sector in the 1982 Bay
Area 1-hour ozone SIP. The provision
states: ‘‘If a determination is made that
RFP is not being met for the
transportation sector, MTC will adopt
additional TCMs within 6 months of the
determination. These TCMs will be
designed to bring the region back within
the RFP line.’’ The court found that
‘‘[o]n its face, this language is both
specific and mandatory.’’ Id. at 1458. In
CBE I, CARB and MTC argued that TCM
2 could not constitute an enforceable
strategy because the provision fails to
specify exactly what TCMs must be
adopted. The court rejected this
argument, finding that ‘‘[w]e discern no
principled basis, consistent with the
Clean Air Act, for disregarding this
unequivocal commitment simply
because the particulars of the
contingency measures are not provided.
Thus we hold that the basic
commitment to adopt and implement
additional measures, should the
identified conditions occur, constitutes
a specific strategy, fully enforceable in
a citizens action, although the exact
contours of those measures are not
spelled out.’’ Id. at 1457.46 In
concluding that the transportation and
stationary source contingency
provisions were enforceable, the court
stated: ‘‘Thus, while this Court is not
empowered to enforce the Plan’s overall
objectives [footnote omitted; attainment
of the NAAQS]—or NAAQS—directly, it
can and indeed, must, enforce specific
strategies committed to in the Plan.’’ Id.
at 1454.
Earthjustice’s reliance on CBE II is
misplaced. It also involves in part the
46 In this passage, the court was referring
specifically to the stationary source contingency
measures in the Bay Area plan which contained a
commitment to adopt such measures if emissions
targets were not met. The Plan identified a number
of potential stationary sources but did not commit
to any particular one. In discussing the
transportation contingency measures, the court
applied this same reasoning. Id. at 1456–1457.
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contingency measures in the 1982 Bay
Area Plan. In CBE II, defendants argued
that RFP and the NAAQS are coincident
because, had the plan’s projections been
accurate, then achieving RFP would
have resulted in attainment of the
NAAQS. The court rejected this
argument, stating that:
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the Court would be enforcing the
contingency plan, an express strategy for
attaining NAAQS. Although enforcement of
this strategy might possibly result in
attainment, it is distinct from simply
ordering that NAAQS be achieved without
anchoring that order on any specified
strategy. Plainly, the fact that a specified
strategy might be successful and lead to
attainment does not render that strategy
unenforceable.
(Emphasis in original). CBE II at 980.
CARB’s and the District’s
commitments here are analogous to the
terms of the contingency measures in
the CBE cases. CARB and the District
commit to adopt measures, which are
not specifically identified, to achieve a
specific tonnage of emissions
reductions. Thus, the commitment to a
specific tonnage reduction is
comparable to a commitment to achieve
RFP. Similarly, a commitment to
achieve a specific amount of emissions
reductions through adoption and
implementation of unidentified
measures is comparable to the
commitments to adopt unspecified
TCMs and stationary source measures.
The key is that commitment must be
clear in terms of what is required, e.g.,
a specified amount of emissions
reductions or the achievement of a
specified amount of progress (i.e., RFP).
ARB’s and the District’s commitments
are thus clearly a specific enforceable
strategy rather than an unenforceable
aspirational goal.
Earthjustice’s reliance on El Comite is
also misplaced. The plaintiffs in the
district court attempted to enforce a
provision of the 1994 California 1-hour
ozone SIP known as the Pesticide
Element. The Pesticide Element relied
on an inventory of pesticide VOC
emissions to provide the basis to
determine whether additional regulatory
measures would be needed to meet the
SIP’s pesticides emissions target. To this
end, the Pesticide Element provided
that ‘‘ARB will develop a baseline
inventory of estimated 1990 pesticidal
VOC emissions based on 1991 pesticide
use data * * *.’’ El Comite Para El
Bienestar de Earlimart v. Helliker, 416
F. Supp. 2d 912, 925 (E.D. Cal. 2006).
CARB subsequently employed a
different methodology that it deemed
more accurate to calculate the baseline
inventory. The plaintiffs sought to
enforce the commitment to use the
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original methodology, claiming that the
calculation of the baseline inventory
constitutes an ‘‘emission standard or
limitation.’’ The district court disagreed:
By its own terms, the baseline identifies
emission sources and then quantifies the
amount of emissions attributed to those
sources. As defendants argue, once the
sources of air pollution are identified, control
strategies can then be formulated to control
emissions entering the air from those sources.
From all the above, I must conclude that the
baseline is not an emission ‘‘standard’’ or
‘‘limitation’’ within the meaning of 42 U.S.C.
7604 (f)(1)–(4).
Id. at 928. In its opinion, the court
distinguished Bayview and CBE I,
pointing out that in those cases ‘‘the
measures at issue were designed to
reduce emissions.’’ Id.
On appeal, the plaintiffs shifted their
argument to claim that the baseline
inventory and the calculation
methodology were necessary elements
of the overall enforceable commitment
to reduce emissions in nonattainment
areas. The Ninth Circuit agreed with the
district court’s conclusion that the
baseline inventory was not an emission
standard or limitation and rejected
plaintiffs’ arguments attempting ‘‘to
transform the baseline inventory into an
enforceable emission standard or
limitation by bootstrapping it to the
commitment to decide to adopt
regulations, if necessary.’’ Id. at 1073.
While Earthjustice cites the Ninth
Circuit’s El Comite opinion, its utility in
analyzing the CARB and District
commitments here is limited to that
court’s agreement with the district
court’s conclusion that neither the
baseline nor the methodology qualifies
as an independently enforceable aspect
of the SIP. Rather, it is the district
court’s opinion, in distinguishing the
commitments in CBE and Bayview, that
provides insight into the situation at
issue in our action. As the court
recognized, a baseline inventory or the
methodology used to calculate it, is not
a measure to reduce emissions. It
instead ‘‘identifies emissions sources
and then quantifies the amount of
emissions attributed to those sources.’’
In contrast, as stated previously, in the
2007 State Strategy (revised 2009 and
2011) and SJV 2007 PM2.5 Plan, ARB
and the District commits to adopt and
implement measures sufficient to
achieve specified emissions reductions
by a date certain. As described above, a
number of courts have found
commitments substantially similar to
ARB’s here to be enforceable under CAA
section 304(a).
Comment: Earthjustice comments that
before EPA can approve the
commitments in the PM2.5 plan it must
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explain how the promise to reduce
emissions by some amount is a
‘‘standard or limitation’’ enforceable
under section 113 or 304 of the Act.
Moreover, citing CAA section
110(a)(2)(A), Earthjustice asserts that
EPA must explain how enforcement of
these commitments, which arguably
could not even be considered until after
the attainment deadline has come and
gone, is adequate to assure the
requirements of the Act (including
timely attainment) are met. Earthjustice
contends that the strategy of relying on
these open-ended commitments is a
recipe for failure and is not a reasonable
substitute for the detailed, enforceable
plan envisioned and required by the
Act.
Response: We disagree. As discussed
above, EPA believes that CARB’s and
the District’s commitments to adopt and
implement control measures to achieve
the specified aggregate tonnage by 2014
are enforceable as an emission standard
or limitation under CAA section 304.
The fact that the State may meet its SIP
obligation by adopting measures that are
not specifically identified in the SIP, or
through one of several available
techniques, does not render the
requirement to achieve the aggregate
emissions reductions unenforceable.
State and local control measures are
subject to rulemaking procedures and
public participation requirements,
through which EPA and the public may
track the State/District’s progress in
achieving the requisite emissions
reductions in the years leading up to
2014 and before the attainment date of
April 5, 2015. Should the State/District
fail to adopt measures that achieve the
requisite amounts of emissions
reductions by the beginning of 2014 (see
40 CFR 51.1007(b)), EPA and citizens
may enforce these commitments under
CAA sections 113 and 304(a),
respectively.
F. Comments on the Proposed Action on
the Attainment Demonstration and
Attainment Date Extension
Comment: Earthjustice comments that
EPA cannot grant an extension of the
attainment date to April 5, 2015 because
the flaws Earthjustice alleges are in the
2008 PM2.5 Plan’s attainment modeling
and RACM/RACT analysis meant that
the demonstration required to grant a
5-year extension have not been met.
Earthjustice asserts that the alleged
flaws include the exemptions for
significant sources of emissions from
the charbroiling, glass melting and open
burning rules; the delay in the
implementation of certain control
requirements (glass melting and
agricultural equipment), and the
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exclusion of controls for VOC and
condensable PM2.5 emissions in the Plan
Response: We have evaluated
Earthjustice’s comments on the RACM/
RACT analysis, VOC as an attainment
plan precursor, and condensable
particulate and have determined that
none change our conclusion that the SJV
2008 PM2.5 Plan provides for RACM as
required by CAA section 172(c)(1).
Under the PM2.5 implementation rule,
states that request an extension of the
attainment date under CAA section
172(a)(2) must provide sufficient
information to show that attainment by
April 5, 2010 is impracticable due to the
severity of the nonattainment problem
in the area and the lack of available and
feasible control measures to provide for
faster attainment. 40 CFR 51.1004(b).
States must also demonstrate that all
RACM and RACT for the area are being
implemented to bring about attainment
of the standard by the most expeditious
alternative date practicable for the area.
72 FR 20586 at 20601. As discussed in
our 2011 proposal, we believe that
California has met the relevant tests for
granting an extension of the attainment
date under CAA section 172(a)(2). See
76 FR 41388, 41341.
Comment: Earthjustice comments that
EPA should not approve the attainment
demonstration, because of its ‘‘heavy’’
reliance on State commitments to adopt
last-minute control measures and
because the emissions reductions and
the attainment targets are not valid
given the problems in the inventory and
the modeling analysis. Furthermore, the
defective modeling results in inaccurate
attainment target levels.
Response: The SJV 2008 PM2.5 SIP
does not rely heavily on State
commitment to ‘‘adopt last-minute
controls.’’ As noted previously, the bulk
of the emissions reductions needed for
attainment are from measures adopted
prior to 2007. 76 FR 41338, 41354.
Moreover, one of EPA’s criteria for
approving attainment demonstrations
that rely on commitments is that the
commitments represent a limited
portion of the reductions needed for
attainment. As we have shown, CARB’s
and the District’s remaining
commitments account for only 4.5
percent (12.9 tpd) of the NOX and 13.2
percent (3.0 tpd) of the PM2.5 reductions
needed for attainment. Id. In
comparison, already achieved
reductions are 271 tpd of NOX and 19.7
tpd of PM2.5. See 76 FR 41338, 41354
(Table 8) (numbers are the sum of lines
B and C). Finally, we have determined
that the SJV PM2.5 Plan provides for a
generally linear reduction in emissions
demonstrating reasonable further
progress as required by CAA 172(c)(2).
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G. Comments on the Proposed Actions
on the Reasonable Further Progress
Demonstration
Comment: Earthjustice comments that
EPA should disapprove the RFP
demonstration because it fails to address
VOC and to show generally linear
progress in reducing emissions. It also
argues that because of the alleged
defects in the inventory and the alleged
failure of the modeling analysis to
identify the target level of emissions
reductions, it is impossible to assess
progress. It further argues that the RFP
demonstration must also be updated to
reflect corrections to the inventory.
Response: For the reasons discussed
in the 2011 proposal and response to
comments on the precursor issue above,
EPA has found that insufficient data
exist to reverse the presumption in the
PM2.5 implementation rule that VOC is
not a PM2.5 attainment plan precursor
for attainment of the 1997 PM2.5
standards in the SJV. See 76 FR 41350
and 2011 Proposal TSD, p. 50. Because
VOC is not considered an attainment
plan precursor, it need not be addressed
in the RFP demonstration. See 40 CFR
51. 1009(c).
For the reasons discussed in the 2011
proposal and response to comments on
the air quality modeling above in
section II.B., EPA has found that the air
quality modeling in the SJV 2007 PM2.5
SIP is adequate to support the
attainment demonstration and thus to
establish the target level of emissions.
See 76 FR 41338, 41348 and 2011
Proposal TSD, section II.B. As discussed
in the 2011 proposal, EPA evaluated the
effect of the changes in the base year
inventory on the RFP demonstration
and determined that it did not revise
our conclusion that the Plan provided
for RFP. See 76 FR 41338, 41357 (ftn.
32) and 2011 Proposal TSD, p. 122.
H. Comments on the Proposed Actions
on the Contingency Measures
Comment: Earthjustice states that
EPA’s analysis of the contingency
measures in the 2008 Plan is generally
sound. Earthjustice, however, contends
that our analysis relies on an RFP
analysis that in turn relies on invalid
NOX to PM2.5 interpollutant equivalency
ratios. It further argues that because
these ratios are invalid, the assessment
of the excess reductions in the RFP
demonstration is also invalid and the
shortfall targets must be recalculated
using valid methods and results.
Response: EPA’s calculation of the
excess reductions in the RFP
demonstration is done on a per
pollutant basis and does not assume any
interpollutant trading. See 76 FR 41339,
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41359 (Table 10) and 2011 Proposal
TSD, p. 130. In the 2011 Progress
Report, CARB states that these
reductions are equal to at least oneyear’s worth of RFP when considered on
a PM2.5 equivalency basis (see 2011
Progress Report, p. 2); however, to make
this statement, the State relies in part on
an interpollutant trading ratio of 1 ton
of SOX reductions to 1 ton of PM2.5
reductions. As discussed in section
II.B.4. of the 2011 Proposal TSD, EPA
found that there was insufficient
technical support for this ratio and EPA
did not allow its use in the RFP
demonstration or for any other purpose.
Id. at 42358 and p. 129.
Comment: In its comments on the
2010 proposal, Earthjustice notes that
the District proposes to rely on
emissions reductions achieved by the
ozone nonattainment fee and other
incentive programs. It argues that the
District does not have criteria for how
these monies will be spent and does not
provide a mechanism for ensuring that
any claimed emissions reductions are
enforceable and that any future reliance
on funding programs to reduce
emissions must demonstrate that the
emissions reductions meet statutory
creditability requirements including an
explanation of how these agreements
between the District and the subsidized
source can be enforced by EPA or the
public.
Response: We are not approving
reductions from the District’s incentive
grant programs as part of the 2008 PM2.5
SIP’s contingency measures provisions;
therefore, comments related to them are
not germane to this action. In both its
2010 and 2011 proposals EPA proposed
to disapprove the Plan’s contingency
measures provisions and is
disapproving those provisions in today’s
action. See 75 FR 74518, 74539 and 76
FR 41338, 41358. Those provisions
include the District’s ozone
nonattainment fee program and other
incentive programs as potential
contingency measures.
In both proposals, we noted that
while neither the CAA nor EPA policy
bar the use of emissions reductions from
incentive programs to meet all or part of
an area’s contingency measure
obligation, the incentive programs must
assure that the reductions are surplus,
quantifiable, enforceable, and
permanent in accordance with EPA’s
guidance. See ‘‘Improving Air Quality
with Economic Incentive Programs,’’
EPA–452/R–01–001 (January 2001). We
also noted that the 2008 PM2.5 Plan does
not identify the incentive grant
programs expected to generate the
emissions reductions. The Plan also
does not identify the quantity of these
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emissions reductions that the District
intended to use to meet the contingency
measure requirement. Therefore, we are
unable to determine if they are SIP
creditable or sufficient to provide in
combination with other measures the
roughly one-year’s worth of RFP
needed. For these reasons, we
determined that programs did not
currently meet the CAA requirements
for contingency measures. See 75 FR
74518, 74538 and 76 FR 41338, 41358.
Comment: While AIR agrees with
EPA’s proposed disapproval of the
contingency measures, it argues against
the use of waiver measures and on-road
fleet turnover as contingency measures
because waiver measures are not in the
SIP and there are no control measures
that require fleet turnover. It further
argues that reductions from fleet
turnover are derived from assumptions
based on voluntary future activity that
fail to meet the Act’s requirements for
enforceable measures. Finally, it asserts
that EPA has made no finding that such
fleet turnover reductions have actually
occurred.
Response: As discussed previously,
we believe that reductions from CAA
209 waiver measures can be used to
meet CAA requirements including the
contingency measure requirement even
though they are not in the SIP.
The measures relied on in part for
contingency measure emissions
reductions are the State and federal onand off-road new engines standards.
Fleet turnover is the mechanism by
which these new engine standards are
implemented, and it is how these
standards actually result in emissions
reductions in an area. CARB calculates
reductions from its mobile sources,
including base year and future projected
year, using its EMFAC2007 and
OFFROAD models. These models
included assumptions regarding fleet
turnover based on historical records.47
Recent updates to the truck, bus, and
offroad equipment inventories included
review and adjustments of fleet turnover
rates which are also based on available
records. See 2010 Truck Rule ISOR,
section F.
Comment: SJVUACPD commented
that EPA’s current requirement that
contingency measures provide for oneyear’s worth of emissions reductions is
not practical for areas like the SJV and
that EPA should work towards realistic
and specific solutions for future
implementation rules. It also stated that
47 See
CARB, ‘‘Public Meeting to Consider
Approval of Revisions to the State’s On-Road Motor
Vehicle Emissions Inventory, Technical Support
Document,’’ May 2000, section 7.3 ‘‘Retention
Rates’’ which can be found at https://
www.arb.ca.gov/msei/onroad/doctable_test.htm.
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it would continue to work with EPA to
incorporate reductions from the
District’s incentive programs into the
SIP so that they may be used satisfy the
contingency measures requirement.
Response: EPA recognizes the
difficulty of identifying contingency
measures and appreciates the District’s
concerns. We will continue to work
with the District to identify potential
contingency measures including
incentive programs that produce
reductions that are surplus, quantifiable,
enforceable, and permanent in
accordance with EPA guidance.
I. Comments on the Proposed Actions
on the Motor Vehicle Emissions Budgets
and Trading Mechanism
Comment: Earthjustice comments that
EPA cannot approve the revised motor
vehicle emissions budgets because they
are derived from attainment and RFP
demonstrations that Earthjustice asserts
are not approvable because they are
based on invalid modeling. It also
claims the issues with the modeling also
affect the conformity analysis because it
depends on interpollutant equivalency
ratio between NOX and PM2.5 that is
derived from the modeling. Earthjustice
notes that CARB derived this ratio by
conducting a sensitivity analysis with
the model which according to
Earthjustice, EPA acknowledged was
not a legitimate basis for determining
interpollutant equivalency ratios, citing
the 2011 Proposal TSD at p. 47.
Earthjustice further claims that these
‘‘defective ratios’’ were used to
demonstrate RFP and conformity.
Response: We agree that EPA would
not be able to approve budgets that are
derived from unapprovable or
disapproved attainment or RFP
demonstrations. However, we are
approving these demonstrations in the
SJV 2008 PM2.5 Plan and, because they
are derived from those demonstrations
and otherwise meet all applicable
requirements for transportation
conformity budgets, EPA’s is also
approving the budgets. For the reasons
discussed above in our response to
comments on the air quality modeling,
we do not agree with Earthjustice that
the modeling is invalid.
CARB included a trading mechanism
to be used in transportation conformity
analyses that use the proposed budgets
as allowed for under 40 CFR 93.124.
This trading mechanism allows future
decreases in NOX emissions from onroad mobile sources to offset any onroad increases in PM2.5, using a NOX:
PM2.5 ratio of 9:1. As proposed by CARB
and proposed for approval by EPA, the
trading mechanism would only be used,
if needed, for conformity analyses for
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69919
years after 2014. Also, to ensure that the
trading mechanism does not impact the
ability of the SJV to meet the NOX
budget, the NOX emissions reductions
available to supplement the PM2.5
budget would only be those remaining
after the 2014 NOX budget has been met.
See 2011 Progress Report, Appendix D,
p. 2 and 76 FR 41338, 41361. We found
that the method CARB used to derive
the 9:1 NOX to PM2.5 ratio, which was
based on the SIP’s photochemical
modeling, is adequate for purposes of
assessing the effect of area-wide
emissions changes, such as are used in
RFP, contingency measures, and
conformity budgets. See 76 FR 41338,
41349 and 2011 Proposal TSD, p. 46.
EPA did find that the method used by
CARB and the District (a modified
rollback approach) to derive the 1:1 SOX
to PM2.5 is inadequate for determining
interpollutant equivalency ratios and
stated that this issue would be better
explored with a photochemical model.
See 76 FR 41338, 41349 and 2011
Proposal TSD, p. 47. It is this latter
discussion that Earthjustice incorrectly
cites as its basis for claiming that EPA
rejected the interpollutant trading ratio
used in establishing the trading
mechanism for transportation
conformity analyses. The 2008 PM2.5 SIP
does not establish motor vehicle
emissions budgets for SO2 and therefore
does not establish an SO2: PM2.5 trading
mechanism for transportation
conformity purposes.
Comment: Earthjustice claims that a
transportation agency cannot rely on
budgets derived from what it considers
to be the unapprovable SJV 2008 PM2.5
SIP without violating CAA section
176(c)(1) because they would not be
able to assure that their actions would
not interfere with timely attainment or
reasonable further progress.
Response: As documented in the TSD
and our 2011 proposed rule, EPA has
found that the SJV 2008 PM2.5 SIP
demonstrates reasonable further
progress and expeditious attainment of
the 1997 PM2.5 standards consistent
with the requirements of the CAA and
EPA’s implementing regulations. We
have also concluded that the budgets in
this SIP are consistent with these
demonstrations and are both adequate
and approvable. Therefore, the SJV
MPOs must use these budgets in their
transportation conformity
determinations.
J. Comments on Other Topics Not
Covered Previously
Comment: AIR claims that EPA fails
to list the 2009 State Strategy Status
Report (pages 11–23) among the
documents which it proposes to include
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as part of the SIP, citing 76 FR 41338,
41361, and that this is an error given
CARB’s intent in the 2009 State Strategy
Status Report (citing p. 11). AIR requests
that EPA clarify its intent to approve a
CARB commitment for staff to propose
a rule to regulate in-use mobile
agricultural equipment. AIR notes that
this commitment was part of the 2007
State Strategy (citing CARB Resolution
07–28, Attachment B, p. 7), included in
the 2009 State Strategy Status Report,
and was a component of EPA’s previous
proposed approval of the 2007 State
Strategy (citing 75 FR 74518, 74541
(November 30, 2011)), but is not
included in the updated rulemaking
schedule in 2011 Progress Report.
Response: EPA lists the 2009 State
Strategy Status Report as one of five
submittals that comprise the 2007 PM2.5
SIP for the SJV. See 76 FR 41338, 41340.
We also state in section VI. (EPA’s
proposed Actions and Potential
Consequences) that we were proposing
to approve the SJV portions of CARB’s
2007 State Strategy as revised in 2009
and 2011 addressing CAA and EPA
regulations for attainment of the 1997
PM2.5 NAAQS in the SJV. We
specifically proposed to approve
CARB’s commitments to propose certain
defined measures as listed in Table B–
1 on page 1 of Appendix B of the 2011
Progress Report submittal based on
CARB’s own characterization of that
submittal as its updates to its
rulemaking schedule for the PM2.5
measures in the 2007 State Strategy. See
2011 Progress Report, p. 8, Table 1.
On June 20, 2011 CARB provided
public notice of proposed revisions to
the ozone portions of the 2007 State
Strategy including revisions to the
rulemaking schedule for in-use
agricultural equipment. See CARB,
Notice of Public Hearing to Consider a
Status Report on the State Strategy for
California’s 2007 State Implementation
Plan and Consider Approval of
Proposed Revisions for the 8-Hour
Ozone and Minor Technical Revisions
to the PM2.5 SIP Transportation
Conformity Budgets,’’ June 20, 2011. As
stated in the proposed revisions, CARB
does not consider the in-use agricultural
measures to be part of its PM2.5 control
strategy and therefore did not include
updates to the schedule for that measure
in its PM2.5 SIP revision.48 2011 Ozone
SIP Revisions, p. 3. These revisions
were adopted by the Board on July 21,
2011, submitted to EPA on July 29, 2011
and proposed for approval by EPA on
September 16, 2011 at 76 FR 57846.
This proposed approval includes the
revised schedule for the in-use
agricultural equipment measure. See 76
FR at 57846, 57853.49
Comment: AIR requests clarification
from EPA on whether the omission of
the proposed commitment in the 2011
Progress Report is an administrative
error, or whether CARB intentionally
removed that commitment from the
2007 State Strategy. AIR notes that
based on CARB’s Web site, it appears
that the omission was in error, because
CARB continues to represent to the
public that it is working on the in-use
agricultural equipment rule. AIR asserts
that to the extent that CARB
intentionally removed the commitment,
such action violates 40 CFR 51.102
because CARB did not provide adequate
notice to the public of this fundamental
change to CARB’s strategy and that the
public should not be expected to search
through ‘‘voluminous SIP-related
material, searching out stealth
amendments by omission.’’
Response: As required by 40 CFR
51.102, CARB posted the draft 2011
Progress Report including the proposed
revisions to the rulemaking schedule in
the 2007 State Strategy 30 days prior to
the public hearing and requested public
comments. See CARB, Notice of Public
Hearing to Consider the Approval of a
Progress Report and Proposed State
Implementation Plan Revisions for
PM2.5, March 29, 2011. Questions and
comments on the State’s proposed
revisions to its rulemaking schedule,
including changes to the in-use
agricultural equipment measure, should
be directed to CARB during the State’s
public comment periods or at the public
hearings.
Comment: AIR comments that the
2008 PM2.5 Plan and the 2007 State
Strategy fail to demonstrate a
monitoring program for CARB mobile
source measures and the pesticide
regulation, stating EPA regulations
specifically require each plan to make
this demonstration, citing 40 CFR
51.111. It provides as an example,
CARB’s anti-idling rules.
Response: EPA’s regulation at 40 CFR
51.111 requires each plan include a
description of enforcement methods
including, but not limited to,
procedures for monitoring compliance
with each of the selected control
measures and procedures for handling
violations. These requirements apply to
the control measures that are in the SIP.
48 As discussed previously, CARB provided
emissions reductions estimates for the in-use
agricultural equipment measure only for 2017,
which is three years after the 2014 attainment year
for PM2.5.
49 AIR notes that Table F–8 in EPA’s 2011
Proposal TSD lists the agricultural equipment rule
as a defined measure in the 2011 Progress Report.
This was an error and has been corrected in the
final TSD.
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For the reasons discussed previously,
we do not believe that California’s
mobile source measures that receive
waivers under CAA section 209 need to
be submitted for inclusion into the SIP;
therefore, California need not include a
description of the enforcement and or
monitoring program for these measures
in its SIP.50 As noted previously,
CARB’s anti-idling regulations are
pending a section 209 waiver decision.
Should any of these provisions need to
be submitted for SIP approval, we will
evaluate their monitoring procedures at
the time we take action to incorporate
them into the SIP. As we have also
noted previously, the pesticide
regulation is not part of the 2008 PM2.5
SIP’s control strategy; therefore, the lack
of any monitoring procedures is not
material to our approval of this SIP.
As a practical matter, to be effective,
monitoring procedures (which includes
monitoring and recordkeeping
requirements and testing procedures)
must be tailored to the specific emission
limitation for which they are to be used.
For example, the procedures for
monitoring NOX emissions from utility
boilers are very different from the
procedures for monitoring the VOC
content of paints. Compare, for example,
Rule 4601 (Boilers > 5 million BTU per
hour), sections 5.4 ‘‘Monitoring
Requirements’’ and 6.0 ‘‘Administrative
Requirements’’ requiring continuous
emissions monitoring and annual source
testing using specific test procedures to
Rule 4601 (Architectural Coatings),
section 6.0 ‘‘Administrative
Requirements’’ specifying label
requirements, requiring maintenance of
annual sales records, and specifying test
methods for determining the VOC
content of coatings. Because of the need
to tailor monitoring procedures to the
emission limit, EPA evaluates a
prohibitory rule’s monitoring,
recordkeeping, and testing procedures at
the time it reviews the rule for
incorporation into the SIP. We note that
we are not approving any rules or
regulations as part of this specific action
on the SJV 2008 PM2.5 SIP.
III. Approval Status of the Control
Strategy Measures and Final Actions on
the Attainment Demonstration and
Enforceable Commitments
A. Approval Status of Control Strategy
Measures
As part of its control strategy for
attaining the PM2.5 standards in the SJV,
the District made specific commitments
50 For a description of CARB’s source monitoring
and enforcement programs including its procedures
for handling violations, See https://www.arb.ca.gov/
enf/enf.htm.
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to adopt thirteen measures on the
schedule identified in the Plan. See
2008 PM2.5 Plan, Table 6–2 (revised June
17, 2010). The District has now
completed its actions on all measures
except for revisions to Rule 4905
(Natural Gas-Fired, Fan Type
Residential Central Furnaces) which is
not scheduled for adoption until 2014.
See Table 1 below. As Table 1 shows,
69921
EPA has approved all of the adopted
rules with the exception of three, none
of which is credited with emissions
reductions in the demonstrations.
TABLE 1—SAN JOAQUIN VALLEY AIR POLLUTION CONTROL DISTRICT 2008 PM2.5 PLAN SPECIFIC RULE COMMITMENTS
Adoption date
4103—Open Burning ........................................................
4320—Advanced Emissions Reductions for Boilers,
Steam Generators and Process Heaters (> 5 MMBtu/
hr).
4307—Boilers, Steam Generators and Process Heaters
(2 to 5 MMBtu/hr).
4308—Boilers, Steam Generators and Process Heaters
(0.075 to < 2 MM Btu/hr).
4703—Stationary Gas Turbines .......................................
April 2010 ...........................
October 2008 .....................
Final approval signed: September 30, 2011.
Approved.
75 FR 1715 (January 13, 2010).
October 2008 .....................
4702—Reciprocating Internal Combustion Engines .........
4354—Glass Melting Furnaces ........................................
August 2011 .......................
October 2008 .....................
4902—Residential Water Heaters ....................................
March 2009 ........................
4905—Natural Gas-Fired, Fan Type Residential Central
Furnaces.
4901—Wood Burning Fireplaces and Wood Burning
Heaters.
4692—Commercial Charbroiling .......................................
4311—Flares ....................................................................
9410—Employer Based Trip Reduction Program ............
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District rule
Adoption scheduled for
2014.
October 2008 .....................
Approved.
76 FR 5276 (January 31, 2011).
Approved.
76 FR 16696 (March 25, 2011).
Approved.
74 FR 53888 (October 21, 2009).
Submittal pending.
Approved.
76 FR 37044 (June 24, 2011).
Approved.
75 FR 24408 (May 5, 2010).
Most current revision of rule approved: October 20,
2005 at 72 FR 29886 (May 30, 2007).
Approved.
74 FR 57907 (November 10, 2009).
Final approval signed: September 30, 2011.
Proposed for approval 76 FR 52623 August 23, 2011).
Action pending. Emissions reductions from this rule revision are not currently included in the attainment or
RFP demonstration.
As part of its control strategy for
attaining the PM2.5 standards in the SJV,
CARB committed to propose certain
measures on the schedule identified in
the 2007 State Strategy. These
commitments, which were updated in
the 2011 Progress Report, and their
current approval status are shown in
Table 2. Of the measures listed in the
2007 State Strategy’s updated
rulemaking schedule, we note that only
reductions from the ‘‘SmogCheck
Improvement,’’ ‘‘Cleaner In-Use Heavy
Duty Trucks,’’ and ‘‘Cleaner In-Use OffRoad Engines’’ measures are currently
credited with reductions in the
attainment demonstration. See 76 FR
41338, 41346 (Table 6).
Generally speaking, EPA will approve
a State plan that takes emissions
reduction credit for a control measure
only where EPA has approved the
measure as part of the SIP, or in the case
of certain on-road and nonroad
measures, where EPA has issued the
related waiver of preemption or
authorization under CAA section 209(b)
or section 209(e). In our July 2011
proposed rule, in calculating and
proposing to approve the State’s
aggregate emissions reductions
commitment in connection with our
proposed approval of the attainment
demonstration, we assumed that full
final approval, waiver, or authorization
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Current SIP approval status
December 2009 ..................
September 2007 .................
September 2009 .................
June 2009 ..........................
December 2009 ..................
of a number of CARB rules would occur
prior to our final action on the San
Joaquin Valley PM2.5 Plan. See 76 FR
41338, 41346 (table 6). Two specific
CARB rules on which the attainment
demonstration relies include the Truck
Rule and the Drayage Truck Rule (that
collectively are included in a State
measure referred to as ‘‘Cleaner In-Use
Heavy Duty Trucks’’). We proposed
approval of both rules at 76 FR 40652
(July 11, 2011), but will be unable to
take final action on the rules until after
taking final action on the SJV 2008
PM2.5 SIP because, while CARB has
adopted the rules, the rules cannot take
effect until approved by the California
Office of Administrative Law (OAL) and
such approval will not happen before
EPA’s final action must be taken on the
plan.
We are nonetheless allowing the
plan’s attainment demonstration, and
our final approval of it, to rely on the
emissions reductions from the two
CARB rules cited above for the
following reasons:
• Both rules have been adopted by
CARB and submitted to EPA as a
revision to the California SIP,51 and the
adopted versions are essentially the
51 The Truck Rule and the Drayage Truck Rule
were included in a SIP submittal dated September
21, 2011. We have included the September 21, 2011
SIP submittal in the docket for this rulemaking.
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same as those for which EPA proposed
approval;
• The comments that we have
received on our proposed approval of
the two CARB rules (Truck Rule and
Drayage Truck Rule) contend that the
rules are costly and may not be
economically or technologically
feasible, but such considerations cannot
form the basis for EPA disapproval of a
rule submitted by a state as part of the
SIP [see Union Electric Company v.
EPA, 427 U.S. 246, 265 (1976)];
• The remaining administrative
process, which involves review of the
final adopted rules by California’s Office
of Administrative Law (OAL) is
essentially procedural in nature, and
should be completed over the near
term; 52
• CARB intends to submit the final,
effective rules to EPA as soon as OAL
completes its review and approves the
rules.
Therefore, we are confident that the
final action on the rules will be
52 See letter from James N. Goldstene, Executive
Officer, CARB, to Jared Blumenfeld, Regional
Administrator, EPA Region IX, dated September 21,
2011, submitting the Truck and Drayage Truck rules
SIP revision to EPA. CARB indicates that the
Drayage Truck Rule will be submitted to OAL no
later than September 23, 2011, and the Truck Rule
will be submitted to OAL no later than October 29,
2011. Under California law, OAL must taken action
within 30 working days.
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completed in the near-term and that, as
a result, continued reliance by the SJV
2008 PM2.5 SIP, and our final approval
of it, on the emissions reductions
associated with the rules is reasonable
and appropriate. If, however, California
does not submit the adopted and fully
effective rules to EPA as a SIP revision
prior to the effective date of today’s
action, we will take appropriate
remedial action to ensure that our action
on the plan is fully supportable or to
reconsider that action.
TABLE 2—2007 STATE STRATEGY DEFINED MEASURES SCHEDULE FOR CONSIDERATION AND CURRENT STATUS
State measures
Expected
action year
Implementation
Smog Check Improvements .........
Expanded Vehicle Retirement (AB
118).
Modification to Reformulated Gasoline Program.
Cleaner In-Use Heavy Duty
Trucks.
Accelerated Introduction of Cleaner Locomotives.
2007–2009 ..........
2007 ....................
2008–2010, 2013
2009 ....................
Elements approved 75 FR 38023 (July 1, 2010).53
Adopted by CARB, June 2009; by BAR, September 2010.
2007 ....................
2010 ....................
Approved, 75 FR 26653 (May 12, 2010).
2007, 2008, 2010
2011–2015 ..........
Proposed for approval 76 FR 40642 (July 11, 2011).
2008 ....................
2012 ....................
Cleaner In-Use Off-Road Engines
New Emissions Standards for
Recreational Boats.
2007, 2010 ..........
2013 ....................
2009 ....................
To be determined
Prop 1B bond funds awarded to upgrade line-haul locomotive engines not already accounted for by enforceable agreements with
the railroads. Those cleaner line-hauls will begin operation by
2012.
Waiver action pending.
Partial adoption, July 2008. Additional action expected 2013.
Current status
Source: 2011 Progress Report, Table 1. Additional information from https://www.ca.arb.gov. Only defined measures with direct PM2.5 or NOX reductions in the SJV are shown here.
B. Enforceable Emissions Reductions
Commitments
CARB’s emissions reductions
commitment is to achieve the ‘‘total
emissions reductions necessary to attain
Federal standards’’ through ‘‘the
implementation of control measures; the
expenditure of local, State, or federal
incentive funds; or through other
enforceable measures.’’ See CARB
Resolution 07–28, Attachment B at pp.
3–6; 2009 State Strategy Status Report,
p. 20; and 2011 Progress Report, p. 6.
The updates and improvements to the
inventories as presented in CARB’s 2011
Progress Report altered the calculation
of the reductions needed for attainment
of the 1997 PM2.5 standards in SJV by
reducing the total reductions needed
from District and State control strategy
measures to 9 tpd for PM2.5, 26.1 tpd for
NOX, and 0.8 tpd for SO2. See Table 3
below and 76 FR at 41354, Table 7.
We are approving the 2008 PM2.5 Plan
taking into account CARB’s revisions to
the control strategy based on the
revisions to its projected baseline
inventories and its enforceable
emissions reductions commitment.
Specifically, we are interpreting CARB’s
emissions reductions commitment,
together with the adjustments to the
2014 baseline inventories provided in
CARB’s 2011 SIP revision and the
District’s commitments, as adjusting
CARB’s total emissions reductions
commitment such that CARB is now
obligated to achieve 2.3 tpd of PM2.5
reductions and 17.1 tpd of NOX
reductions by 2014 through enforceable
control measures to provide for
attainment of the 1997 PM2.5 NAAQS in
SJV. SJVUAPCD’s commitments as
submitted in 2008 are to achieve 9 tpd
NOX, 6.7 tpd direct PM2.5, and 0.9 tpd
SOX by 2014. See Table 3 below. The
commitment numbers in this table do
not include reductions from measures
already adopted by CARB and the
District to meet their commitments.
TABLE 3—SJVUAPCD AND CARB 2014 EMISSIONS REDUCTIONS COMMITMENTS
[Tons per average annual day in 2014]
Direct PM2.5
A—Adjusted 2014 baseline emissions level 1 .............................................................................
B—2014 attainment target level 2 ................................................................................................
C—Reductions needed from control strategy measures (A ¥ B) ..............................................
D—District commitments 3 ...........................................................................................................
E—CARB commitments (C ¥ D) ................................................................................................
1 From
2 2008
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3 2008
72.3
63.3
9.0
6.7
2.3
NOX
317.3
291.2
26.1
9.0
17.1
SO2
25.4
24.6
0.8
0.9
........................
TSD, Table G–1.
PM2.5 Plan, p. 9–3.
PM2.5 Plan, pp. 6–11 to 6–12.
The level of emissions reductions
remaining as commitments after
adjusting the baseline to reflect updates
and improvements to the inventories
and crediting reductions from SIP-
approved or otherwise SIP-creditable
measures is shown in Table 4. These
levels remain unchanged from our 2011
proposal as does our conclusion that the
attainment demonstration in the SJV
2008 PM2.5 SIP which relies in part on
these enforceable commitments is
approvable. See 76 FR 41338, 41354
(Table 8) and 41356.
53 California Assembly Bill 2289, passed in 2010,
requires the Bureau of Automotive Repair to direct
older vehicles to high performing auto technicians
and test stations for inspection and certification
effective 2013. Reductions shown for the
SmogCheck program in the 2011 Progress Report do
not include reductions from AB 2289
improvements. CARB Progress Report supplement,
attachment 5.
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69923
TABLE 4—REDUCTIONS NEEDED FOR ATTAINMENT REMAINING AS COMMITMENTS BASED ON SIP-CREDITABLE MEASURES
[Tons per average annual day in 2014]
Direct PM2.5
A—Total reductions needed from baseline and control strategy measures and other adjustments to the baseline to attain ................................................................................................
B—Reductions from baseline measures and adjustments to baseline ......................................
C—Total reductions from approved measures ...........................................................................
D—Total reductions remaining as commitments (A ¥ B ¥ C) .................................................
E—Percent of total reductions needed remaining as commitments ...........................................
IV. Approval of the Motor Vehicle
Emissions Budgets and Trading
Mechanism for Transportation
Conformity
We noted in our July 2011 proposal
that CARB had posted draft technical
revisions to the SJV 2008 PM2.5 SIP’s
motor vehicle emissions budgets on
June 20, 2011 (see 76 FR 41338, at
41360 and https://www.arb.ca.gov/
planning/sip/2007sip/2007sip.htm) to
correct data entry errors in the budget
calculations and to remove the
emissions reductions attributable to
SJVUAPCD’s Rule 9510 ‘‘Indirect
Source Review.’’ 54 In our July 2011
proposal, we proposed to approve these
draft budgets contingent on our
receiving the SIP submittal from CARB
containing these budgets before our
final action on the SJV 2008 PM2.5 SIP.
The budgets were submitted by CARB as
a SIP revision on July 29, 2011 (see
letter, James Goldstene, Executive
Officer, CARB, to Jared Blumenfeld,
Regional Administrator, EPA Region 9,
dated July 29, 2011, with Attachments).
We summarize the budgets we are
approving today in Table 5 below. We
posted the draft version of these budgets
on our Web site for adequacy on July 14,
2011 for a 30-day comment period
which ended on August 15, 2011 (see
https://www.epa.gov/otaq/
stateresources/transconf/currsips.htm).
We received no comments on our
adequacy posting and have completed
our adequacy review (see TSD, section
II.J.).
EPA is also approving the trading
mechanism in the State’s submittal for
use in transportation conformity
analyses by the SJV MPOs as allowed
for under 40 CFR 93.124. The trading
applies only to:
• Analysis years after the 2014
attainment year.
• On-road mobile emission sources.
• Trades using vehicle NOX emission
reductions in excess of those needed to
meet the NOX budget.
• Trades in one direction from NOX
to direct PM2.5.
• A trading ratio of 9 tpd NOX to 1
tpd PM2.5.
Clear documentation of the
calculations used in the trade would be
22.7
13.7
6.0
3.0
13.2
NOX
SOX
284.2
258.1
13.2
12.9
4.5
1.8
1.0
3.6
0.0
0.0
included in the conformity analysis. See
2011 Ozone SIP Revision, Appendix A,
p. A–6.
Now that the approval of the budgets
is finalized, the SJV MPOs and the U.S.
Department of Transportation are
required to use the revised budgets in
transportation conformity
determinations. Due to the formatting of
the budgets (combining emissions
changes, recession impacts and
reductions from control measures),
CARB will need to provide the MPOs
with emissions reductions associated
with the control measures incorporated
into the budgets for the appropriate
analysis years so that they can include
these reductions in future conformity
determinations per 40 CFR 93.122. In
addition, for these conformity
determinations, the motor vehicle
emissions from implementation of the
transportation plan should be projected
and compared to the budgets at the
same level of accuracy as the budgets in
the plan, for example emissions should
be rounded to the nearest tenth (e.g. 0.1
tpd).
TABLE 5—PM2.5 MVEB FOR THE SAN JOAQUIN VALLEY
[Tons per average annual day]
2012
2014
County
NOX
PM2.5
Fresno ..............................................................................................................
Kern (SJV) .......................................................................................................
Kings ................................................................................................................
Madera .............................................................................................................
Merced .............................................................................................................
San Joaquin .....................................................................................................
Stanislaus ........................................................................................................
Tulare ...............................................................................................................
V. Final Actions and Resulting Clean
Air Act Consequences
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A. EPA’s Final Actions
For the reasons discussed in our July
13, 2011 proposal, EPA approves, with
the exception of the contingency
measures provisions, California’s SIP for
54 EPA has approved Rule 9510 into the California
SIP but disallowed the use of emissions reductions
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1.5
1.9
0.4
0.4
0.8
1.1
0.7
0.7
PM2.5
35.7
48.9
10.5
9.2
19.7
24.5
16.7
15.7
NOX
1.1
1.2
0.3
0.3
0.6
0.9
0.6
0.5
31.4
43.8
9.3
8.1
17.4
21.6
14.6
13.8
attaining the 1997 PM2.5 NAAQS in the
San Joaquin Valley and grants the
State’s request for an extension of the
attainment date to April 5, 2015. The
California PM2.5 attainment SIP for the
San Joaquin Valley is composed of the
SJVUAPCD’s 2008 PM2.5 Plan as revised
in 2010 and 2011 and the SJV-specific
portions of CARB’s 2007 State Strategy
as revised in 2009 and 2011 that address
CAA and EPA regulations for attainment
of the 1997 PM2.5 NAAQS in the SJV.
Specifically, EPA approves under
CAA section 110(k)(3) the following
elements of the SJV PM2.5 attainment
SIP:
from the rule for any SIP purpose including
transportation conformity. See 75 FR 28509 (May
21, 2010) and 76 FR 26609 (May 9, 2011).
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1. The 2005 base year emissions
inventories as meeting the requirements
of CAA section 172(c)(3) and 40 CFR
51.1008;
2. The reasonably available control
measures/reasonably available control
technology demonstration as meeting
the requirements of CAA section
172(c)(1) and 40 CFR 51.1010;
3. The reasonable further progress
demonstration as meeting the
requirements of CAA section 172(c)(2)
and 40 CFR 51.1009;
4. The attainment demonstration and
associated air quality modeling as
meeting the requirements of CAA
sections 172(c)(1) and (6) and 40 CFR
51.1007;
5. The 2012 RFP year and 2014
attainment year motor vehicle emissions
budgets (as submitted on July 29, 2011)
and CARB’s trading mechanism to be
used in transportation conformity
analyses as allowed under 40 CFR
93.124;
6. SJVUAPCD’s commitments to the
adoption and implementation schedule
for specific control measures listed in
Table 6–2 (amended June 15, 2010) of
the 2008 PM2.5 Plan to the extent that
these commitments have not yet been
fulfilled, and to achieve specific
aggregate emissions reductions of direct
PM2.5, NOX and SOX by year, as listed
in Table 6–3 of the PM2.5 Plan; and
7. CARB’s commitments to propose
certain defined measures, as listed in
Table B–1 on page 1 of Appendix B of
the 2011 Progress Report to the extent
that these commitments have not yet
been fulfilled and to achieve aggregate
emissions reductions of 17.1 tpd NOX
and 2.3 tpd direct PM2.5 by 2014
sufficient to provide for attainment of
the 1997 PM2.5 NAAQS as described in
CARB Resolution 07–28, Attachment B
at pp. 3–6, the 2009 State Strategy
Status Report, p. 21. and given in Table
3 above.
In addition, EPA concurs with the
State’s determination under 40 CFR
51.1002(c) that SOX and NOX are and
VOC and ammonia are not attainment
plan precursors for the attainment of the
1997 PM2.5 NAAQS in the SJV.
EPA also grants, pursuant to CAA
section 172(a)(2)(A) and 40 CFR
51.1004(a), California’s request to
extend the attainment date for the San
Joaquin Valley PM2.5 nonattainment
area to April 5, 2015.
Finally, EPA disapproves under CAA
section 110(k)(3) the contingency
measures provisions of the SJV PM2.5
attainment SIP as failing to meet the
requirements of CAA section 172(c)(9)
and 40 CFR 51.1012.
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B. CAA Consequences of the Final
Disapproval of the Contingency Measure
Provisions
EPA is committed to working with the
District and CARB to resolve the
remaining issues that make the current
PM2.5 attainment SIP for the SJV not
fully approvable under the CAA and the
PM2.5 implementation rule.
Under the CAA, a final disapproval of
a required CAA element, such as the
contingency measures provisions in
section 172(c)(9), triggers sanction
clocks under CAA section 179(b) that
run from the effective date of the final
action. The first sanction, the offset
sanction in CAA section 179(b)(2), will
apply in the SJV PM2.5 nonattainment
area 18 months from January 9, 2012
The second sanction, highway funding
sanctions in CAA section 179(b)(1), will
apply in the area six months after the
offset sanction is imposed. Neither
sanction will be imposed under the
CAA if California submits and we
approve prior to the implementation of
the sanctions, SIP revisions that correct
the deficiencies identified in our
proposed action. In addition to the
sanctions, CAA section 110(c)(1)
provides that EPA must promulgate a
federal implementation plan addressing
the deficient elements in the PM2.5 SIP
for the SJV nonattainment area, two
years after January 9, 2012, the effective
date of this rule if we have not approved
a SIP revision correcting the
deficiencies within the two years.
Because we are approving the RFP
and attainment demonstrations and the
motor vehicle emissions budgets, we are
issuing a protective finding under 40
CFR 93.120(a)(3) to the disapproval of
the contingency measures. Without a
protective finding, the final disapproval
would result in a conformity freeze,
under which only projects in the first
four years of the most recent conforming
Regional Transportation Plan and
Transportation Improvement Programs
can proceed. During a freeze, no new
RTPs, TIPs or RTP/TIP amendments can
be found to conform. See 40 CFR
93.120(a)(2). Under this protective
finding, however, the final disapproval
of the contingency measures does not
result in a transportation conformity
freeze in the San Joaquin PM2.5
nonattainment area.
VI. Statutory and Executive Order
Reviews
A. Executive Order 12866, Regulatory
Planning and Review
The Office of Management and Budget
(OMB) has exempted this regulatory
action from Executive Order 12866,
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entitled ‘‘Regulatory Planning and
Review.’’
B. Paperwork Reduction Act
This action does not impose an
information collection burden under the
provisions of the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. Burden is
defined at 5 CFR 1320.3(b).
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
generally requires an agency to conduct
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements 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 not-for-profit enterprises, and
small governmental jurisdictions.
This rule will not have a significant
impact on a substantial number of small
entities because SIP approvals and
partial approvals/partial disapprovals
under section 110 and subchapter I, part
D of the Clean Air Act do not create any
new requirements but simply approve
requirements that the State is already
imposing. Therefore, because this
partial approval/partial disapproval
action does not create any new
requirements, I certify that this action
will not have a significant economic
impact on a substantial number of small
entities.
Moreover, due to the nature of the
Federal-State relationship under the
Clean Air Act, preparation of flexibility
analysis would constitute Federal
inquiry into the economic
reasonableness of State action. The
Clean Air Act forbids EPA to base its
actions concerning SIPs on such
grounds. Union Electric Co., v. U.S.
EPA, 427 U.S. 246, 255–66 (1976); 42
U.S.C. 7410(a)(2).
D. Unfunded Mandates Reform Act
Under sections 202 of the Unfunded
Mandates Reform Act of 1995
(‘‘Unfunded Mandates Act’’), signed
into law on March 22, 1995, EPA must
prepare a budgetary impact statement to
accompany any proposed or final rule
that includes a Federal mandate that
may result in estimated costs to State,
local, or tribal governments in the
aggregate; or to the private sector, of
$100 million or more. Under section
205, EPA must select the most costeffective and least burdensome
alternative that achieves the objectives
of the rule and is consistent with
statutory requirements. Section 203
requires EPA to establish a plan for
informing and advising any small
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governments that may be significantly
or uniquely impacted by the rule.
EPA has determined that the partial
approval/partial disapproval action
promulgated does not include a Federal
mandate that may result in estimated
costs of $100 million or more to either
State, local, or tribal governments in the
aggregate, or to the private sector. This
Federal action approves pre-existing
requirements under State or local law,
and imposes no new requirements.
Accordingly, no additional costs to
State, local, or tribal governments, or to
the private sector, result from this
action.
E. Executive Order 13132, Federalism
Federalism (64 FR 43255, August 10,
1999) revokes and replaces Executive
Orders 12612 (Federalism) and 12875
(Enhancing the Intergovernmental
Partnership). Executive Order 13132
requires EPA to develop an accountable
process to ensure ‘‘meaningful and
timely input by State and local officials
in the development of regulatory
policies that have federalism
implications.’’ ‘‘Policies that have
federalism implications’’ is defined in
the Executive Order to include
regulations that 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.’’ Under
Executive Order 13132, EPA may not
issue a regulation that has federalism
implications, that imposes substantial
direct compliance costs, and that is not
required by statute, unless the Federal
government provides the funds
necessary to pay the direct compliance
costs incurred by State and local
governments, or EPA consults with
State and local officials early in the
process of developing the proposed
regulation. EPA also may not issue a
regulation that has federalism
implications and that preempts State
law unless the Agency consults with
State and local officials early in the
process of developing the proposed
regulation.
This rule 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, because it
merely approves a State rule
implementing a Federal standard, and
does not alter the relationship or the
distribution of power and
responsibilities established in the Clean
Air Act. Thus, the requirements of
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section 6 of the Executive Order do not
apply to this rule.
perform activities conducive to the use
of VCS.
F. Executive Order 13175, Coordination
With Indian Tribal Governments
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Population
Executive Order (EO) 12898 (59 FR
7629 (Feb. 16, 1994)) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA lacks the discretionary authority
to address environmental justice in this
rulemaking. In reviewing SIP
submissions, EPA’s role is to approve or
disapprove state choices, based on the
criteria of the Clean Air Act.
Accordingly, this action merely
approves certain State requirements for
inclusion into the SIP under CAA
section 110 and subchapter I, part D and
disapproves others, and will not in-andof itself create any new requirements.
Accordingly, it does not provide EPA
with the discretionary authority to
address, as appropriate,
disproportionate human health or
environmental effects, using practicable
and legally permissible methods, under
Executive Order 12898.
Executive Order 13175, entitled
‘‘Consultation and Coordination with
Indian Tribal Governments’’ (65 FR
67249, November 9, 2000), requires EPA
to develop an accountable process to
ensure ‘‘meaningful and timely input by
tribal officials in the development of
regulatory policies that have tribal
implications.’’ This final rule does not
have tribal implications, as specified in
Executive Order 13175. It will not have
substantial direct effects on tribal
governments, on the relationship
between the Federal government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal government and Indian tribes.
Thus, Executive Order 13175 does not
apply to this rule.
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 rule is not subject to
Executive Order 13045, because it
approves a State rule implementing a
Federal standard.
H. Executive Order 13211, Actions That
Significantly Affect Energy Supply,
Distribution, or Use
This rule is not subject to Executive
Order 13211, ‘‘Actions Concerning
Regulations That Significantly Affect
Energy Supply, Distribution, or Use’’ (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 of the National Technology
Transfer and Advancement Act
(NTTAA) of 1995 requires Federal
agencies to evaluate existing technical
standards when developing a new
regulation. To comply with NTTAA,
EPA must consider and use ‘‘voluntary
consensus standards’’ (VCS) if available
and applicable when developing
programs and policies unless doing so
would be inconsistent with applicable
law or otherwise impractical.
The EPA believes that VCS are
inapplicable to this action. Today’s
action does not require the public to
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K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
report containing this rule and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of the rule in
the Federal Register. A major rule
cannot take effect until 60 days after it
is published in the Federal Register.
This action is not a ‘‘major rule’’ as
defined by 5 U.S.C. 804(2). This rule
will be effective on January 9, 2012.
L. Petitions for Judicial Review
Under section 307(b)(1) of the Clean
Air Act, petitions for judicial review of
this action must be filed in the United
States Court of Appeals for the
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appropriate circuit by January 9, 2012.
Filing a petition for reconsideration by
the Administrator of this final rule does
not affect the finality of this rule for the
purposes of judicial review nor does it
extend the time within which a petition
for judicial review may be filed, and
shall not postpone the effectiveness of
such rule or action. This action may not
be challenged later in proceedings to
enforce its requirements (see section
307(b)(2)).
List of Subjects in 40 CFR Part 52
Air pollution control, Incorporation
by reference, Intergovernmental
relations, Nitrogen dioxide, Particulate
matter, Sulfur oxides.
Authority: 42 U.S.C. 7401 et seq.
Dated: September 30, 2011.
Jared Blumenfeld,
Regional Administrator, EPA Region 9.
Part 52, Chapter I, Title 40 of the Code
of Federal Regulations is amended as
follows:
PART 52—[AMENDED]
1. The authority citation for Part 52
continues to read as follows:
■
Authority: 42 U.S.C. 7401 et seq.
Subpart F—California
2. Section 52.220, is amended by
adding paragraph (c)(356)(ii)(B), adding
and reserving paragraph (c)(391), and
adding paragraphs(c)(392), (c)(393),
(c)(394), (c)(395), and (c)(396).
■
§ 52.220
Identification of plan.
jlentini on DSK4TPTVN1PROD with RULES3
*
*
*
*
*
(c) * * *
(356) * * *
(i) * * *
(ii) * * *
(B) State of California Air Resources
Board.
(1) Proposed State Strategy for
California’s 2007 State Implementation
Plan, adopted on September 27, 2007.
(2) CARB Resolution No. 07–28 with
Attachments A and B, September 27,
2007. Commitment to achieve the total
emissions reductions necessary to attain
the Federal standards in the SJV air
basin, which represent 2.3 tons per day
(tpd) of direct PM2.5 and 17.1 tpd of
nitrogen oxides by 2014 for purposes of
the 1997 PM2.5 NAAQS, as described in
Resolution No. 07–28 at Attachment B,
pp. 3–6, and modified by CARB
Resolution No. 09–34 (April 24, 2009)
adopting ‘‘Status Report on the State
Strategy for California’s 2007 State
Implementation Plan (SIP) and
Proposed Revisions to the SIP Reflecting
Implementation of the 2007 State
VerDate Mar<15>2010
18:34 Nov 08, 2011
Jkt 226001
Strategy’’ and by CARB Resolution No.
11–24 (April 28, 2011) adopting the
‘‘Progress Report on Implementation of
PM2.5 State Implementation Plans (SIP)
for the South Coast and San Joaquin
Valley Air Basins and Proposed SIP
Revisions.’’
(3) Executive Order S–07–002,
Relating to Approval of the State
Strategy for California’s State
Implementation Plan (SIP) for the
Federal 8-Hour Ozone and PM2.5
Standards, November 16, 2007.
(391) [Reserved]
(392) A plan was submitted on June
30, 2008 by the Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) San Joaquin Valley Unified Air
Pollution Control District.
(1) 2008 PM2.5 Plan, adopted on April
30, 2008.
(2) SJVUAPCD Governing Board, In
the Matter of: Adopting the San Joaquin
Valley Unified Air Pollution Control
District 2008 PM2.5 Plan, Resolution No.
08–04–10, April 30, 2008. Commitments
to achieve emissions reductions
(including emissions reductions of 8.97
tpd of NOX, 6.7 tpd of direct PM2.5, and
0.92 tpd of SOx by 2014) as described
in Table 6–3a (p. 6–11), Table 6–3b (p.
6–12), and Table 6–3c (p. 6–12)
respectively of the 2008 PM2.5 Plan and
commitments to adopt and submit
control measures as described in Table
6–2 (p. 6–9) of the 2008 PM2.5 Plan, as
amended June 17, 2010.
(B) State of California Air Resources
Board.
(1) CARB Resolution No. 08–28 with
Attachment A, May 22, 2008.
(393) An amended plan was
submitted on August 12, 2009 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) State of California Air Resources
Board.
(1) Status Report on the State Strategy
for California’s 2007 State
Implementation Plan (SIP) and
Proposed Revisions to the SIP Reflecting
Implementation of the 2007 State
Strategy, pages 11–17, April 24, 2009.
(2) CARB Resolution No. 09–34, April
24, 2009.
(394) An amended plan was
submitted on September 15, 2010 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) San Joaquin Valley Unified Air
Pollution Control District.
(1) 2008 PM2.5 Plan Amendment to
Extend the Rule 4905 Amendment
Schedule, June 17, 2010.
(2) SJVUAPCD Governing Board, In
the Matter of: Proposed Amendments to
PO 00000
Frm 00032
Fmt 4701
Sfmt 9990
the 2008 PM2.5 Plan to Extend the Rule
Amendment Schedule for Rule 4905
(Natural Gas-Fired, Fan-Type
Residential Central Furnaces),
Resolution 10–06–18, June 17, 2010.
(B) State of California Air Resources
Board.
(1) Executive Order S–10–003,
Relating to Approval of Amendments to
the 2008 PM2.5 Plan to Extend the Rule
Amendment Schedule for Rule 4905
(Natural Gas-Fired, Fan-Type
Residential Central Furnaces),
September 15, 2010.
(395) An amended plan was
submitted on May 18, 2011 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) State of California Air Resources
Board.
(1) Progress Report on
Implementation of PM2.5 State
Implementation Plans (SIP) for the
South Coast and San Joaquin Valley Air
Basins and Proposed SIP Revisions,
Release Date: March 29, 2011.
(2) CARB Resolution No. 11–24, April
28, 2011. Commitment to propose
measures as described in Appendix B of
the Progress Report on the
Implementation of PM2.5 State
Implementation Plans (SIP) for the
South Coast and San Joaquin Valley Air
Basins and Proposed SIP Revisions.
(3) Executive Order S–11–010,
‘‘Approval of Revisions to the Fine
Particulate Matter State Implementation
Plans for the South Coast Air Quality
Management Plans for the South Coast
Air Quality Management District and
the San Joaquin Valley Air Pollution
Control District,’’ May 18, 2011.
(396) An amended plan was
submitted on July 29, 2011 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) State of California Air Resources
Board.
(1) 8-Hour Ozone State
Implementation Plan Revisions and
Technical Revisions to the PM2.5 State
Implementation Plan Transportation
Conformity Budgets for the South Coast
and San Joaquin Valley Air Basins,
Appendix A, page A–6, (dated June 20,
2011), adopted July 21, 2011.
(2) CARB Resolution No. 11–22, July
21, 2011.
(3) Executive Order S–11–016,
‘‘Approval of Revisions to the 8-Hour
Ozone State Implementation Plans for
the South Coast Air Quality
Management District and the San
Joaquin Valley Air Pollution Control
District,’’ July 29, 2011.
[FR Doc. 2011–27232 Filed 11–8–11; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 76, Number 217 (Wednesday, November 9, 2011)]
[Rules and Regulations]
[Pages 69896-69926]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-27232]
[[Page 69895]]
Vol. 76
Wednesday,
No. 217
November 9, 2011
Part IV
Environmental Protection Agency
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40 CFR Part 50
Approval and Promulgation of Implementation Plans; California; 2008 San
Joaquin Valley PM2.5 Plan and 2007 State Strategy; Final Rule
Federal Register / Vol. 76, No. 217 / Wednesday, November 9, 2011 /
Rules and Regulations
[[Page 69896]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R09-OAR-2010-0516; FRL-9482-2]
Approval and Promulgation of Implementation Plans; California;
2008 San Joaquin Valley PM2.5 Plan and 2007 State Strategy
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
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SUMMARY: EPA is approving in part and disapproving in part state
implementation plan (SIP) revisions submitted by California to provide
for attainment of the 1997 fine particulate matter (PM2.5)
national ambient air quality standards in the San Joaquin Valley (SJV).
These SIP revisions are the SJV 2008 PM2.5 Plan (revised
2010 and 2011) and SJV-related provisions of the 2007 State Strategy
(revised 2009 and 2011). EPA is approving the emissions inventory, the
reasonably available control measures/reasonably available control
technology demonstration, reasonable further progress demonstration,
attainment demonstration and associated air quality modeling, and the
transportation conformity motor vehicle emissions budgets. EPA is also
granting California's request to extend the attainment deadline for the
SJV to April 5, 2015 and approving commitments to measures and
reductions by the SJV Unified Air Pollution Control District and the
California Air Resources Board. Finally, it is disapproving the SIP's
contingency provisions and issuing a protective finding for
transportation conformity determinations under 40 CFR 93.120(a)(3) for
this disapproval.
DATES: The rule is effective January 9, 2012.
ADDRESSES: EPA has established docket number EPA-R09-OAR-2010-0516 for
this action. The index to the docket is available electronically at
https://www.regulations.gov and in hard copy at EPA Region 9, 75
Hawthorne Street, San Francisco, California. While all documents in the
docket are listed in the index, some may be publicly available only at
the hard copy location (e.g., copyrighted material) and some may not be
publicly available at either location (e.g., CBI). To inspect the hard
copy materials, please schedule an appointment during normal business
hours with the contact listed in the FOR FURTHER INFORMATION CONTACT
section below.
Copies of the SIP materials are also available for inspection at
the following locations:
California Air Resources Board, 1001 I Street, Sacramento,
California 95812
San Joaquin Valley Air Pollution Control District, 1990 E.
Gettysburg, Fresno, California 93726.
The SIP materials are also electronically available at: https://www.valleyair.org/Air_Quality_Plans/PM_Plans.htm and https://www.arb.ca.gov/planning/sip/sip.htm.
FOR FURTHER INFORMATION CONTACT: Frances Wicher, Air Planning Office
(AIR-2), U.S. Environmental Protection Agency, Region 9, (415) 972-
3957, wicher.frances@epa.gov
SUPPLEMENTARY INFORMATION: Throughout this document, ``we'', ``us'' and
``our'' refer to EPA.
Table of Contents
I. Summary of EPA's Proposed and Final Actions on the 2008 State
Implementation Plan for Attainment of the 1997 PM2.5
Standards in the San Joaquin Valley
II. Response to Public Comments Received on the Proposals
III. Approval Status of the Control Strategy Measures and Final
Actions on the Attainment Demonstration and Enforceable Commitments
IV. Approval of the Motor Vehicle Emissions Budgets and Trading
Mechanism for Transportation Conformity
V. Final Actions and Resulting Clean Air Act Consequences
VI. Statutory and Executive Order Reviews
I. Summary of EPA's Proposed and Final Actions on the 2008 State
Implementation Plan for Attainment of the 1997 PM2.5
Standards in the San Joaquin Valley
On July 13, 2011, EPA proposed to approve in part and disapprove in
part California's state implementation plan (SIP) for attaining the
1997 fine particulate (PM2.5) national ambient air quality
standards (NAAQS) in the San Joaquin Valley (SJV). See 76 FR 41338.
California developed this SIP to provide for expeditious attainment of
the PM2.5 standards in the SJV and to meet other applicable
PM2.5 planning requirements in Clean Air Act (CAA) section
172(c) and EPA's PM2.5 implementation rule.\1\
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\1\ ``The Clean Air Fine Particle Implementation Rule for the
1997 PM2.5 NAAQS,'' 72 FR 20586 (April 25, 2007) and
codified at 40 CFR part 51, subpart Z (PM2.5
implementation rule).
---------------------------------------------------------------------------
In all, California has made six submittals to address the
PM2.5 SIP planning requirements for the SJV. The two
principal ones are the SJV Unified Air Pollution Control District's
(SJVUAPCD or District) 2008 PM2.5 Plan (amended 2010 and
2011) and the California Air Resources Board's (CARB) State Strategy
for California's 2007 State Implementation Plan (amended 2009 and
2011).\2\ Together, the 2008 PM2.5 Plan and the 2007 State
Strategy present a comprehensive and innovative strategy for attaining
the 1997 PM2.5 standards in the SJV.
---------------------------------------------------------------------------
\2\ These SIP submittals are:
1. SJVUAPCD, 2008 PM2.5 Plan, adopted on April 30, 2008 by the
SJVUAPCD and on May 22, 2008 by CARB, submitted on June 30, 2008.
2. CARB, Proposed State Strategy for California's 2007 State
Implementation Plan, as amended and adopted on September 27, 2007 by
CARB, submitted on November 16, 2007.
3. CARB, Status Report on the State Strategy for California's
2007 State Implementation Plan (SIP) and Proposed Revisions to the
SIP Reflecting Implementation of the 2007 State Strategy (pages 11-
27 only), adopted on April 24, 2009 by CARB, submitted on August 12,
2009.
4. SJVUAPCD, 2008 PM2.5 Plan Amendment to Extend the Rule 4905
Amendment Schedule, adopted on June 17, 2010 by the SJVUAPCD,
submitted on September 15, 2010
5. CARB, Progress Report on Implementation of PM2.5 State
Implementation Plans (SIP) for the South Coast and San Joaquin
Valley Air Basins and Proposed SIP Revisions (Appendices B, C and D
only), adopted on April 28, 2011 by CARB, submitted on May 18, 2011.
``2011 Progress Report.''
6. CARB, 8-Hour Ozone State Implementation Plan Revisions and
Technical Revisions to the PM2.5 State Implementation Plan
Transportation Conformity Budgets for the South Coast and San
Joaquin Valley Air Basins, adopted on July 21, 2011 by CARB and
submitted on July 29, 2011. (``2011 Ozone SIP Revisions'') Only the
PM2.5 motor vehicle emissions budgets in this submittal
are addressed in today's action.
---------------------------------------------------------------------------
In our July 2011 notice, EPA proposed multiple approval actions on
the SJV 2008 PM2.5 SIP. First, we proposed to approve the
SIP's reasonably available control measure/reasonably available control
technology (RACM/RACT) demonstration, reasonable further progress (RFP)
demonstration, attainment demonstration and associated air quality
modeling, base year emissions inventory; air quality modeling; and
motor vehicle emissions budgets.\3\ Second, we proposed to approve
enforceable commitments by both the District and CARB to certain
measures and specific amounts of emissions reductions. Third, we
proposed to concur with the State's determination that volatile organic
compounds (VOC) and ammonia are not attainment plan precursors for
attainment of the 1997 PM2.5 NAAQS in
[[Page 69897]]
the SJV. Lastly, we proposed to grant California's request to extend
the attainment date for the San Joaquin Valley PM2.5
nonattainment area to April 5, 2015. See 76 FR 41338, 41361.
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\3\ The 2011 Progress Report contained budgets that were not
approvable because they included emissions reductions from a rule
that was ineligible for SIP credit. These budgets also included data
entry errors. See 76 FR 41338, 41360. We proposed instead to approve
alternative budgets that CARB had developed and posted for public
comment as part of its 2011 Ozone SIP Revisions and stated that the
approval was contingent on our receipt of the SIP revision
containing the revised budgets. Id. CARB submitted that SIP revision
on July 29, 2011.
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EPA also proposed to disapprove the contingency measures provisions
of the SJV 2008 PM2.5 SIP for failing to provide sufficient
emissions reductions.\4\ Id.
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\4\ We also proposed to disapprove a commitment by the District
to adopt revisions to its Rule 4702 ``Reciprocating Internal
Combustion Engines'' by December 2010 because that date had passed
and the District had not adopted revisions to the rule. We stated in
the proposal that we would not finalize this proposed disapproval if
the District adopted revisions to the rule by the time of our final
action on the SIP. See 76 FR 41338, 41361. On August 18, 2011, the
District adopted the revisions to Rule 4702; therefore, we are not
finalizing our proposed disapproval of this commitment.
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A more detailed discussion of each of California's SIP submittals
for the SJV area, the CAA and EPA requirements applicable to them, and
our evaluation and proposed actions can be found in our July 2011
proposal (76 FR 41338) and the technical support document (TSD) for
this final action.\5\
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\5\ ``Technical Support Document and Response to Comments Final
Rule on the San Joaquin Valley 2008 PM2.5 State
Implementation Plan,'' Air Division, U.S. EPA Region 9, September
30, 2011. The TSD can be found in the docket for this rulemaking.
---------------------------------------------------------------------------
Our July 2011 proposal was the second time that EPA proposed action
on California's SJV 2008 PM2.5 SIP. On November 30, 2010 (75
FR 74518), EPA proposed to disapprove the majority of the provisions in
this SIP. During the comment period for the November 2010 proposal, we
received several comment letters from the public as well as comment
letters from CARB and the District. Subsequent to the close of the
comment period, CARB adopted and submitted revisions to the SJV
PM2.5 Plan and 2007 State Strategy. After considering
information contained in the comment letters and the supplemental SIP
submittals, we issued the July 2011 proposed rule which substantially
amended our November 2010 proposal.
EPA is today approving most elements of the SJV 2008
PM2.5 SIP based on our conclusion that they comply with
applicable CAA requirements and provides for expeditious attainment of
the 1997 PM2.5 standards in the San Joaquin Valley. We are
also today disapproving the SIP's contingency measure provisions
because they do not provide sufficient emissions reductions. We are
continuing to working with the State and District to identify
additional control measures and incentive programs that meet the CAA's
requirements for contingency measures consistent with EPA regulations
and policy.
II. Response to Public Comments Received on the Proposals
As part of this final action, EPA has considered and provided
responses to the comments submitted in response to both the November
2010 and the July 2011 proposals. Comments on our proposals were
received from:
The Center on Race, Poverty & the Environment on behalf of the
Association of Irritated Residents (AIR) and other San Joaquin Valley-
based environmental and community organizations. AIR submitted comments
on both proposals.
Earthjustice, on behalf of Medical Advocates for Healthy Air and
other San Joaquin Valley-based environmental and community
organizations. Earthjustice submitted comments on both proposals.
SJVUAPCD provided comments on the November 2010 proposal.
CARB provided two comment letters on our November 2010 proposal.
The first transmitted air quality modeling documentation and the second
provided comments on the proposal.\6\
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\6\ The majority of CARB's and the District's comments addressed
the November 2010 proposed disapprovals and EPA's grounds for them.
These comments were, for the most part, addressed by our July 2011
amended proposal.
---------------------------------------------------------------------------
Tom Frantz, President, AIR, submitted comments on our November 2010
proposal.
Arthur D. Unger submitted comments on our November 2010 proposal.
A copy of these comment letters and their attachments can be found
in the docket for this final rule.
In the following sections, we summarize our responses to the most
significant comments received on the proposals. Our full responses to
all comments received can be found in the ``Response to Comments''
section (section III) of the TSD for this final rule.
A. Comments on the Proposed Action on the Emissions Inventory
Comment: Earthjustice comments on the importance of emissions
inventories, noting that CAA section 172(c)(3) requires that
nonattainment plans ``include a comprehensive, accurate, current
inventory of actual emissions from all sources of the relevant
pollutant or pollutants in such area.'' Earthjustice objects to EPA's
proposal to approve the inventories in the 2008 PM2.5 SIP
because they were current and accurate ``at the time the Plan was
developed and submitted,'' arguing that such language is not in the CAA
and is not a reasonable extension of Congress's intent, which is to
ensure the adoption and approval of SIPs that will achieve clean air
meeting the NAAQS. Earthjustice argues that an inventory that is
``known to be wrong'' undermines the modeling demonstration of the
emissions reductions needed to attain, and that EPA's interpretation
suggests that revisions to an inventory are needed only when it is
found that the inventory is not current or accurate as of the date it
is submitted. Earthjustice argues that such an interpretation
undermines any assurance that ``the requirements of [Part D of the CAA]
are met.'' Finally, Earthjustice asserts that ``EPA cannot approve
these inventories as complying with the requirements of section
172(c)(3) knowing that the data are not valid for purposes of building
an attainment plan.''
Response: EPA does not dispute the importance of emissions
inventories. We evaluated the emissions inventories in the 2008
PM2.5 Plan to determine whether they satisfy the
requirements of CAA section 172(c)(3) and adequately support the Plan's
RACM, RFP and attainment demonstrations. Based on this evaluation, we
have concluded that the Plan's 2005 base year emissions inventory was
based on the most current and accurate information available to the
State and District at the time the Plan was developed and submitted and
comprehensively addresses all source categories in the SJV area,
consistent with applicable CAA requirements and EPA guidance. See 76 FR
41338 at 41342-41343 and 2011 Proposal TSD \7\ at section IIA; see also
``General Preamble for Implementation of Title I of the Clean Air Act
Amendments of 1990,'' 57 FR 13498 at 13502 (April 16, 1992) (``General
Preamble'').
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\7\ ``Technical Support Document for the Revised Proposed
Rulemaking Action on the San Joaquin Valley 2008 PM2.5
Plan and the San Joaquin Valley Portions of the Revised 2007 State
Strategy,'' Air Division, U.S. EPA, Region 9, June 29, 2011, ``2011
Proposal TSD.''
---------------------------------------------------------------------------
We do not agree with Earthjustice's suggestion that EPA interprets
the CAA to require revisions to an emissions inventory only when it is
found that such inventory is not current or accurate as of the date it
is submitted. Significant changes to a base year inventory that
undermine the assumptions in an attainment demonstration may, on a case
by case basis, call for a reevaluation of the modeling or other
planning analyses supporting that demonstration. In this case, however,
as discussed in the proposed rule (76 FR 41562, 41567) and in section
II.A. below, we have concluded that the State's changes to its
methodologies for estimating future
[[Page 69898]]
emissions do not significantly affect the 2002 base year inventories
and, consequently, do not undermine the modeling or other analyses that
rely on those inventories and that support the attainment demonstration
in the Plan. Based on this technical assessment, we have concluded that
it is not necessary in this case for the State to submit a revised base
year inventory. We note that states are required to report
comprehensive emissions inventories to EPA every three years under the
Air Emissions Reporting Requirements in 40 CFR part 51, subpart A. See
40 CFR 51.30(b).
CAA section 172(b) provides that ``the State containing [a
nonattainment] area shall submit a plan or plan revision (including the
plan items) meeting the applicable requirements of [section 172(c) and
section 110]'' on the schedule established by EPA, and section 172(c)
contains, inter alia, the requirement that nonattainment plans ``shall
include a comprehensive, accurate, current inventory of actual
emissions from all sources of the relevant pollutant or pollutants in
such area.'' We believe it is reasonable to read these provisions
together as requiring that the State submit an inventory that is
``comprehensive, accurate, [and] current'' at the time the State
submitted it to EPA, rather than requiring that the State continually
revise its plan as new emissions data becomes available. See Brief of
Respondents, EPA, in Sierra Club, et al. v. U.S. EPA, et al., Case Nos.
10-71457 and 10-71458 (consolidated), May 5, 2011. States could never
effectively plan for air quality improvements if they had to constantly
revise their inventories as new data became available. Air quality
planning is an iterative process and states and EPA must rely on the
best available data at the time the plans are created.
Comment: Throughout its comments, AIR uses the term ``recession
reductions'' which it defines as ``the emissions reductions the [C]ARB
claims have occurred as a result of the recession.''
Response: In its comments, AIR calculates what it considers ``the
total reductions from baseline reductions without recession
reductions'' as 11 tpd of PM2.5, 195 tons per day (tpd) of
nitrogen oxides (NOX), and 0.9 tpd of sulfur oxides
(SOX). These figures are the same as the calculated
reductions from the baseline measures prior to the updates to the 2014
baseline inventory.\8\ Based on these calculations, AIR seems to
consider the ``recession reductions'' to be the difference between the
2014 baseline inventory submitted with the 2008 PM2.5 Plan
in 2008 and the revised 2014 baseline inventory submitted with the 2011
Progress Report in 2011. By labeling this difference as ``recession
reductions,'' AIR attributes the differences entirely to revisions to
the economic forecasts. This is not entirely correct.
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\8\ See line D on Table 7 in the November 30, 2010 proposed
action on the SJV PM2.5 SIP at 75 FR 74518. On this
table, the baseline NOX reductions are listed as 199.2
tpd but include 4.2 tpd of uncreditable reductions that are not
included in AIR's numbers. By ``baseline inventories'' or
``projected baseline inventories,'' we mean projected emissions
inventories for future years that account for, among other things,
the ongoing effects of economic growth and adopted emissions control
requirements. A 2014 baseline inventory is important because this
year is the ``attainment year,'' the year by which all reductions
needed for attainment need to be in place for the SJV. See 40 CFR
51.1007(b).
---------------------------------------------------------------------------
Changes to the 2014 baseline inventory include revisions not only
to the economic forecasts but also to a variety of other factors (out-
of-state vehicle miles traveled (VMT) estimates, cumulative mileage,
equipment populations, load factors, and hours of use, etc.) used to
calculate emissions from trucks, buses, and certain off-road equipment
categories. See 2011 Progress Report, Appendix E. CARB estimates that
revisions to the truck inventory excluding recession impacts reduced
truck emissions statewide by 10 percent from the 2014 baseline levels
estimated when the Truck rule was adopted in 2008 while recession
impacts reduced the baseline level by a further 7 percent. See 2010
Truck Rule ISOR, p. 19.\9\ For off-road equipment, CARB estimates that
inventory changes independent of the recession were responsible for
half the overall reduction in projected statewide emissions. See 2010
Off Road Rule ISOR, p. 17.\10\ We note that these figures are average
statewide figures and not specific to the SJV.
---------------------------------------------------------------------------
\9\ CARB, ``Staff Report: Initial State of Reasons for Proposed
Rulemaking, Proposed Amendments to the Truck and Bus Regulations,
The Drayage Truck Regulation and the Tractor-Trailer Greenhouse Gas
Regulation,'' October 2010 (``2010 Truck Rule ISOR'').
\10\ CARB Staff Report: Initial Statement of Reasons for
Proposed Amendments to the Regulation for In-Use Off-Road Diesel-
Fueled Fleets and the Off-Road Large Spark-Ignition Fleet
Requirements, October 2010, including Appendix D1 (``2010 Off-Road
Rule ISOR'').
---------------------------------------------------------------------------
Comment: AIR contends that in the 2011 Progress Report, CARB first
claims that the reduced economic activity caused by the recession has
reduced 2014 emissions levels in the SJV by 2.7 tpd of
PM2.5, 63.1 tpd of NOX and 0.1 tpd of
SOX. AIR further contends that CARB claims that the
recession has caused current inventories of the goods movement and
construction sectors to be lower than projected in the 2008
PM2.5 Plan. Finally, citing EPA's statement in the 2011
Proposal TSD about the effect of the 2007-2009 economic recession on
activity levels in the State's construction and goods movement sectors,
AIR asserts that accounting for the recession through inventory
adjustments is improper.
Response: CARB does not claim that the recession alone has reduced
the projected 2014 baseline emissions in the SJV nor did it provide the
numbers cited by AIR. As discussed in the response to the preceding
comment, revisions to the baseline inventory took into account not only
changes to the State's economic forecasts but also updated information
on out-of-state VMT estimates, cumulative mileage, equipment
populations, and other data used to calculate emissions from trucks,
buses, and certain off-road equipment. The emissions reduction figures
that AIR ascribes to CARB are figures EPA calculated using data
provided by CARB.
EPA uses the phrase ``adjustments to the baseline'' to refer to the
difference between the 2014 baseline initially submitted in the 2008
SJV PM2.5 Plan and the recently revised 2014 baseline as
submitted in the 2011 Progress Report. This ``adjustments to baseline''
figure is nothing more than EPA's summary of the overall impact of both
recession and non-recession related changes between the two projected
inventories. EPA calculated this adjustment from summary data CARB
provided in Appendix E of the 2011 Progress Report. The adjustment
represents the net results of CARB's changes to its inventories rather
than the changes themselves.
CARB revised its inventories for trucks and diesel off-road
equipment to incorporate new and better data including new research on
truck travel within California. See 2010 Truck Rule ISOR, Appendix G.
These revisions were not mere adjustments to previous inventories but
thorough reviews of much of the data that goes into estimating
emissions from these sources. See 2010 Truck Rule ISOR, Appendix G and
2010 Off-Road Rule ISOR, Appendix D.\11\ These inventory revisions also
included review of current and future activity data (such as fuel
consumption, diesel fuel sales,
[[Page 69899]]
trucking industry tonnage reports, truck sales trends, and truck
registration data) for these categories as well as economic forecasts
from a number of reputable sources.\12\ Throughout its development of
these revisions, CARB held workshops seeking public review and input
into its work. See 2010 Truck Rule ISOR, p. 13.
---------------------------------------------------------------------------
\11\ For an overview of these changes and their results, see the
presentation to the CARB Board by CARB's Planning and Technical
Support Division on November 18, 2010, entitled, ``Diesel Inventory
Improvements for Regulatory Development,'' available at https://www.arb.ca.gov/board/books/2010/111810/10-10-9pres.pdf and in the
docket for this rule.
\12\ See CARB, ``ARB Staff Assessment of the Impact of the
Economy on California Trucking Activity and Emissions 2006-2014,''
draft December 2009, available in the docket for this rule. Sources
of economic data included California Department of Finance,
California Legislative Analyst's Office, California Energy
Commission, UCLA Anderson School, Beacon Economics, University of
the Pacific, Congressional Budget Office, and US Energy Information
Agency. Id. pp. 11-12.
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Emissions projections are a function of change in activity (growth
or decline) combined with changes in the emissions rate or controls
applicable to emissions sources. Projected inventories are, therefore,
necessarily affected by forecasts of industrial growth, population
growth, and transportation growth, among other factors.\13\ EPA
guidance emphasizes the importance of developing reliable methods for
estimating future source activity levels as part of the SIP planning
process.\14\
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\13\ See ``Emission Projections,'' STAPPA/ALAPCO/EPA Emissions
Inventory Improvement Project, Volume X (December 1999) at 1-1
(available at https://www.epa.gov/ttnchie1/eiip/techreport/volume10/x01.pdf).
\14\ See ``Procedures for Preparing Emissions Projections,'' EPA
Office of Air Quality Planning and Standards, EPA-450/4-91-019 (July
1991) at p. 6 and section III.
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We disagree with AIR's assertion that ``EPA claims that the ARB has
opted to take credit for the decrease in the inventory in the
attainment demonstration as `a line-item adjustment to the baseline
inventories.' '' EPA stated in the 2011 Proposal TSD (pg. 18) that
``California is reflecting these recession impacts as a line-item
adjustment to the baseline inventories.'' This statement was incorrect
and should have read that EPA (not CARB) is reflecting the recession
impacts as a line-item adjustment to the baseline inventories. EPA
believes this adjustment is appropriate in light of the impact of these
emissions changes on the baseline. We should have also been clearer
that the 2014 adjustments included the technical revisions to the
inventory that are discussed on page 19 of the 2011 Proposal TSD.
Finally, we note that although AIR objects categorically to the
revisions to the projected emissions inventories based on CARB's
revised economic forecasts, it provides no information to refute CARB's
extensive documentation of the impact of the economic recession on air
pollution generating activity. It also provides no information to
refute CARB's non-recession related revisions to the projected
inventories.
B. Comments on the Proposed Action on the Air Quality Modeling
Comment: Earthjustice and AIR comment that CARB's emissions
inventory update necessitates new attainment demonstration modeling.
AIR alleges that EPA's 2011 Proposal TSD stated that updates should
trigger new modeling. AIR notes EPA's statement in that TSD that the
model underpredicts. In addition, AIR questions EPA's reliance on
unreviewed model sensitivity results from CARB as the basis for not
requiring new modeling. Earthjustice comments that the difficulty of
performing new modeling is not a valid reason for approving an
erroneous attainment demonstration. It adds that EPA's method for
assessing the effect of the inventory update has the ``obvious flaw''
that it relies on design value changes to within hundredths of a
percent, starting from design values that are, according to
Earthjustice, acknowledged to be erroneous.
Response: While some large emissions inventory changes might indeed
necessitate new modeling, EPA does not agree that the inventory changes
were large enough to substantially affect the SJV modeling conclusions,
or to invalidate the SJV attainment demonstration. As EPA stated in the
2011 Proposal TSD (p. 47), ideally new modeling would be performed when
an area's emissions inventory is changed. However, since the cost in
time and resources of remodeling and consequent reworking of a plan is
not trivial, administrative necessity requires a judgment call about
when changes are large enough to merit new modeling; there is no
automatic trigger. An important criterion in making this judgment is
whether the changes would affect the conclusion that the plan's
emissions reductions are adequate for attaining the NAAQS. Another
consideration is the uncertainty inherent in modeling; although model
results may be reported to several decimal places, model performance
goals for fractional bias are typically in the range of 30 percent.
Plan's Regional Model Performance Analysis,\15\ p.12, and EPA Guidance
\16\ Appendix B. Small changes in the emissions inventory could be in
the range of the ``noise'' of the model. This is not to discount the
importance of an accurate emissions inventory, but rather to make the
point that relatively small changes in inventory estimates do not
necessarily invalidate a model application. EPA finds that the 5-6
percent base year emissions decreases due to the inventory updates in
this case are relatively small.
---------------------------------------------------------------------------
\15\ The ``Regional Model Performance Analysis'' is an appendix
to the 2008 PM2.5 Plan.
\16\ EPA ``Guidance on the Use of Models and Other Analyses for
Demonstrating Attainment of Air Quality Goals for the 8-Hour Ozone
and PM2.5 NAAQS and Regional Haze,'' April 2007. (``EPA
Guidance'').
---------------------------------------------------------------------------
EPA did assess the effect of the emissions inventory improvements
on the attainment demonstration, using a procedure described in the
2011 Proposal TSD and other supporting documents. EPA did note in the
2011 Proposal TSD (p. 48) that the emissions update revealed some model
bias. The model appears to be underpredicting (biased low): Its
emissions inputs are now known to be too high, so its predicted
concentrations should have been higher, too. Model bias is an important
issue that modelers address in developing the model application for a
specific area and pollution episode, through testing and refinement of
a model's many inputs. The bias problem is somewhat ameliorated by the
use of models in a relative sense via ``relative reduction factors''
(RRFs), as recommended in EPA Guidance (p. 20). The various influences
that lead to model underestimation in the base year would also be
expected to cause underestimation in the attainment year, and these
tend to cancel out in the RRF ratio calculation used to project the
future effect of controls. In other words, the effect of model bias is
minimized when it is accounted for at both end points, the base and
attainment years. In a similar vein, EPA assessed the effect of the
emissions update on the attainment demonstration, essentially by
removing the bias revealed by the update from both the base year and
the attainment year.\17\ The bias was estimated by combining the
emissions changes with an estimate of model PM2.5
sensitivity per unit of emissions change. The effect of removing the
bias by this procedure was to increase predicted attainment year annual
PM2.5 design values by 1-2 percent. EPA finds that this is
small enough to be considered
[[Page 69900]]
within the ``noise'' of the model and does not change the overall
modeling conclusions. But even with this increase added in, the
predicted concentrations meet the NAAQS. This is a quantitative showing
that the emissions updates are small enough that they do not invalidate
the attainment demonstration.
---------------------------------------------------------------------------
\17\ This procedure is in some ways parallel to but not the same
as the RRF calculation and could be applied even if the model were
not used in a relative sense. The inventory estimates the emissions
reduction between the base and future years. An RRF scales the
monitored design value using the relative model response to a given
emissions reduction estimate, in order to account for that
reduction. The procedure here scales the model's future predictions
using model sensitivity, in order to account for changes in the
emissions reduction estimate.
---------------------------------------------------------------------------
As described in the 2011 Proposal TSD (section II.B), EPA reviewed
the development of the model application, the procedures used to
develop the model inputs, model testing methods and performance
statistics, and the methods used to compute RRFs and attainment year
PM2.5 design values. EPA finds that CARB applied these
methods appropriately, including to the sensitivity results and
believes that these modeling inputs and RRF calculations were carried
out as described by CARB. As a result, we find that the sensitivity
results provide a reasonable basis for assessing the effect of the
inventory update on the attainment demonstration.
EPA does not agree with Earthjustice that starting from the Plan's
modeled design values and ending with small design value changes
constitute flaws in the procedure for estimating the effect of the
baseline inventory revisions. All modeling has uncertainty and bias
including any new modeling that would be done using the updated
emissions inventory estimates. Every modeling result is an
approximation and is likely to contain errors. Administrative
necessity, therefore, requires a judgment call about whether such
problems are substantial enough to impact regulatory decisions.
Modeling experts from regulatory agencies, academia, and consulting
firms were involved in developing the SJV modeling. It underwent
successful diagnostic testing and performs well. EPA finds that it
continues to constitute an adequate basis for the attainment
demonstration.
Further, EPA believes that the original modeling is basically sound
in how it portrays SJV atmospheric chemistry and transport and that
results derived from model sensitivity tests are a reasonable
approximation to what would result from new modeling with the updated
inventory. EPA's procedure for estimating the effect of the inventory
changes using model sensitivity results does make a number of
assumptions: Emissions changes are small enough that the model response
is linear, model sensitivity is similar in the starting and ending
years, and the spatial and temporal distribution of emissions is little
changed with the inventory update. EPA believes that these assumptions
are reasonable and that the procedure it used provides strong evidence
for the attainment demonstration's validity.
As for the smallness of the design value changes resulting from the
procedure, EPA does not believe this is a substantive issue. Any
procedure (even new modeling) that starts with small emissions changes
will necessarily result in small design value changes. Within a small
range, over which the chemistry does not shift fundamentally, ambient
concentrations are approximately proportional to emissions, by the law
of conservation of matter. This is not a case of an overly precise tiny
number being added to a large erroneous random number, but rather of an
adjustment ratio applied to a number derived from extensive data and
analysis. Some intermediate steps in the calculation procedure that EPA
used to evaluate the emissions inventory change did involve tenths of a
percent (not hundredths as stated by the commenter), but this is
largely an artifact of showing the procedure in multiple steps for
comprehensibility. EPA could have done the calculation in a single step
to avoid this artifact. When modeling a 10 percent change in
NOX emissions results in a design value change of 1.4
percent, a calculation using this model sensitivity result will
necessarily involve fractions of 1 percent or less. In this case, the
emissions inventory update involved a change in NOX
emissions of less than 10 percent, and thus, would also be expected to
yield relatively small design value changes.
Comment: Earthjustice comments that a simple screening analysis
cannot substitute for an unmonitored area analysis, as it is inadequate
to address the sharp ambient concentration gradients that occur in
near-highway areas.
Response: EPA agrees that the simple screening analysis in the Plan
as originally submitted in June 2008 is not an adequate substitute for
an unmonitored area analysis (UAA) and noted this deficiency in our
November 2010 proposal. See 75 FR 74518, 74530. As noted in the 2011
proposal (76 FR 41388, 41348), CARB subsequently submitted a modeling
supplement that included a UAA that follows EPA Guidance. See CARB
modeling supplement, p. 139.\18\ The UAA led to the conclusion that
there would not be any NAAQS violations at locations away from
monitors, and EPA has evaluated and accepted that conclusion.
---------------------------------------------------------------------------
\18\ Letter and enclosure, John DaMassa, Chief, Modeling and
Meteorology Branch; California Air Resources Board, January 28, 2011
(``CARB modeling supplement'').
---------------------------------------------------------------------------
As for whether the UAA itself adequately addresses the commenter's
underlying concern about sharp concentration gradients, the EPA
Guidance states:
``The unmonitored area analysis is intended to be the primary
means for identifying high PM2.5 concentrations outside
of traditionally monitored locations. * * * Based on the monitoring
guidance, we believe that an unmonitored area analysis conducted at
12 km or finer resolution is sufficient to address unmonitored
PM2.5 for the annual NAAQS. Conducting the unmonitored
analysis at 4 km or finer resolution will provide an even more
detailed analysis of the spatial gradients of primary
PM2.5, especially when evaluating violations of the 24-
hr. NAAQS.''
This modeling guidance recommendations are consistent with the
requirements of the EPA's PM2.5 monitoring rules. The
modeling guidance UAA spatial scale recommendations are intended to
capture neighborhood scale and larger areas, since the monitoring rules
do not require micro or middle scale monitors for either the annual or
24-hr PM2.5 standards. CARB's UAA was conducted at a
resolution of 4 km, so it is more detailed than EPA's recommended
approach for UAA. In addition, it is intended for areas with a large
primary PM2.5 contribution (that is, directly emitted rather
than formed chemically over time), and relying on local primary PM
controls to reach attainment. EPA Guidance, p.100. By contrast, the
attainment demonstration in the 2008 p.m.2.5 Plan mainly relies on
area-wide control of NOX, a PM2.5 precursor,
rather than on control of local primary PM2.5.
Comment: Earthjustice comments that air quality worsened after 2005
despite the economic downturn, so that new air quality modeling should
be performed to account for this upward trend.
Response: EPA did review the evaluation of air quality progress
presented in the Plan and also independently examined air quality data.
See 2011 Proposal TSD, p.6 and p.45. Air quality monitoring data is
useful for a general understanding of the SJV's air quality problem, as
well as for use in supplemental analyses that accompany the modeled
attainment demonstration. Downward trending emissions and ambient
concentrations would tend to support the conclusion that the area is on
track toward attainment of the NAAQS, although evaluation of such
trends should account for the particular location, time period, and air
quality metric examined. In addition, overall trends may be hard
[[Page 69901]]
to discern given the year-to-year variability of meteorology and other
factors.
The Plan used the data that was available at the time it was
developed, focusing on 2001-2006, for which the Plan's Weight of
Evidence analysis makes a strong case for air quality progress
according to several metrics, including design value concentrations,
frequency of high concentrations, concentration of PM2.5
component species, and emissions. We conclude that these analyses
adequately support the attainment demonstration. EPA also looked at a
longer period, 2000-2010, and found that the slight PM2.5
concentration increase shown in the Plan for 2006 continued through
2008 and flattened in 2009. Although PM2.5 concentrations
continued to improve in 2010, the Bakersfield area's annual and 24-hour
PM2.5 design values calculated from 2008-2010 data were the
highest in the U.S. See 76 FR 41338, 41339. We note, however, that data
over the longer time frame shows there has been substantial air quality
progress over the past decade. See TSD, section I.B.1.
The concentration increases during 2006-2009 are not well
understood but may have been partly a result of unfavorable meteorology
during that time. District and CARB efforts to evaluate the effect of
meteorology on air quality trends are under way. The higher values
during that period do weaken the case made in the Plan's Weight of
Evidence analysis, which is a supplemental analysis to the attainment
demonstration itself, but are not themselves grounds for disapproving
the attainment demonstration or the Plan.
Comment: Citing 40 CFR 51.1000 and 72 FR at 20600, Earthjustice
asserts that attainment of the PM2.5 NAAQS by April 5, 2015
will require review of ambient data from 2012, 2013, and 2014.
Earthjustice also asserts that the majority of emissions reductions in
the Plan are delayed until 2014 and argues that modeling ambient
concentration in 2014 does not provide an accurate picture of what
emissions will be in 2012 and 2013. It further states that the modeling
year must be adjusted to give a more reasonable prediction of what a 3-
year average concentration from 2012-2014 will be since it is this
concentration that will determine if the Valley has attained the
PM2.5 standards by the attainment date. Finally,
Earthjustice asserts that the fact that the majority of reductions are
in 2014 violates the reasonable further progress requirement.
Response: We disagree with Earthjustice's assertion that the Plan
delays the majority of emissions reductions until 2014 and therefore
fails to satisfy RFP requirements. As explained in our amended proposal
(76 FR 41338 at 41355-41357) and further in section II.H. of the TSD,
the majority of the reductions needed for attainment occur well before
2014. The Plan's RFP demonstration shows that more than 87 percent of
the NOX, 80 percent of the PM2.5 and all the
SOX reductions needed for attainment will occur by 2012. See
2011 Progress Report, Appendix C, p. 1. We explain further in section
II.H. of the TSD our reasons for concluding that the 2008
PM2.5 SIP provides for RFP consistent with the CAA and the
PM2.5 implementation rule.\19\ We also explain in section
II.D. our reasons for concluding that the Plan demonstrates that all
control measures needed for attainment of the 1997 PM2.5
standards will be in place as expeditiously as practicable and no later
than the beginning of 2014, consistent with the CAA and 40 CFR
51.1007(b) (requiring ``implementation of all control measures needed
for attainment as expeditiously as practicable, but no later than the
beginning of the year prior to the attainment date''). See section
II.G. and II.D. of the TSD.
---------------------------------------------------------------------------
\19\ Clean Air Fine Particulate Implementation Rule, 72 FR 20586
(April 25, 2007), codified at 40 CFR part 51, subpart Z
``PM2.5 implementation rule.''
---------------------------------------------------------------------------
We also concluded that the attainment demonstration in the Plan was
developed consistent with procedures in EPA's modeling guidance. In
addition, to a degree the modeling procedures already reflect the
expected continuing emissions decreases during the years before the
attainment year. The monitored base year design value reflects an
emissions decrease over the three years of 2004-2006, not just the
single 2005 emissions year. The projected design value reflects a
modeled change to that monitored design value, so it too is consistent
with some decreases occurring over multiple years, not just the single
year of 2014.
Finally, we note that Earthjustice conflates the requirements
governing EPA's action on an attainment demonstration under CAA section
172(c)(1) with those governing an attainment determination under CAA
section 179(c). Earthjustice appears to assume that a demonstration of
attainment by April 5, 2015, requires a demonstration that the area
will have air quality measurements at or below the levels of the
standards three years prior to that date. This is incorrect. An
attainment determination under CAA 179(c) is a fact-based determination
made after the attainment date based on air quality monitoring
data.\20\ An attainment demonstration, on the other hand, is a
predictive tool for assessing what air quality will be at a future
time. An attainment demonstration is based on air quality modeling
showing that the projected design value of the relevant pollutant in
attainment year will be at or below the level of the relevant ambient
air quality standard. See 72 FR from 20605 to 20609.
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\20\ A determination of attainment of the 1997 annual
PM2.5 standard is based on monitoring data that shows a
3-year average of annual mean PM2.5 concentrations of
less than 15 microgram per cubic meter ([mu]/m\3\), and a
determination of the attainment of the 1997 24-hour PM2.5
standard is based on monitoring data that shows the 3-year average
of 98th percentile 24-hour concentrations is less than 65 [mu]/m\3\.
See 40 CFR 50.7.
---------------------------------------------------------------------------
Additionally, for a PM2.5 nonattainment area subject
only to the requirements of subpart 1 of title I, part D of the CAA, a
State may demonstrate that in the attainment year, the area will have
air quality such that the area could be eligible for the first of two
one-year extensions allowed under CAA section 172(a)(2)(C). Under CAA
section 172(a)(2)(C), an area that does not have three years of
monitored data demonstrating attainment of the PM2.5 NAAQS
but has complied with all requirements and commitments pertaining to
the area in the applicable SIP, and that has no more than minimal
number of exceedances of the NAAQS in the attainment year, may receive
a one-year extension of its attainment date. If the same conditions are
met in the following year, the area may receive an additional one-year
extension. Should the SJV area qualify for both of these extensions,
the relevant 3-year period for determining whether the area has
attained the PM2.5 NAAQS would be 2014-2016.\21\
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\21\ EPA has long interpreted analogous provisions for ozone
nonattainment areas in CAA sections 181(a)(5) and 182(c)(2) in this
same manner. See Brief of Respondents, EPA, in Sierra Club, et al.
v. U.S. EPA, et al., Case Nos. 10-71457 and 10-71458 (consolidated),
May 5, 2011; see also Environmental Defense v. U.S .EPA, 369 F.3d
193 (2nd Cir. 2004) (denying petition for review of EPA's approval
of New York's 1-hour ozone attainment plan based on, inter alia,
EPA's reasonable interpretation of the extension provision in CAA
section 181(a)(5)).
---------------------------------------------------------------------------
Comment: Earthjustice comments that given the problems it has
described with the air quality modeling, the 9:1 NOX to
PM2.5 relative effectiveness ratio cannot be used for
transportation conformity or other purposes, unless it is supported
with new modeling.
Response: EPA does not agree with Earthjustice that the modeling
problems are substantial enough to invalidate the 9:1 ratio for
NOX to direct PM2.5 emissions trading in the
transportation
[[Page 69902]]
conformity context. As discussed above, EPA believes that the modeling
is basically sound, including the model's (relative) sensitivity to
emissions changes. There is no established method for determining
trading ratios in conformity, but as discussed in the 2011 Proposal TSD
(p.148), EPA finds that the model sensitivity-based method used by CARB
for determining an equivalency or relative effectiveness ratio is
adequate for assessing the effect of area-wide emissions changes, such
as are used in conformity budgets. The method modeled ``across the
board'' emissions changes over the entire modeling domain; emissions
considered in transportation conformity are also domain-wide. Trading
in other contexts could involve additional consideration of spatial and
temporal variation of the emissions, and would require an additional
technical demonstration by the State and evaluation by EPA. EPA is not
approving the trading ratio for any other purpose than in conformity
budgets.
C. Comments on the Identification of PM2.5 Attainment Plan
Precursors
Comment: Earthjustice comments that EPA should rely on the November
2010 proposal's technical demonstration that VOC should be considered a
PM2.5 plan precursor and should disapprove the Plan for its
failure to address control of VOC emissions. The commenter states that
EPA reversed its earlier VOC finding without receiving any new credible
evidence on the issue.
Response: The PM2.5 implementation rule establishes a
presumption that VOC is not a PM2.5 plan precursor requiring
controls. See 40 CFR 51.1002(c)(3). This presumption may be overturned
if either EPA or the State provides an appropriate technical
demonstration showing that VOC emissions from sources in the State
significantly contribute to PM2.5 concentrations in the
nonattainment area. See 40 CFR 51.1002(c)(3)(i) and (ii). The preamble
to the implementation rule suggests various analyses that could be part
of such a demonstration, such as emissions inventory, speciation data,
modeling information, or other special studies. But the preamble is not
prescriptive on required technical demonstrations, and neither the
preamble nor the rule defines ``significantly.'' Under the rule,
excluding VOC as an attainment plan precursor does not require a
showing that VOC controls are ineffective or counterproductive. Rather,
since VOC is already excluded by presumption, the lack of a clear
showing that VOC controls are effective is sufficient for it to remain
excluded.
For the November 2011 proposal, EPA reviewed various monitoring and
modeling studies on the role of VOC as a PM2.5 precursor in
the SJV. EPA proposed to find that these studies constitute a technical
demonstration that VOC is a PM2.5 attainment plan precursor,
and used that as a basis to propose disapproval of the Plan, which
lacks VOC controls.
Earthjustice correctly notes that CARB did not submit any new study
results per se in response to our 2010 proposal but rather
reinterpretation of the same modeling studies that EPA had already
examined. For the 2011 proposal, EPA reviewed and accepted several of
CARB's arguments made in its VOC supplement.\22\ CARB noted the
importance of considering simultaneous VOC and NOX
reductions, a more realistic scenario than VOC-only or NOX-
only reductions, given the various controls that are already in place
for the ozone plan. The only study to consider simultaneous reductions
found a disbenefit from VOC control, while NOX control
continued to be beneficial. CARB discounted one study that had found
VOC control to be beneficial by noting that it had used artificially
doubled VOC emissions in order to perform reasonably well at predicting
PM2.5. For another study, CARB pointed out some features of
the multi-day model response to VOC reductions that are inconsistent
with the photochemical VOC pathway to PM2.5 formation and
that the benefits from VOC reduction were seen only at high
PM2.5 concentrations that are seldom seen today.
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\22\ Letter, James N. Goldstene, Executive Officer, CARB, to
Frances Wicher, Office of Air Planning, EPA Region 9, January 28,
2011, Attachment 4, ``Air Resources Board comments on U.S. EPA's
November 30, 2010 proposal that VOC be considered a significant
PM2.5 Precursor for the San Joaquin Valley 2008
PM2.5 State Implementation Plan (SIP).'' (``CARB VOC
supplement'').
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EPA found these arguments persuasive enough to raise questions
about the efficacy of VOC controls for reducing PM2.5 levels
in the SJV. Even setting aside the concern that VOC control could
worsen PM2.5 concentrations in some circumstances, EPA finds
that the evidence of the effectiveness of VOC controls is at this time
not clear enough to overcome the presumption in the PM2.5
implementation rule that VOC should not be an attainment plan
precursor. However, EPA also believes it is important that reductions
of VOC, ammonia, and other PM2.5 precursors be more
thoroughly explored with realistic model sensitivity and other analyses
as part of future modeling efforts in the SJV.
In its comment letter, Earthjustice also included additional
information in favor of VOC as a precursor. We have reviewed this
information (which mainly duplicates information EPA has already
reviewed) and concluded that it does not provide sufficient grounds to
reverse the presumption that VOC is not a PM2.5 attainment
plan precursor in the SJV. Our complete analysis of Earthjustice's
information can be found in the response to comments section (section
III.D.) of the TSD.
D. Comments on the Proposed Action on the Reasonably Available Control
Measures/Reasonably Available Control Technology Demonstration
Comment: Earthjustice asserts that EPA must disapprove the Plan's
RACM/RACT demonstration because many of the rules that the District and
CARB rely on have not been approved as satisfying RACT requirements.
Earthjustice also states that the demonstration fails to address VOC
controls or to provide adequate air quality modeling documentation.
Finally, Earthjustice asserts that several of the rules intended to
provide the majority of NOX and PM reductions from
stationary sources in the Valley were adopted with substantially
weakened controls from what was anticipated during plan development and
will now provide only a fraction of what is needed to bring the area
into attainment by 2014.
Response: Section 172(c)(1) of the CAA requires that each
attainment plan ``provide for the implementation of all reasonably
available control measures as expeditiously as practicable (including
such reductions in emissions from existing sources in the area as may
be obtained through the adoption, at a minimum, of reasonably available
control technology), and shall provide for attainment of the national
primary ambient air quality standards.'' For over 30 years, EPA has
consistently interpreted this provision to require that States adopt
only those ``reasonably available'' measures necessary for expeditious
attainment and to meet RFP requirements. 40 CFR 51.1010; see also 44 FR
20372 (April 4, 1979) (Part D of title I of the CAA ``does not require
that all sources apply RACM if less than all RACM will suffice for
[RFP] and attainment''); 57 FR 13498 at 13560 (April 16, 1992) (``where
measures that might in fact be available for implementation in the
nonattainment area could not be implemented on a schedule that would
advance the date for attainment in the area, EPA would not consider it
reasonable to require
[[Page 69903]]
implementation of such measures''); ``Guidance on the Reasonably
Available Control Measures (RACM) Requirement and Attainment
Demonstration Submissions for Ozone Nonattainment Areas,'' November 30,
1999 (1999 Seitz Memo) (a State may justify rejection of a measure as
not ``reasonably available'' for that area based on technological or
economic grounds); and 70 FR 71612 (November 29, 2005) at 71661 (noting
that States ``need adopt measures only if they are both economically
and technologically feasible and will advance the attainment date or
are necessary for RFP''). EPA's interpretation of section 172(c)(1) has
been upheld by several courts. See, e.g., Sierra Club v. EPA, et al.,
294 F. 3d 155 (DC Cir. 2002); Sierra Club v. EPA, 314 F.3d 735 (5th
Cir. 2002).
Under the PM2.5 implementation rule at 40 CFR 51.1010, a
RACM demonstration must include ``the list of the potential measures
considered by the State, and information and analysis sufficient to
support the State's judgment that it has adopted all RACM, including
RACT.'' 40 CFR 51.1010(a). In addition, ``[p]otential measures that are
reasonably available considering technical and economic feasibility
must be adopted as RACM if, considered collectively, they would advance
the attainment date by one year or more.'' As explained in the preamble
to the PM2.5 implementation rule, Congress provided EPA and
States broad discretion to determine what measures to include in an
attainment plan, and the language in section 172(c)(1) requiring only
``reasonably available'' measures and implementation of these measures
``as expeditiously as practicable'' indicates that Congress intended
for the RACT/RACM requirement to be driven by an overall requirement
that the measure be ``reasonable.'' 72 FR 20586 at 20610 (April 25,
2007). Thus, the rule of ``reason'' drives the decisions on what
controls to apply, what should be controlled, by when emissions must be
reduced, and finally, the rigor required in a State's RACT/RACM
analysis. See id. States may, as part of a RACM analysis, consider the
costs of potential control measures and whether the measures can be
readily and effectively implemented without undue administrative
burden. See id. (citing 55 FR 38327 and 66 FR 26969).
As a threshold matter, we note that VOC controls are not a required
element of the RACM demonstration in the 2008 PM2.5 Plan
because EPA agrees with the State's determination that VOCs are not
attainment plan precursors for purposes of the 1997 PM2.5
NAAQS in the SJV area. See 76 FR at 41343 (citing 40 CFR 51.1002(c) and
51.1010) and our responses to comments on attainment plan precursors,
in section II.C. above.
Second, as to air quality modeling documentation, we explain in
section II.B. above in our responses to comments on the air quality
modeling our reasons for concluding that the modeling in the 2008
PM2.5 Plan adequately supports the Plan's RACM and
attainment demonstration.
Third, as to Earthjustice's assertions about RACT, we note that
although CAA section 182(b)(2) requires States to implement RACT for
specific types of sources in ozone nonattainment areas classified as
moderate or above, there is no specific RACT control mandate for
PM2.5 purposes that applies to specific sources in
PM2.5 nonattainment areas. Rather, under the
PM2.5 implementation rule, RACT and RACM are those measures
that a state finds are both reasonably available and contribute to
attainment as expeditiously as practicable in the specific
nonattainment area. See 76 FR at 41343 (citing 40 CFR 51.1010 and 72 FR
20586 at 20612). EPA has, therefore, evaluated the collection of
reasonably available control measures that CARB and the District have
adopted and submitted with the attainment demonstration in the 2008
PM2.5 Plan to meet the RACM/RACT requirement in CAA section
172(c)(1) and 40 CFR 51.1010. See 76 FR 41338 at 41343-41346 and 2011
Proposal TSD at section II.D.
Finally, as to the specific NOX and PM control options
that Earthjustice asserts should also be required as RACM, we have
considered whether these additional control options are reasonably
available for implementation in SJV considering technical and economic
feasibility, and as to those measures that are potentially reasonable,
whether they would considered collectively would advance the attainment
date in the SJV by one year or more. For the reasons discussed below,
we conclude that the control options identified by Earthjustice are not
required RACM for purposes of the 1997 PM2.5 NAAQS in the
SJV area.
Comment: Earthjustice states that EPA should not approve Rule 4692
(Commercial Charbroiling) as RACT because there is no justification for
the District's decision to exclude control requirements for under-fired
charbroilers (UFC) from the rule. In support of this assertion,
Earthjustice states, among other things, that: (1) SJVUAPCD had
initially found certain control options for UFC units to be cost-
effective and that its later revisions to these cost estimates in
response to comments were based on inappropriate criteria, such as its
``10 percent of the industry's profits'' test; (2) that BAAQMD's
adoption of UFC cont