Approval of Air Quality Implementation Plans; California; South Coast; Attainment Plan for 1997 PM2.5, 69928-69955 [2011-27620]
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Federal Register / Vol. 76, No. 217 / Wednesday, November 9, 2011 / Rules and Regulations
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R09–OAR–2009–0366; FRL–9482–9]
Approval of Air Quality Implementation
Plans; California; South Coast;
Attainment Plan for 1997 PM2.5
Standards
U.S. 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 Los AngelesSouth Coast area (South Coast). These
SIP revisions are the South Coast 2007
Air Quality Management Plan (South
Coast 2007 AQMP) (revised 2011) and
South Coast-related provisions of the
2007 State Strategy (revised 2009 and
2011). EPA is approving the emissions
inventory; reasonably available control
measures/reasonably available control
technology demonstration; the
reasonable further progress and
attainment demonstrations 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 South Coast
to April 5, 2015 and approving
commitments to measures and
reductions by the South Coast Air
Quality Management District and the
California Air Resources Board. Finally,
we are disapproving the SIP’s
contingency measures and issuing a
protective finding under 40 CFR
93.120(a)(3), and we are rejecting the
assignment of 10 tons per day (tpd) of
nitrogen oxide (NOX) reductions to the
federal government.
DATES: Effective Date: This rule is
effective on January 9, 2012.
ADDRESSES: EPA has established docket
number EPA–R09–OAR–2009–0366 for
this action. The index to the docket is
available electronically at https://
www.regulations.gov and in hard copy
at EPA Region IX, 75 Hawthorne Street,
San Francisco, California. While all
documents in the docket are listed in
the index, some information may be
publicly available only at the hard copy
location (e.g., copyrighted material), and
some may not be publicly available in
either location (e.g., CBI). To inspect the
hard copy materials, please schedule an
appointment during normal business
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SUMMARY:
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hours with the contact listed in the FOR
section.
Copies of the SIP materials are also
available for inspection in the following
locations:
• California Air Resources Board,
1001 I Street, Sacramento, CA 95812
• South Coast Air Quality.
Management District, 21865 E. Copley
Drive, Diamond Bar, CA 91765.
The SIP materials are also
electronically available at https://
www.aqmd.gov/aqmp/07aqmp/
index.html and https://www.arb.ca.gov/
planning/sip/2007sip/2007sip.htm.
FOR FURTHER INFORMATION CONTACT:
Wienke Tax, Air Planning Office (AIR–
2), U.S. Environmental Protection
Agency, Region IX, (415) 947–4192,
tax.wienke@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document, ‘‘we,’’ ‘‘us’’
and ‘‘our’’ refer to EPA.
FURTHER INFORMATION CONTACT
Table of Contents
I. Summary of EPA’s Proposed and Final
Actions on the 2007 State
Implementation Plan for Attainment of
the 1997 PM2.5 Standards in the South
Coast Nonattainment Area
II. Summary of Public Comments Received
on the Proposals and EPA Responses
III. Approval Status of the Control Strategy
Measures and Enforceable Emissions
Reduction Commitments
IV. Approval of Motor Vehicle Emissions
Budgets
V. Final Actions and Clean Air Act
Consequences
VI. Statutory and Executive Order Reviews
I. Summary of EPA’s Proposed and
Final Actions on the 2007 State
Implementation Plan for Attainment of
the 1997 PM2.5 Standards in the South
Coast Nonattainment Area
On July 14, 2011 (76 FR 41562), 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 Los Angeles-South
Coast Air Basin Area (South Coast).1
California developed this SIP to provide
for expeditious attainment of the PM2.5
standards in the South Coast and to
meet other applicable PM2.5 planning
requirements in Clean Air Act (CAA)
section 172(c) and EPA’s PM2.5
implementation rule.2
1 The area referred to as ‘‘Los Angeles-South
Coast Air Basin’’ (South Coast Air Basin or ‘‘South
Coast’’) includes Orange County, the southwestern
two-thirds of Los Angeles County, southwestern
San Bernardino County, and western Riverside
County. For a precise description of the boundaries
of the Los Angeles-South Coast Air Basin, see 40
CFR 81.305.
2 ‘‘The Clean Air Fine Particle Implementation
Rule for the 1997 PM2.5 NAAQS,’’ 72 FR 20586
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In all, California has made six
submittals to address these PM2.5 SIP
planning requirements for the South
Coast. The two principal ones are the
South Coast Air Quality Management
District (SCAQMD or District) Final
2007 South Coast Air Quality
Management Plan (AQMP) (amended
2011) and the California Air Resources
Board (CARB) Final 2007 State and
Federal Strategy (2007 State Strategy)
(amended 2009 and 2011).3 Together,
the South Coast 2007 AQMP and the
2007 State Strategy present a
comprehensive and innovative strategy
for attaining the 1997 PM2.5 standards in
the South Coast.
In our July 2011 notice, we proposed
multiple approval actions on the South
Coast 2007 AQMP. First, we proposed to
approve the SIP’s base year emissions
inventory, the reasonably available
control measure (RACM)/reasonably
available control technology (RACT)
demonstration, the reasonable further
progress (RFP) and attainment
demonstrations and associated air
quality modeling, and related motor
vehicle emissions budgets (budgets).4
(April 25, 2007) and codified at 40 CFR part 51,
subpart Z (PM2.5 implementation rule).
3 These SIP submittals are:
1. SCAQMD, Final 2007 Air Quality Management
Plan (AQMP), adopted on June 1, 2007 by the
SCAQMD and September 27, 2007 by CARB,
submitted on November 28, 2007.
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. 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.’’
5. SCAQMD, Revisions to the 2007 PM2.5 and
Ozone State Implementation Plans for the South
Coast Air Basin and Coachella Valley (SIP
Revisions), adopted on March 4, 2011 by the
SCAQMD Governing Board and approved by the
CARB Board on April 28, 2011 and submitted on
May 19, 2011.
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, (South Coast PM2.5 SIP
MVEBs only) adopted on July 21, 2011 by CARB
and submitted on July 29, 2011. (2011 Ozone SIP
Revision). Only the PM2.5 motor vehicle emissions
budgets in this submittal are addressed in today’s
action.
4 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. In lieu of
these budgets, we proposed to approve alternative
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Second, we proposed to approve
enforceable commitments by both the
District and CARB to certain measures
and specific amounts of emissions
reductions. Third, we also proposed to
concur with the State’s determination
that NOX, sulfur oxides (SOX), and
volatile organic compounds (VOC) are,
and ammonia is not, attainment plan
precursors for attainment of the 1997
PM2.5 NAAQS in the South Coast
nonattainment area. Fourth, we
proposed to grant California’s request to
extend the attainment date for the South
Coast PM2.5 nonattainment area to April
5, 2015. See 76 FR 41562.
We also proposed to disapprove the
contingency measure provisions of the
South Coast 2007 AQMP as failing to
meet the requirements of the CAA as
interpreted in EPA guidance. In
addition, we noted that we were
rejecting the assignment of 10 tpd of
NOX emissions to the federal
government.
A more detailed discussion of each of
California’s SIP submittals for the South
Coast area, the CAA and EPA
requirements applicable to them, and
our evaluation and proposed actions,
can be found in the July 14, 2011
Federal Register notice 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 South Coast 2007 AQMP
to address attainment of the 1997 PM2.5
NAAQS. On November 22, 2010, (75 FR
71294) rule, 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 that
comment period, CARB adopted and
submitted revisions to the South Coast
2007 AQMP 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. As part of our final
action, EPA has considered and
budgets that CARB had developed and posted for
public comment as part of its 2011 Ozone SIP
Revision 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.
5 ‘‘Final Technical Support Document and
Response to Comments, Final Rulemaking Action
on the South Coast 2007 AQMP for PM2.5 and the
South Coast Portions of the Revised 2007 State
Strategy,’’ 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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provided responses to all significant
comments submitted in response to both
the November 2010 and the July 2011
proposals.
EPA is today approving most
elements of the South Coast 2007 AQMP
based on our conclusion that they
comply with applicable CAA
requirements and provide for
expeditious attainment of the 1997
PM2.5 standards in the South Coast
nonattainment area. We are also today
disapproving the SIP’s contingency
measure provisions because they do not
provide sufficient emissions reductions.
We are continuing to work with the
State and District to identify additional
control measures and programs that
meet the CAA’s requirements for
contingency measures consistent with
EPA regulations and policy.
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Lawrence J. Joseph, on behalf of the
American Road and Transportation
Builders Association (ARTBA),
submitted comments on our July
amended proposal.
Robin Hall, private citizen, submitted
comments on our November proposal.
A. Comments on Proposed Approval of
the Emissions Inventory
II. Summary of Public Comments
Received on the Proposals and EPA
Responses
As part of our final action, EPA has
considered and provided responses to
all significant comments submitted in
response to both the November 2010
and the July 2011 proposals.
We received eleven comment letters
in response to our November 22, 2010
proposal and July 14, 2011
supplemental proposal. In the following
sections, we summarize our responses
to the most significant comments that
we received on the proposals. Our full
responses to all the comments received
can be found in the ‘‘Response to
Comments’’ section of the TSD
accompanying today’s rulemaking.
We received comments on both
proposals from the Natural Resources
Defense Council (NRDC) representing
various organizations.
We received letters on both proposals
from Communities for a Better
Environment (CBE) representing various
organizations.
We received comment letters on both
proposals from the South Coast Air
Quality Management District.
We received comments from CARB on
our November proposal.6
We received comments from Kirk
Marckwald, California Environmental
Associates, on behalf of the Association
of American Railroads, on our
November proposal.
Michael W. Lewis, Construction
Industry Air Quality Coalition (CIAQC),
on behalf of a number of its members,
submitted comments on our July
amended proposal.
Comment: NRDC comments that EPA
proposes to approve the inventories in
the South Coast 2007 AQMP because
they were current and accurate ‘‘at the
time the Plan was developed and
submitted,’’ citing 76 FR 41567. NRDC
argues that such language is not in the
CAA and the addition is not a
reasonable extension of Congress’s
intent. NRDC argues that Congress did
not mean for EPA to rely on inventory
data that EPA knew to be incorrect on
the basis that the data was thought to be
accurate at the time it was submitted
because Congress’ goal is to ensure the
adoption and approval of SIPs that will
achieve clean air. NRDC notes that
section 172(c)(3) expressly envisions
that EPA may require revisions to the
inventory ‘‘to assure that the
requirements of this part are met.’’
EPA’s interpretation would suggest that
the only time such revisions are needed
is when it is found that the inventory is
not current or accurate as of the date it
is submitted and this would undermine
any assurance that ‘‘the requirements of
[Part D] are met.’’
Response: EPA does not dispute the
importance of emissions inventories.
We evaluated the emissions inventories
in the 2007 AQMP 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 South Coast 2007 AQMP’s base year
emissions inventory was based on the
most current and accurate information
available to the State and District at the
time that it was developed and
submitted and comprehensively
addresses all source categories in the
South Coast area, consistent with
applicable CAA requirements and EPA
guidance. See 76 FR 41562 at 41566–
41567 and July 2011 TSD 7 at section
II.A.; 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’’).
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.
7 ‘‘Technical Support Document for the Revised
Proposed Rulemaking Action on the South Coast
2007 AQMP for PM2.5 and the South Coast Portions
of the 2007 State Strategy,’’ Air Division, U.S. EPA,
Region 9, June 29, 2011, ‘‘July 2011 TSD.’’
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We do not agree with NRDC’s
suggestion that this inventory
undermines the attainment
demonstration in the Plan. To the
contrary, as discussed in the proposed
rule (76 FR 41562, 41567) and in section
II.B. below, we have concluded that the
State’s changes to its methodologies for
estimating future 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.
Although significant changes to a base
year inventory that undermine the
assumptions in an attainment
demonstration may call for a more
comprehensive reevaluation of the
modeling and other planning analyses
supporting that demonstration, we
conclude based on our technical
assessment that such a comprehensive
reevaluation is not necessary in this
case. 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
improvement 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.
As we stated in our proposal, since
late 2007, California has experienced an
economic recession that has greatly
reduced current levels of economic
activity in the State’s construction and
goods movement sectors. The recession
has resulted in lowered projected future
levels of activity in this sector. 2011
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Progress Report, Appendix E. As a
result, projected emission levels from
these categories are now substantially
lower than the levels projected for 2008
and later in the Plan as submitted in
2007. At this time, California is
addressing these recession impacts on
future economic activity through
adjustments to the baseline inventories
for specific source categories. See 2011
Progress Report, Appendix E, page 2.
There are no recession-related
adjustments to the 2002 base year
inventory in the South Coast 2007
AQMP. CARB also made technical
changes to the inventories for diesel
trucks, buses, and certain categories of
off-road mobile source engines as part of
its December 2010 rulemaking
amending the In-Use On-Road Truck
and Bus Rule and the In-Use Off-Road
Engine rule.8 Id. The State estimates that
these changes collectively reduce the
2002 base year total inventory in the
South Coast by 4 percent for NOX and
5 percent for PM2.5. See 76 FR 41562, at
41567.
Comment: NRDC questions EPA’s
calculations that estimated the
emissions changes to the 2002 base year
inventory (see 76 FR 41562, at 41567),
noting that EPA’s calculations come
from a May 18, 2011 letter from CARB
providing supplemental information.
NRDC then asserts that these numbers
do not match with statements in staff
reports on the diesel rules; however,
NRDC does not provide the statements
or data from the staff reports.
Response: As NRDC noted, EPA
calculated the change in the 2002 base
year emission inventory based on
information provided in the 2011
Progress Report Supplement,
transmitted by CARB on May 18, 2011.
We took the difference between the
‘‘SIP’’ estimate and the ‘‘Current
Estimate’’ columns in Attachment 1,
Table SC–2002, to the May 18 letter and
divided by the ‘‘SIP’’ estimate to
calculate the percent change in the
inventories. We explain these
calculations in our TSD in Section II.A.
B. Comments on Credit for Baseline
Measures
Comment: NRDC asserts that EPA’s
proposed rule and TSD fail to clearly
and accurately account for the measures
that contribute to specific emission
8 CARB revised population, regional allocation
factors, lifetime odometer assumptions, growth
rates, and forecasted vehicle age distributions for
heavy duty truck and buses, and updated
equipment population, activity, load factors, and
future equipment sales for construction equipment,
based on updated information. See https://www.arb.
ca.govregact/2010/truckbus10/truckbus10.htm and
https://www.arb.ca.govregact/2010/offroadlsi10/
offroadlsi10.htm.
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reductions, such as the Federal, state,
and district rules adopted before
October 2006 (‘‘baseline measures’’) that
are incorporated into the baseline
inventory. NRDC argues that California
and SCAQMD must have the data
related to these emission reduction
estimates, which are critical to the
integrity of the Plan, and that an EPA
approval of the emissions inventories in
the absence of this data would be
arbitrary and capricious. NRDC also
argues that this ‘‘gap in data’’ is made
more problematic by the fact that EPA
does not require California’s mobile
source control measures that have
received a waiver of preemption under
CAA section 209 (‘‘waiver measures’’) to
be approved into the SIP.
Response: As to the commenter’s
assertion about the ‘‘gap in data’’
regarding baseline measures and
projected baseline inventories, we
disagree that there is any inadequacy in
the emissions projections that
undermines the RACM, RFP or
attainment demonstrations in the South
Coast 2007 AQMP and 2007 State
Strategy. We explained in our amended
proposal (76 FR 41562 at 41566–41567)
our reasons for concluding both that the
2002 base year inventory in the South
Coast 2007 AQMP 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 July 14, 2011 proposal (76 FR
41562), we explained why we believe
such credit is appropriate. See TSD at
section II.F.4.a.i (pp. 97–100).
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
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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.)
The South Coast 2007 AQMP 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 and prior to the release
of MOVES made through the use of the
MOBILE model. All other states use the
MOVES 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.,
agricultural, construction, lawn and
garden and off-road recreation
equipment) are estimated through use of
CARB’s OFFROAD emissions factor
model.9 (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
9 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.
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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.
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 Emission
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.10 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. The South Coast 2007 AQMP
describes how the District developed
the future baseline inventories in the
plan, based in part on the emissions
data and baseline projections provided
by CARB and other California agencies.
See generally South Coast 2007 AQMP,
Appendix III. The District’s projections
took into account the controls
implemented under SCAQMD rules
adopted as of June 2006, most CARB
regulations adopted by June 2005, and
a specific set of growth rates from the
Southern California Association of
Governments (SCAG) for population,
industry, and motor vehicle activity,
among other factors. See id. at 2–3. 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 heavyduty 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,
10 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; see also South Coast 2007 AQMP, Appendix III
at pp. 1–9 through 1–15 (describing the SCAQMD’s
and CARB’s methodologies for developing 2002
base year emissions estimates for stationary point
and area sources).
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State, and local controls were consistent
with EPA guidance on developing
projected baseline inventories. See 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; ‘‘Emission Projections,’’ STAPPA/
ALAPCO/EPA Emission Inventory
Improvement Project, Volume X,
December 1999 (available at https://
www.epa.gov/ttnchie1/eiip/techreport/
volume10/x01.pdf).
In sum, the 2002 base year and future
projected baseline inventories in the
South Coast 2007 AQMP were prepared
using a sophisticated set of CARB and
SCAQMD 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 EPA-approved
California motor vehicle emissions
factor model (EMFAC2007) and the
most recent motor vehicle activity data
from SCAG; (2) improved
methodologies for estimating emissions
from specific source categories; and (3)
CARB’s non-road mobile source model
(the OFFROAD model). See TSD at
Section II.A (referencing, inter alia,
South Coast 2007 AQMP at Appendix III
and 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 South Coast are
inadequate to support the RACM, RFP,
and attainment demonstrations in the
South Coast 2007 AQMP.
For all of these reasons and as
discussed in our amended proposal (76
FR 41562 at 41566–41567), we have
concluded that the 2002 base year
inventory in the South Coast 2007
AQMP is a ‘‘comprehensive, accurate,
current inventory of actual emissions
from all sources of the relevant
pollutant or pollutants’’ in the South
Coast area, consistent with the
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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 TSD at section II.A.
C. Comments on PM2.5 Plan Precursors
Comment: NRDC commented that our
proposed rule does not adequately
explain why ammonia (NH3) is not a
precursor for PM2.5 formation.
Response: Under the PM2.5
implementation rule, ammonia is not a
PM2.5 plan precursor unless either EPA
or the State provides an appropriate
technical demonstration showing that
ammonia emissions from sources in the
State significantly contribute to PM2.5
concentrations in the nonattainment
area. See 40 CFR 51.1002(c)(4). Absent
such a technical demonstration, the
State is not required to address
ammonia in its PM2.5 attainment plan or
to evaluate sources of ammonia
emissions in the State for control
measures.
Comment: Communities for a Better
Environment (CBE) asserts that methane
is a reactive VOC, a smog precursor, and
a potent greenhouse gas (GHG), and that
EPA should require the SCAQMD to
revise its definition of VOC in Rule 102
to remove the exemption for methane.
In support of these assertions, CBE
states that: (1) A 2002 Harvard
University modeling study 11 concludes
that methane reductions could be highly
effective in reducing ambient ozone
levels; (2) SCAQMD’s draft 2007 AQMP
identified significantly larger amounts
of Total Organic Gases (TOG) including
methane from refineries than VOC
emissions (10.1 tons per day (tpd) of
TOG versus 6 tpd of VOC); (3) the
District should require control of all
organic gases from oil refineries; and (4)
the District should also review its list of
other TOG compounds that are exempt
from regulation. CBE contends that
regulation of methane is a reasonably
available control measure that should be
required because additional VOC
reductions are needed to satisfy RACT/
RACM requirements.
Response: The SCAQMD’s definition
of VOC in Rule 102 is consistent with
EPA’s definition of VOC in 40 CFR
11 Fiore, et al, Harvard University, Linking ozone
pollution and climate change: The case for
controlling methane, 2002. https://
www.gfdl.noaa.gov/bibliography/related_files/
amf0201.pdf.
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51.100(s), which excludes methane
because it has been determined to have
negligible photochemical reactivity. 40
CFR 51.100(s)(1); see also 62 FR 44900
(August 25, 1997) (final rule revising
definition of VOC to exclude methane
and other compounds). EPA approved
Rule 102 into the SCAQMD portion of
the California SIP on January 8, 2007.
See 72 FR 656. Accordingly, pursuant to
its SIP-approved definition of VOC,
SCAQMD is not required to regulate
methane as a VOC for purposes of
preparing SIPs to attain the NAAQS. To
the extent that CBE intended to
challenge the exclusion of methane from
EPA’s regulatory definition of VOC at 40
CFR 51.100(s), such a challenge is
outside the scope of today’s action on
the PM2.5 attainment plan for the South
Coast area. Likewise, CBE’s assertions
about the effect of methane controls on
ambient ozone levels are also outside
the scope of today’s action, which
addresses the State’s plan for attaining
the 1997 PM2.5 standards.
D. Comments on Reasonably Available
Control Measures (RACM)
Demonstration
Comment: CBE states that EPA should
require the SCAQMD to complete a new
RACM/RACT demonstration including
assessment of all available control
measures for direct emissions of PM2.5
as well as measures for control of
secondary PM2.5 resulting from NOX,
SOX, and VOC emissions. CBE also
provides a list of potential pollution
control and energy efficiency measures
that it asserts should be included ‘‘as
part of a new, broader, and complete
RACM/RACT assessment to
demonstrate attainment expeditiously.’’
Finally, CBE asserts that because the
South Coast 2007 AQMP is several years
old, it is important to reassess and
update the control measures in the plan,
especially given the SCAQMD’s failure
to demonstrate attainment. CBE is also
opposed to what it characterizes as EPA
proposed approval of a commitment by
CARB to propose measures later, as a
lump sum.
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
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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
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
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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 discussed in our July 14, 2011
amended proposal, we have evaluated
the collection of reasonably available
control measures that CARB, the
District, and the Southern California
Association of Governments (SCAG)
have adopted and submitted with the
attainment demonstration in the South
Coast 2007 AQMP and 2007 State
Strategy to meet the RACM/RACT
requirement in CAA section 172(c)(1)
and 40 CFR 51.1010. See 76 FR 41562
at 41568–41572 and TSD at section II.D.
For the reasons discussed in our
amended proposal and as further
discussed below, we conclude that the
South Coast 2007 AQMP and the 2007
State Strategy demonstrate that the State
has adopted all reasonably available
control measures (including RACT for
stationary sources) necessary to
demonstrate attainment as expeditiously
as practicable and to meet any RFP
requirements, as required by CAA
section 172(c)(1) and 40 CFR 51.1010.
Thus, we disagree with CBE’s assertion
that the additional measures it has
identified are required RACM under
CAA section 172(c)(1) for purposes of
the 1997 PM2.5 NAAQS in the South
Coast and or that it is necessary to
reassess or update the control measures
in the plan at this time. We explain
more specifically below our reasons for
concluding that the additional control
options and energy efficiency measures
identified by CBE are not required
RACM for purposes of attaining the
1997 PM2.5 NAAQS in the South Coast.
Comment: CBE objects to what it
characterizes as CARB’s ‘‘promise to
‘propose’ measures later, in a lump
sum,’’ and argues that this provides the
public with no assurance that
attainment will be achieved. CBE asserts
that individual emission reduction
targets should be attached to each
separate measure and they should be
individually required. Finally, CBE
argues that ‘‘[a]lternative control
measures and emissions trading should
not be allowed, because of deficiencies
in the reliability of such programs.’’
Response: We disagree with CBE’s
contention that it is necessary for the
State to commit to individual measures
with specific emission reduction targets
for each measure. For the reasons
discussed in our proposed rule (see 76
FR 41562 at 41575–41577) and further
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below (see responses to comments on
‘‘enforceable commitments’’), we
conclude that CARB and the SCAQMD
have satisfied the criteria that EPA has
historically applied in approving
attainment demonstrations based in part
on enforceable commitments in lieu of
adopted measures. 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 South Coast by April 5,
2015. See 76 FR 41562, at 41571 and
CARB Resolution 07–28 (September 27,
2007, Attachment B, p. 3). As discussed
below in our responses to comments on
‘‘enforceable commitments,’’ the 2011
SIP revisions changed the total amount
of reductions needed from control
strategy measures in 2014 to 44 tpd of
VOC reductions, 129 tpd of NOX
reductions, and 41 tpd of SOX
reductions (the PM2.5 remaining
commitment stayed the same at 9 tpd of
directly-emitted PM2.5). See July 2011
TSD, Table F–10. Although CARB’s
commitment provides that it may adopt
‘‘alternative’’ measures (i.e., measures
different from the potential control
options identified in the South Coast
2007 AQMP or 2007 State Strategy),
ultimately the State is obligated to
achieve these specific aggregate
amounts of emission reductions through
the adoption of enforceable measures no
later than 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). The State’s
commitments to achieve specific
amounts of emission reductions by 2014
are enforceable by EPA and citizens
under CAA sections 113 and 304,
respectively. We note that CARB has
already adopted and submitted to EPA
either for SIP-approval or for a CAA
section 209 waiver most of the measures
it had committed to adopt in the 2007
State Strategy, as revised. See 2011
Progress Report, Appendix B,
Table B–1.
It is unclear what CBE intends by
stating that ‘‘alternative control
measures and emissions trading should
not be allowed’’ because of deficiencies
in their reliability.
Comment: CBE asserts that the South
Coast 2007 AQMP must set Best
Available Retrofit Control Technology
(BARCT) standards for NOX and other
PM2.5 precursor emissions from
industrial boilers and heaters, and that
it should require replacement of old and
severely inefficient equipment at oil
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69933
refineries and other large sources. CBE
also asserts that the SCAQMD’s
Regional Clean Air Incentives Market
(RECLAIM) program does not produce
the emission reductions that are
achievable from industrial boilers and
heaters because it allows sources to buy
and sell credits. CBE contends that a
RACM demonstration should include
evaluation of each industrial boiler and
heater, including its age, the type of fuel
it uses, and its emissions of criteria
pollutants, toxics and GHGs.
Additionally, CBE claims that CARB, as
part of its recent Greenhouse Gas (GHG)
regulatory process under California’s
Assembly Bill 32 (AB32), identified
numerous methods for increasing
energy efficiency, reducing fuel use, and
thus reducing emissions of criteria
pollutants and precursors as well as
GHGs statewide, and that EPA should
require the SCAQMD to carry out the
same evaluation for industrial boilers
and heaters in the South Coast. CBE
contends that such energy efficiency
measures could also save money.
Finally, CBE asserts that Ultra-Low NOX
burners are cost-effective and must be
evaluated as part of a RACM analysis for
industrial boilers and heaters.
Response: The SCAQMD had adopted
two regulations to control NOX
emissions from industrial boilers, steam
generators and process heaters in the
South Coast: Rule 1146.1 (for boilers
with rated heat inputs between 2 and 5
MMBtu/hour) and Rule 1146 (for boilers
with rated heat inputs above 5 MMBtu/
hour, with certain exemptions). EPA has
approved both of these rules into the
SIP. See 67 FR 16640 (April 8, 2002)
and 60 FR 46220 (September 6, 1995).
EPA recently proposed a limited
approval and limited disapproval of
revisions to these rules that further
tighten the NOX emission limits in both
rules. See 76 FR 40303 (July 8, 2011).12
As part of that action, we evaluated the
stringency of the rules’ control
requirements and proposed to conclude
that the rules together require all control
measures that are reasonably available
for covered boilers, steam generators
and process heaters. See id. and
associated technical support documents
12 Our proposed limited disapproval was based
on specific deficiencies in the compliance
provisions in both rules. These enforceability
deficiencies do not alter our proposal to conclude
that the NOX emission limits in the rule, which are
more stringent than the SIP-approved version of the
rule, represent RACT-level controls. See TSDs at
page 3. Note, however, that these measures are not
eligible for SIP credit until EPA approves rule
revisions correcting the enforceability deficiencies
identified in our proposal. We expect the State to
submit, as expeditiously as practicable, rule
revisions to address these deficiencies consistent
with its enforceable emission reduction
commitments. See 76 FR 41562 at 41569, Table 3.
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(TSDs). We also noted that the NOX
emission limits in both rules are
equivalent to California BARCT
standards for these types of boilers,
steam generators and process heaters.
See id. According to the SCAQMD’s
staff report on Rule 1146, most boilers
subject to the rule will have to use
either ultra-low NOX burners or
selective catalytic reduction (SCR)
controls to meet the rule’s emission
limits, depending on the size of the
boiler. See Final Staff Report, Proposed
Amended Rule 1146—Emissions of
Oxides of Nitrogen from Industrial,
Institutional, and Commercial Boilers,
Steam Generators, and Process Heaters,
at ES–1. Boilers with rated heat inputs
above 40 MMBtu/hour located at
refineries are subject to the NOX and
SOX emission caps in SCAQMD’s
RECLAIM program, discussed
immediately below. See email dated
September 22, 2011, from Ken
Mangelsdorf (SCAQMD) to Idalia Perez
(EPA Region 9), re: ‘‘question about
refineries and RECLAIM.’’ These
adopted measures require all RACM for
covered industrial boilers, steam
generators and process heaters in the
South Coast and provide an adequate
basis for approving the RACM
demonstration in the South Coast 2007
AQMP with respect to such emission
units. We therefore disagree with CBE’s
assertion that the SCAQMD is required
to evaluate additional control measures
for industrial boilers and heaters as part
of its RACM demonstration for the 1997
PM2.5 standards.
We also disagree with CBE’s
objections to the inclusion of RECLAIM
as a RACM measure. RECLAIM is a
market incentive program designed to
provide sources flexibility in complying
with emissions limitations. Cap and
trade programs, like RECLAIM, can take
into account emissions control
technology by limiting the size of the
emissions cap. EPA policy provides that
a cap and trade program may satisfy
RACT by ensuring that the level of
emission reductions resulting from
implementation of the program will be
equal, in the aggregate, to those
reductions expected from the direct
application of RACT on affected sources
within the nonattainment area. See 59
FR 16690 (April 7, 1994) and
‘‘Improving Air Quality with Economic
Incentive Programs,’’ EPA–452/R–01–
001 (January 2001), at Section 16.7. EPA
approved the RECLAIM program into
the California SIP in June 1998 based in
part on a conclusion that the NOX
emission caps in the program satisfied
the RACT requirements of CAA section
182(b)(2) and (f) for covered NOX
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emission sources 13 in the aggregate. See
61 FR 57834 (November 8, 1996) and 63
FR 32621 (June 15, 1998). In 2005 and
2010, the SCAQMD tightened the NOX
and SOX emissions caps in Rule 2002 to
address California Health and Safety
Code requirements for BARCT,14 to
require that agricultural sources be
subject to existing command-andcontrol regulations instead of RECLAIM,
and to satisfy a NOX reduction
commitment in the 2003 AQMP. See
Technical Support Document for EPA’s
Rulemaking for the California SIP
regarding SCAQMD RECLAIM program
rules, March 27, 2006, at pp. 5, 6 and
Attachment 4. EPA approved the
revisions to the NOX and SOX emission
caps in Rule 2002 on August 29, 2006
and August 12, 2011 respectively, based
in part on conclusions that the revisions
continue to satisfy NOX RACT
requirements. See 71 FR 51120 (August
29, 2006) and 76 FR 50128 (August 12,
2011). Because RECLAIM achieves
reductions of NOX emissions from
covered sources that are equivalent, in
the aggregate, to the reductions achieved
by RACT-level controls, we conclude
that it requires all RACM for covered
sources. See 76 FR at 41569, Table 3.
Comment: CBE asserts that emissions
of criteria pollutants, toxics, and GHGs
could be reduced by requiring the
SCAQMD to implement the findings of
industrial energy use audits performed
under California’s AB32 program.
Specifically, CBE asserts that the
SCAQMD could supplement CARB’s
work under AB32 by: (1) Requiring
implementation of potential energy
efficiency improvements identified
through audits; (2) expanding the audit
requirements to cover more industrial
sources, including certain large sources
and oil refineries exempted from
CARB’s program; and (3) improving the
reporting requirements associated with
the audits. CBE states that industrial
energy efficiency assessments not only
reduce pollution but also reduce energy
costs and should be required RACM for
purposes of the PM2.5 NAAQS and other
standards. CBE contends, therefore, that
EPA should require the SCAQMD to add
such auditing requirements to the South
Coast 2007 AQMP in strengthened form
with emission reduction targets.
Response: Although we agree
generally that improvements in energy
13 RECLAIM generally applies to facilities that
emit 4 tons or more per year of NOX or SOX in the
year 1990 or subsequent years. See Rule 2001.
14 BARCT is defined as ‘‘an emission limitation
that is based on the maximum degree of reduction
achievable taking into account environmental,
energy, and economic impacts by each class or
category of source.’’ See California Health and
Safety Code, Section 40406.
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efficiency can reduce emissions of
criteria and other air pollutants, we
disagree with CBE’s assertion that the
specific measures associated with
energy efficiency that it has identified
are required RACM for purposes of
attaining the 1997 PM2.5 standards in
the South Coast. Under the PM2.5
Implementation Rule at 40 CFR
51.1010(b), ‘‘[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.’’
CBE asserts only generally that the
measures it has identified are
reasonably available for implementation
in the South Coast considering technical
and economic feasibility, and provides
no information to support a conclusion
that these additional measures would,
individually or collectively with other
reasonable measures, advance
attainment of the 1997 PM2.5 standards
by at least one year in the South Coast.
We explained in the preamble to the
PM2.5 Implementation Rule (72 FR
20586) that although States must
conduct a thorough analysis of
reasonably available measures, States
are not required to analyze every
conceivable measure to satisfy the
RACM requirement in CAA section
172(c)(1). 72 FR at 20612. As long as a
State’s analysis is ‘‘sufficiently robust in
considering potential measures to
ensure selection of all appropriate
RACT and RACM, and the State
provides a reasoned justification for its
analytical approach, we will consider
approving that State’s RACT/RACM
strategy.’’ Id. As discussed in our July
14, 2011 amended proposal, CARB, the
SCAQMD, and SCAG have conducted
thorough analyses of all reasonable
control measures (including RACT 15 for
stationary sources) that are available for
implementation in the South Coast and
provided reasoned justifications for the
collection of RACM that the State has
adopted or committed to adopt, based
on these analyses. See 76 FR 41562 at
41568, 414572 and TSD at section II.D;
see also South Coast 2007 AQMP,
Appendix VI. CBE’s comments do not
change our conclusion that the State has
adopted all RACM and RACT necessary
to demonstrate attainment as
expeditiously as practicable and to meet
any RFP requirements, as required by
15 EPA has defined RACT as the lowest emission
limitation that a particular source is capable of
meeting by the application of control technology
that is reasonably available considering
technological and economic feasibility. 44 FR 53762
(September 17, 1979).
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CAA section 172(c)(1) and 40 CFR
51.1010.
Comment: CBE asserts that SCAQMD
‘‘must implement measures [for
additional SOX reduction] that were
identified in the recent SOX RECLAIM
regulation, but not adopted.’’
Response: This comment does not
contain sufficient specificity for EPA to
respond.
Comment: CBE asserts that major
flaring and smoking episodes occur
regularly at refineries in the region 16
and that the SCAQMD must require that
every refinery have a flare minimization
plan (FMP) consistent with rigorous
control methods achieved by two
specific oil refineries in Martinez,
California and Flint Hills, Texas. CBE
asserts that FMPs are reasonably
available measures that could
significantly reduce short-term
emissions of particulates, SOX, NOX,
and VOC, although they probably would
not significantly affect annual emissions
levels. CBE states that the SCAQMD’s
flare rule requires implementation of an
FMP only if emissions exceed certain
levels on an annual basis, and that the
South Coast 2007 AQMP does not
adequately account for emissions from
flaring events, which are episodic. CBE
asserts that EPA should require the
SCAQMD to: (1) Model the ambient
PM2.5 impacts of large flaring events; (2)
revise the SCAQMD flare regulation to
require that every refinery implement an
FMP consistent with those at Shell’s
refineries in Martinez, California and
Flint Hills, Texas; and (3) add a
provision to the SCAQMD flare
regulation to prohibit all flaring (with
certain exceptions) unless it is
consistent with an approved FMP, as
provided in the Bay Area Air Quality
Management District (BAAQMD)
Regulation 12–12–301 (‘‘Flare
Minimization’’). CBE contends that such
measures are technologically and
economically feasible and therefore
required RACM.
Response: The SCAQMD regulates
refinery flares through Rule 1118
(‘‘Control of Emissions from Refinery
Flares’’), which EPA approved into the
SIP on August 28, 2007. See 72 FR
49196. Although CBE correctly notes
that Rule 1118 requires FMPs only at
refineries that exceed specific annual
emissions thresholds (see Rule 1118 at
subsection (d)(3)(a) and (e)(1)), CBE
appears to misunderstand several other
requirements in the rule that apply to all
petroleum refineries and that are
essentially equivalent to the FMP
16 CBE references several sources of SCAQMD
data as the basis for its estimates of criteria
pollutant emissions from these flaring episodes.
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requirements in the BAAQMD’s Rule
12–12. We agree that FMPs are
reasonably available measures and note
that requirements in BAAQMD 12–12
401.1 through 401.3 are required of all
petroleum refineries under SCAQMD
Rule 1118 sections (c)(2) and (c)(3). For
example, BAAQMD 12–12 401.4
requires a description of prevention
measures addressing specific activities
that may cause flaring. SCAQMD’s Rule
1118 contains a requirement in section
(c)(2)(C) that requires refinery owners to
submit to the SCAQMD ‘‘descriptions of
any equipment, processes or procedures
the owner or operators plans to install
or implement to eliminate or reduce
flaring,’’ including the scheduled year of
installation or implementation. This
requirement is essentially equivalent to
the requirement in BAAQMD Rule 12–
12 401.4. Thus, SCAQMD Rule 1118
contains in sections (c)(2) and (c)(3)
requirements that, although separate
from the requirements for ‘‘flare
minimization plans’’ under section (e)
of the rule, essentially require SCAQMD
facilities to submit plans to reduce
flaring events similar to those required
under BAAQMD Rule 12–12. We
disagree, therefore, with CBE’s assertion
that the SCAQMD is required to adopt
additional control requirements for
refinery flares and conclude that Rule
1118 requires all RACM for these
emission sources in the South Coast.17
We note that SCAQMD’s Board
Resolution adopting the District’s most
recent revisions to SCAQMD Rule 1118
directs District staff to evaluate the
feasibility of a daily emissions target
and to evaluate refinements to the
annual emissions targets as warranted.
See SCAQMD Board Resolution 2005–
32 (November 4, 2005). Consistent with
this directive, we encourage the District
to reevaluate the control and
compliance requirements in Rule 1118
as new information about feasible
controls becomes available, and to adopt
any additional control measures that are
reasonably available as expeditiously as
practicable consistent with CAA
requirements.
Comment: CBE asserts that oil
refineries, which contribute to power
plant emissions by using substantial
17 We note that CBE’s estimates of emissions from
flaring episodes during the 2009–2011 time period
are consistent with data provided in SCAQMD staff
reports submitted to EPA, which show an overall
decline in emissions from flaring events since 2004.
See, e.g., SCAQMD 2005 Staff Report Table IV–2.
Generally, it is difficult to develop reliable
estimates of emissions from flaring events given
uncertainties about the efficiency of a particular
flare event. Flares are devices which burn anything
in the stream, and the contents of the stream may
not be completely combusted, causing an unknown
composition of emissions.
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amounts of electricity from the grid,
should be required to have backup
power using clean/alternative energy
sources. Specifically, CBE claims that
electrical grid shutdowns cause power
outages at oil refineries, which in turn
cause flaring and significant amounts of
air pollution near the refineries. CBE
asserts that the SCAQMD should require
oil refineries to use alternative energy
sources (in place of fossil-fuel electricity
generation), such as wind and solar
energy, and that such measures should
be required RACM. Based on general
information about power plant
emissions obtained from PG&E, CBE
provides its own estimates of the SOX
and NOX emission reductions that could
be achieved if oil refineries were to meet
some or all of their electricity demands
with clean alternative energy sources.
CBE contends that the ‘‘large air
emissions caused by fossil fuel
generation at Power Plants due to oil
refinery electricity demand is worthy of
phaseout requirements by the AQMD as
a measure in the AQMP.’’
Response: Although we generally
agree that use of alternative (i.e., nonfossil fuel) energy sources to power oil
refineries and other large industrial
operations would reduce emissions of
air pollutants, we disagree with CBE’s
generalized assertion that such
measures are required RACM for
purposes of attaining the 1997 PM2.5
NAAQS in the South Coast. Section
172(c)(1) of the CAA requires that States
adopt measures that are ‘‘reasonably
available’’ and that are necessary to
demonstrate attainment as expeditiously
as practicable and to meet any RFP
requirements. 40 CFR 51.1010. As
explained above, States are required to
conduct a thorough analysis of
reasonably available measures but are
not required to analyze every
conceivable measure to satisfy the
RACM requirement in CAA section
172(c)(1). 72 FR at 20612.
As discussed in our July 14, 2011
amended proposal, CARB, the
SCAQMD, and SCAG have conducted
thorough analyses of all reasonable
control measures that are available for
implementation in the South Coast and
provided reasoned justifications for the
collection of RACM that the State has
adopted or committed to adopt, based
on these analyses. See 76 FR 41562 at
41568–41572 and TSD at section II.D.
Electric generating stations and oil
refineries in the South Coast are subject
to numerous prohibitory rules and other
control measures that regulate emissions
of NOX, SOX, VOC, and PM2.5, among
other air pollutants, from various
emission points within each facility.
See, e.g., 76 FR at 41570, Table 3 and
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TSD, Appendix B (identifying, e.g., Rule
1105 for fluidized-bed coal combustion
units (FCCUs) and Rules 1146 and
1146.1 for Industrial, Institutional, and
Commercial Boilers, Steam Generators,
and Process Heaters.) Power plants in
the district are also subject to RECLAIM.
See South Coast Rules 2011 and 2012.
CBE has provided no information to
support its general assertion that
requiring the oil refining industry to
obtain electricity (backup electricity or
otherwise) from alternative energy
sources instead of from the electrical
grid is a ‘‘reasonably available’’ control
measure within the meaning of CAA
section 172(c)(1). These comments
therefore do not change our conclusion
that the State has adopted all RACM and
RACT necessary to demonstrate
attainment as expeditiously as
practicable and to meet any RFP
requirements, as required by CAA
section 172(c)(1) and 40 CFR 51.1010.
Comment: CBE states that the
SCAQMD is in the process of
developing a regulation to control coke
drum emissions and that EPA should
ensure that this rule is included in the
District’s RACM/RACT control strategy.
CBE also asserts that this rule has been
repeatedly delayed due to pressure from
the oil industry, and that EPA should
ensure that the rulemaking occurs
expeditiously. CBE asserts that refinery
coking operations are increasing due to
the use of increasingly heavier crude at
oil refineries.
Response: EPA does not currently
have reliable information about the
types and amounts of pollutant
emissions from refinery coke drums in
the South Coast, and CBE has not
provided such information to support
its assertions. Consequently we cannot
conclude at this time that any such
controls would represent RACT in the
South Coast. We note that EPA Region
9 staff recently contacted SCAQMD staff
to inquire about the status of this rule
and learned that the District is awaiting
information from EPA emission studies
to inform the District’s assessment of the
feasibility and cost-effectiveness of
regulating coke drum emissions.18 EPA
has sent requests for information about
emissions from coking operations to
several facilities in the South Coast.19
Given the need for additional emission
reductions in the South Coast to attain
the 1997 PM2.5 standards as well as
18 See record of phone conversation between
Nicole Law and Stanley Tong, USEPA Region 9 Air
Division, and Eugene Teszler, SCAMQD, dated
September 14, 2011.
19 See record of phone conversation between
Nicole Law, USEPA Region 9 Air Division, and
Brenda Shine, USEPA OAQPS, dated September 20,
2011.
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other standards for which the area is
designated nonattainment (see 40 CFR
81.305), we encourage the SCAQMD to
adopt and implement this rule as
expeditiously as practicable consistent
with CAA requirements.
Comment: CBE states that it had
proposed ‘‘requiring 33% RPS for all
power plants within the SCAQMD’’ and
asserts that this is ‘‘clearly achievable’’
since it has been adopted as State law.
Response: Assuming CBE intended to
assert that the SCAQMD should require
all investor-owned utilities, electric
service providers, and community
choice aggregators within the South
Coast to procure 33 percent of their
power from renewable sources by 2020
as currently required by the State under
California’s Renewable Portfolio
Standard (RPS), and that such a measure
is a required RACM under CAA section
172(c)(1) for purposes of attaining the
1997 PM2.5 NAAQS in the South Coast,
we disagree. As discussed above,
section 172(c)(1) of the CAA requires
that States adopt measures that are
‘‘reasonably available’’ and that are
necessary to demonstrate attainment of
the NAAQS as expeditiously as
practicable and to meet any RFP
requirements. 40 CFR 51.1010. CBE has
provided no information to support
either an assertion that California’s 33%
RPS under Senate Bill 2 is such a
measure or an assertion that some
additional RPS to be implemented by
the SCAQMD within the South Coast
would be such a measure.
Comment: CBE claims that the RACM
analysis for locomotive emissions in the
South Coast 2007 AQMP is deficient
because the SCAQMD failed to evaluate
reasonably available technologies that
could reduce locomotive and other
railyard emissions. In support of this
assertion, CBE references two
September 2009 public comment letters
to CARB and an August 2009 CARB
document entitled ‘‘Technical Options
to Achieve Additional Emissions and
Risk Reductions from California
Locomotives and Railyards.’’ Citing
Association of American Railroads v.
South Coast Air Quality Management
District, 622 F.3d 1094 (9th Cir. 2010),
CBE contends that the Ninth Circuit
‘‘has indicated that the SCAQMD and
the State of California have the authority
to reduce emissions from locomotive
sources through its determination that
[the Interstate Commerce Commission
Termination Act of 1995] may not
preempt some measures included in a
federally approved SIP.’’ CBE asserts
that EPA should therefore direct
California and the SCAQMD to cure this
defect.
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Response: We disagree. SCAQMD’s
RACM Demonstration (see Appendix VI
to the 2007 South Coast AQMP) does
list one type of measure with the
potential to reduce locomotive and
other railyard emissions (locomotive
anti-idling) as one of the measures the
District evaluated as a potential RACM/
RACT measure (see Table 2 on page VI–
11 of the 2007 South Coast AQMP,
Appendix VI). With reference to long
duration switch yard locomotive idling
measures, SCAQMD concluded that ‘‘[I]f
there are any additional SIP emission
reductions that could be accounted for
using these innovative technology, they
would be addressed by CARB during the
rule development of their on-road and
off-road control measures.’’ 2007 South
Coast AQMP, Appendix VI, page VI–12.
This is a reasonable conclusion in light
of the legal challenge to the District’s
own locomotive anti-idling rules
(SCAQMD Rules 3501, 3502, and 3503).
Moreover, CARB has adopted
regulations for mobile cargo handling
equipment at ports and intermodal rail
yards which are designed to use best
available control technologies to reduce
public exposure to NOX and PM.
CARB’s mobile cargo handling
equipment rules are the subject of a
current authorization request to EPA.
See 76 FR 5586 (February 1, 2011).
We note that, while the Ninth
Circuit’s opinion in the Association of
American Railroads v. South Coast Air
Quality Management District case opens
the door to District regulation of
locomotive idling under Federal law by
signaling the potential for
harmonization between such District
rules and the Interstate Commerce
Commission Termination Act of 1995
(ICCTA) if the rules are approved into
the SIP, there remains uncertainty as to
whether the District’s locomotive antiidling rules would be within the scope
of the District’s state-law regulatory
authority. The Ninth Circuit did not
decide that issue. 622 F.3d at 1096.
In addition, the documents and court
case cited by CBE in support of the idea
that a number of locomotive- and
railyard-related measures may be
technologically and economically
feasible, as well as legally enforceable,
all post-date the development and
submittal of the 2007 South Coast
AQMP and 2007 State Strategy. As such,
they cannot be used to undermine the
RACM demonstration for PM2.5
submitted by California for the South
Coast several years earlier. The cited
documents and court case may
influence the development of control
measures for future air quality plans for
the South Coast, as well as other
nonattainment areas, but they do not
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undermine the RACM demonstration in
the plan that we are approving in
relevant part today.
For the reasons set forth in the
preceding paragraphs, these comments
do not change our conclusion that the
State has adopted all RACM and RACT
necessary to demonstrate attainment as
expeditiously as practicable and to meet
any RFP requirements for the 1997
PM2.5 standards, as required by CAA
section 172(c)(1) and 40 CFR 51.1010.
See 72 FR at 20612 (noting that although
States must conduct thorough analyses
of reasonably available measures, States
are not required to analyze every
conceivable measure to satisfy the
RACM requirement in CAA section
172(c)(1)).
Comment: NRDC asserts that the
South Coast 2007 AQMP does not
satisfy the RACM requirement in CAA
172(c)(1) because it fails to identify and
require implementation of certain
reasonably available transportation
control measures (TCMs) as
expeditiously as practicable. NRDC
asserts that ‘‘EPA’s Transportation
Conformity Rule requires that TCMs
either be listed in section 108(f) of the
CAA, or reduce transportation
emissions by lowering vehicle use or
improving traffic flow.’’ Specifically,
NRDC asserts that in the ‘‘illustrative
list of TCMs in CAA 108(f), the EPA has
acknowledged that improvements to
bicycle paths and pedestrian walkways
are RACM’’ and that the South Coast
2007 AQMD contains very few TCMs to
implement such measures. As an
example, NRDC claims that little more
than 11 percent of the 1996 Los Angeles
Bicycle Plan’s proposed bike lanes have
been implemented since its
development. Finally, NRDC asserts that
planning agencies have used the TCM
process to ‘‘load the SIP with proposed
highway expansion projects that will
purportedly achieve emissions
reductions’’ and that several of the
plan’s identified TCMs, such as the SR–
47 diesel truck road expansion project,
should not be included as TCMs
because they will not actually reduce
emissions.
Response: We disagree with NRDC’s
contention that any of the TCMs it has
identified are required RACM for
purposes of attaining the 1997 PM2.5
standards in the South Coast or that the
SCAQMD failed to adequately consider
reasonably available TCMs as part of its
RACM analysis. Under 40 CFR
51.1010(b), ‘‘[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.’’
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NRDC asserts only generally that the
1996 Los Angeles Bicycle Plan is
reasonably available for implementation
in the South Coast considering technical
and economic feasibility, and provides
no information to support a conclusion
that this or any other potential TCM
would, individually or collectively with
other reasonable measures, advance
attainment of the 1997 PM2.5 standards
by at least one year in the South Coast.20
As discussed in our July 14, 2011
amended proposal, CARB, the
SCAQMD, and the Southern California
Association of Governments (SCAG) 21
have conducted thorough analyses of all
reasonable control measures that are
available for implementation in the
South Coast and provided reasoned
justifications for the collection of RACM
that the State has adopted or committed
to adopt, based on these analyses. See
76 FR 41562 at 41568–41572 and TSD
at section II.D. With respect to TCMs in
particular, SCAG evaluated potential
measures identified by public
commenters, measures adopted in other
nonattainment areas, and potential
measures identified by EPA. Bicycle
projects were considered along with
many other TCMs as part of the RACM
analysis to determine if they alone or in
combination with other measures would
advance the attainment date. See South
Coast 2007 AQMP, Appendix IV–C, p.
36–55. Attachment A to Appendix IV–
C of the South Coast 2007 AQMP
contains a list of the specific TCMs
included as part of the South Coast 2007
AQMP. The 1996 LA Bicycle Plan is not
a part of the approved SIP for the South
Coast. When an individual bike project
has funding for right-of-way or
construction in the first two years of the
Transportation Improvement Program
(TIP), it is included in TCM–1, SCAG’s
overall TCM program.22 NRDC’s
20 Appendix IV–C to the South Coast 2007 AQMP
indicates that implementation of all of the TCMs in
SCAG’s Transportation Strategy (including transit
and High Occupancy Vehicle (HOV) projects, in
addition to bicycle and pedestrian projects) is
expected to achieve the following total amounts of
emission reductions: 0.18 tpd of direct PM2.5, 3.48
tpd of NOX, and 1.04 tpd of ROG (VOC). See South
Coast 2007 AQMP, Appendix IV–C at Table 7.
Assuming the 1996 Los Angeles Bicycle Plan, if
fully implemented, would achieve only a fraction
of these amounts of emission reductions, it is highly
unlikely that this measure would advance
attainment of the 1997 PM2.5 standard in the South
Coast by at least a year. See Table I–1 in the TSD
for a summary of the emission reductions that
would achieve one year’s worth of RFP (52.8 tpd
of NOX, 30.8 tpd of VOC, 1.1 tpd of PM2.5 and 2.8
tpd of SOX).
21 SCAG is the metropolitan planning
organization (MPO) responsible for the
transportation strategy and transportation control
measures in the South Coast nonattainment area.
22 See record of conversation between Wienke
Tax, EPA Region 9, and Jonathan Nadler, SCAG,
September 19, 2011.
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69937
comments do not change our conclusion
that the State has adopted all RACM and
RACT necessary to demonstrate
attainment as expeditiously as
practicable and to meet any RFP
requirements for the 1997 PM2.5
standards, as required by CAA section
172(c)(1) and 40 CFR 51.1010. See 72 FR
at 20612 (noting that although States
must conduct thorough analyses of
reasonably available measures, States
are not required to analyze every
conceivable measure to satisfy the
RACM requirement in CAA section
172(c)(1)). SCAG included a description
of the process used to identify the
potential RACM measures considered.
See South Coast 2007 AQMP, Appendix
IV–C.
We also disagree with NRDC’s
characterization of EPA’s transportation
conformity regulations and EPA’s
position with respect to the TCMs
identified in CAA section 108(f). EPA’s
transportation conformity regulations in
40 CFR part 93 establish the criteria and
procedures for timely implementation of
TCMs approved into a SIP, including
the specific steps and funding sources
needed to fully implement each TCM,
but do not require adoption and
implementation of any particular TCM.
As to CAA section 108(f), we note that
following the 1990 CAA Amendments
EPA revised its previous interpretation
of the RACM requirement by
eliminating the presumption that all
TCMs listed in CAA section 108(f) are
RACM for all areas. See 57 FR 13598 at
13560 (April 16, 1992) (stating that
‘‘[l]ocal circumstances relevant to the
reasonableness of any potential control
measure involve practical
considerations that cannot be made
through a national presumption’’ and
that States should consider TCMs on an
area-specific basis and ‘‘consider groups
of interacting measures, rather than
individual measures’’). Thus, States are
required to adopt only those TCMs
identified in CAA section 108(f) that are
reasonably available for implementation
in the specific nonattainment area. Id.
We note that EPA cannot require that
any measure be listed in section 108(f)
of the CAA, as only Congress is
authorized to amend the CAA.
Finally, we agree that SR–47 should
not be listed as a TCM. We understand
from SCAG staff that the SR–47 project
(Project ID LA0D45) was inadvertently
included as a TCM in the 2007 SIP in
a table labeled ‘‘System Management—
Railroad Consolidation Programs,’’ on
page A–12 of Attachment A of
Appendix IV–C of the South Coast 2007
AQMP. This error has been corrected
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and this project is no longer listed as a
TCM in the 2008 RTIP.23
Comment: NRDC asserts that the
RACM/RACT analysis is deficient
because it fails to provide any
discussion of controls for condensable
PM2.5 emissions. NRDC references 40
CFR 51.1002(c) to support its assertion
that ‘‘[t]he transition period allowing
agencies to ignore controls on
condensable emissions expired 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.’’
NRDC states that EPA should advise
CARB and the District that
consideration of reasonably available
controls on condensable emissions will
be required in a revised RACM/RACT
submittal.
Response: EPA’s PM2.5
implementation rule states that ‘‘[a]fter
January 1, 2011, for purposes of
establishing emissions 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.24 Because
the attainment, RFP and RACM
demonstrations in the South Coast 2007
AQMP and 2007 State Strategy were
adopted on June 1, 2007 and September
27, 2007, respectively, California was
not required to address condensable PM
in establishing the emissions limits
contained in these demonstrations as
originally submitted, or in adopting any
other PM emission limits under 40 CFRs
51.1009 and 51.1010 prior to January 1,
2011. Consistent with these
requirements, EPA has evaluated the
reasonable further progress (RFP) and
reasonably available control measures
(RACM) demonstrations in the South
Coast 2007 AQMP and 2007 State
Strategy and concluded that these
elements of the Plan appropriately
address all sources of direct PM2.5
emissions and PM2.5 attainment plan
precursors (SO2, NOX, and VOC) in the
23 See electronic mail, Rongsheng Luo, SCAG, to
Wienke Tax, U.S. EPA Region 9, August 31, 2011.
24 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 CPM until January 1, 2011.
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South Coast area. See 76 FR 41562 at
41574.25
The South Coast 2007 AQMP and
2007 State Strategy rely on several rules
regulating direct PM emissions as part
of the PM2.5 control strategy (e.g., Wood
Burning Fireplaces (Rule 445, adopted
March 7, 2008), Wood Stoves and
Under-Fired Charbroilers (Rule 1138,
adopted November 14, 1997), and
Particulate Matter (PM) Control Devices
(Rule 1155, adopted December 4, 2009)).
See 2011 Progress Report, Appendix F,
Table 4. 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 condensable
particulate matter (CPM), as required by
40 CFR 51.1002(c). We note that the SIPapproved version of Rule 1138 requires
testing according to the District’s
Protocol, which requires measurement
of both condensable and filterable PM in
accordance with SCAQMD Test Method
5.1. See Rule 1138 paragraph (c)(1) and
(g) and SCAQMD Protocol paragraph
3.1.26 We also note that the SIPapproved version of Rule 1155 requires
measurement of both condensable and
filterable PM in accordance with
SCAQMD Test Methods 5.1, 5.2, or 5.3
as applicable. See SCAQMD Rule 1155
paragraph (e)(6).27
Comment. NRDC asserts that the
contingency measures in the South
Coast 2007 AQMP should be included
in the RACM/RACT demonstration.
Response: We disagree. For many of
the same reasons that EPA is
disapproving the contingency measures
25 In our proposed rule, we noted that the
SCAQMD has deferred limits for condensable
particulate matter (CPM) in its rules but that this
limited deferral does not affect the South Coast
2007 AQMP’s RACM/RACT and expeditious
attainment demonstrations. 76 FR 41562 at 41566,
n. 13. 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.
26 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/
3D4DEB4D21AB4AAF882570AD005DFF69/$file/
SC%20Rest%20emiss.pdf).
27 See 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); SCAQMD Test Method 5.2,
Determination of Particulate Matter Emissions From
Stationary Sources Using Heated Probe and Filter,
March 1989 (available at https://aqmd.gov/tao/
methods/stm/stm-005-2.pdf); and SCAQMD Test
Method 5.3, Determination of Particulate Matter
Emissions From Stationary Sources Using an inStack Filter, October 2005 (available at https://
aqmd.gov/tao/methods/stm/stm-005-3.pdf).
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identified in the South Coast 2007
AQMP, many of these measures would
not be approvable elements of a RACM/
RACT demonstration and in any case
are not required RACM for purposes of
the 1997 PM2.5 NAAQS in the South
Coast. For example, for CTY–01,
‘‘Offsetting the Potential Emission
Increase Due to the Change in Natural
Gas Specifications,’’ the District has
provided neither cost effectiveness
information nor information about the
types or amounts of pollutant
reductions this measure would achieve.
Therefore, EPA cannot determine at this
time whether such a measure is
reasonably available considering
technical or economic feasibility or
whether it would contribute to
advancing attainment of the 1997 PM2.5
NAAQS in the South Coast. The District
characterizes the measure as an
offsetting measure for potential
increases in emissions, so it is not clear
CTY–01 will provide any additional
reductions of PM2.5 or PM2.5 plan
precursors. See South Coast 2007
AQMP, Appendix IV–A, page 167. The
reductions associated with CTY–02,
‘‘Clean Air Act Emission Fees for Major
Stationary Sources,’’ do not occur until
after 2023, and therefore clearly would
not contribute to advancing attainment
date of the 1997 PM2.5 NAAQS. CTY–03,
‘‘Banning Pre-Tier 3 Off-Road Diesel
Engines during High Pollution Days,’’
similarly lacks quantification of
emissions reductions and costeffectiveness data. As we noted in our
July 14, 2011 proposed rulemaking,
CTY–04, ‘‘Accelerated Implementation
of CARB’s Mobile Source Control
Measures,’’ would require additional
rulemaking at the District level and
potentially substantial and lengthy
additional rulemaking at the State level
to be implemented. See 76 FR 41562, at
41579. Therefore, we do not believe the
reductions could occur in time to
advance the attainment date for the
1997 PM2.5 NAAQS. In summary, we
have concluded that the contingency
measures in the South Coast 2007
AQMP are not approvable as
contingency measures under CAA
section 172(c)(9) and for many of the
same reasons, these measures are not
required RACM for purposes of the 1997
PM2.5 NAAQS. Moreover, NRDC
provides no information to support a
claim that any of these measures would
individually or collectively advance the
attainment date of the South Coast area
for the 1997 PM2.5 NAAQS by at least
one year. 40 CFR 51.1010.
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E. Comments on CARB and District
Control Measures
Comment: ARTBA requests that EPA
designate this rulemaking as having
nationwide scope or effect pursuant to
CAA section 307(b)(1) based on its
belief that certain California statewide
measures include in-use controls that
are inconsistent with section 209 of the
CAA and that are adoptable by states
outside not only California but also EPA
Region IX. ARTBA notes that the DC
Circuit has never addressed many of the
preemption issues raised below.
Accordingly, ARTBA concludes that the
section 307(b)(1) determination is
necessary to ensure nationwide
uniformity in the interpretation and
enforcement of these important CAA
preemption issues.
Response: CAA section 307(b)(1)
generally provides that judicial review
of EPA action in approving a SIP or SIP
revision may be filed only in the U.S.
Court of Appeals for the appropriate
circuit. Thus, final EPA actions on
revisions to the California SIP, such as
the South Coast PM2.5 Plan, are
generally subject to timely challenges
filed in the U.S. Court of Appeals for the
Ninth Circuit. However, judicial review
of an EPA SIP action may be filed only
in the U.S. Court of Appeals for the
District of Columbia if such action is
based on a determination of nationwide
scope or effect and if, in taking such
action, the EPA finds and publishes that
such action is based on such a
determination.
We do not believe that our action
approving the South Coast PM2.5 Plan as
a revision to the California SIP is based
on a determination of ‘‘nationwide
scope or effect.’’ ARTBA does not
identify which specific state in-use
controls the association is referring to,
but we assume ARTBA is referring to
CARB’s in-use truck rule and drayage
truck rule, CARB’s in-use nonroad
equipment rule, and CARB’s rule
regarding ships at port, and CARB’s
commercial harbor craft rule (which are
referred to in the plan as ‘‘cleaner in-use
heavy-duty trucks,’’ ‘‘cleaner in-use offroad equipment (> 25 ph)’’), ‘‘ship
auxiliary engine cold ironing & clean
technology,’’ and ‘‘clean up existing
harbor craft.’’). While we recognize that
the plan relies on these state in-use
controls to demonstrate attainment of
the PM2.5 NAAQS in the South Coast,
the specific in-use controls themselves
are not the subject of today’s action. In
other words, we are not taking action to
approve the in-use controls as a part of
the action we are taking today on the
plan, but anticipate final action on the
in-use controls in other final actions.
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Moreover, our action today relates to
only two regions within the state of
California, and the provisions reviewed
are specific to California. Today’s
decision does not affect any other State.
Thus, our approval of the plan under
CAA section 110 is not one of
‘‘nationwide scope or effect.’’
With respect to nonroad vehicles and
equipment, to the extent section 209(e)
is at all relevant, other states are free to
adopt and enforce California in-use
emissions standards and other related
requirements, but only after EPA has
authorized the California standards
under CAA section 209(e)(2)(A). See
CAA section 209(e)(2)(B). EPA is not
taking action in this document under
section 209(e), and thus the potential
widespread effect that concerns ARTBA
will not occur as a consequence of this
rulemaking. Moreover, such State action
would be a separate action by a separate
State and would be handled separately.
With respect to on-road engines and
vehicles, California and the other states
have the same authority, and are subject
to the same limitations, in establishing
in-use emissions standards and other
related requirements and thus, even if
EPA were to be approving California’s
on-road in-use emissions standards in
this rulemaking, which it is not, the
potential for nationwide effect would
not occur as a consequence of this
rulemaking.
While any action taken by EPA in one
rulemaking may have some precedential
effect on other actions, this does not
make every action taken by EPA an
action of ‘‘nationwide scope or effect.’’
This action applies only in California
and is relevant only to a particular
California-specific PM2.5 plan.
Therefore, we disagree that today’s
action on the South Coast PM2.5 Plan
would be of ‘‘nationwide scope or
effect.’’
Comment: ARTBA asserts that the
lawfulness of the California and
SCAQMD measures will hinge on
litigation between ARTBA and EPA
currently under way in the Ninth
Circuit, No. 11–71897, and the DC
Circuit, No. 11–1256, and ARTBA
requests that EPA stay action on this
proceeding pending the resolution of
ARTBA’s litigation. ARTBA further
requests that, because ARTBA is
litigating the nationwide standards
under which EPA will decide the
important preemption issues in this case
and because EPA’s decision on
California measures would lead to other
states’ adopting (or being compelled to
adopt) California measures as RFP for
their SIPs, EPA stay consideration of
nonroad rules pending resolution of the
ARTBA litigation.
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Response: In settlement of a lawsuit
seeking to compel EPA action on the
2007 South Coast AQMP and related
portions of the 2007 State Strategy
[Natural Resources Defense Council v.
EPA, No. 2:10–cv–06029 (C.D. Cal.)],
which includes the South Coast PM2.5
Plan, EPA is subject to a consent decree
deadline of September 30, 2011 to take
final action on the South Coast PM2.5
Plan, and thus, any stay of the
rulemaking beyond that date is not
possible. In any event, other than the
general preemption issues that ARTBA
has raised, and that EPA has addressed
in various forums, the current lawsuit
cited above by ARTBA challenges EPA’s
approval of the San Joaquin Valley
Unified Air Pollution Control District’s
(SJVUAPCD’s) Rule 9510 [‘‘Indirect
Source Review (ISR’’)], which turns on
an interpretation of CAA section
110(a)(5), which is not germane to EPA’s
action on the South Coast PM2.5 Plan.
Comment: ARTBA states that
California has adopted a novel series of
statewide measures that set emission
standards and other requirements for inuse on-road and nonroad vehicles and
fleets of those vehicles. In addition to
seeking credit for these statewide
measures, ARTBA notes that SCAQMD
also seeks credit for that district’s local
implementation of the Surplus Off-Road
Opt-In for NOX (‘‘SOON’’) program
under which large construction fleets
must seek ‘‘SOON’’ funding to acquire
clean-than-required equipment, with the
cost partially deferred by government
funds and that the South Coast PM2.5
Plan also includes a contingency
measure (CTY–03) that would ban preTier 3 off-road diesel engines on ‘‘high
pollution advisory’’ days.
ARTBA asserts that all of these
measures share the characteristic of
setting fleetwide standards for CAArequired vehicles that differ from—and
are more stringent than—the various
standards and other requirements that
title II of the CAA applies to those
vehicles, and concludes that the
California statewide measures that rely
on in-use controls or impose in-use fleet
measures are preempted. With respect
to California’s in-use controls for
construction and other diesel-powered
equipment, ARTBA believes that
preemption applies both for equipment
above and below the 175-horsepower
threshold and that the proposed
contingency measures (CTY–03) to ban
pre-Tier 3 off-road diesel engines on
‘‘high pollution advisory’’ days is a
preempted in-use standard—
particularly for equipment under 175
horsepower—for the same reasons.
Because these SIP and contingency
measures are beyond California’s and
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SCAQMD’s authority, ARTBA believes
that CAA section 110(a)(2)(E)(i)
prohibits EPA’s approving these
measures as part of the SIP.
Response: In relevant part, CAA
section 110(a)(2)(E) requires SIPs to
provide necessary assurances that the
State will have adequate authority
under State law to carry out a SIP and
is not prohibited by any provision of
Federal or State law from carrying out
such SIP. As a general matter, we agree
that States must provide such
assurances for SIPs and SIP revisions. In
the CARB Resolution approving the
plan, the State of California provided
the necessary assurances of adequate
legal authority to implement the South
Coast PM2.5 Plan. See CARB Resolution
07–41 (September 27, 2007).
To the extent that ARTBA challenges
EPA’s approval of the South Coast PM2.5
Plan based on the plan’s reliance on the
emission standards and other
requirements for in-use on-road
measures, such as CARB’s truck rule
and drayage truck rule, we expect to
approve the rules into the SIP prior to
the effective date of this action, and no
comments have been received on our
proposed approval of the rules [76 FR
40652 (July 11, 2011)] that call into
question the authority of the State to
enforce those rules. To the extent that
ARTBA challenges EPA’s approval of
the plan based on the plan’s reliance on
standards and other preempted
requirements for in-use nonroad
vehicles, we simply note that EPA
authorizations under CAA section
209(e) bestow enforceability on the State
of California as to the emissions
standards and other requirements
covered by the authorizations. We
anticipate EPA action on CARB’s
authorization requests for the in-use
nonroad rules upon which the plan
relies prior to the effective date of
today’s action.28 These rules are needed
to support emissions reduction credit
for certain State measures, including
‘‘cleaner in-use off-road equipment
(> 25 hp),’’ ‘‘ship auxiliary engine cold
ironing & clean technology,’’ and ‘‘clean
up existing harbor craft.’’ See table 5 on
page 41571 of the July 14, 2011
proposed rule. If the authorizations are
issued, there will be no prohibition
28 The notices of opportunity for public hearing
and comment on the relevant requests for
authorizations were published at 73 FR 58585
(October 7, 2008), 73 FR 67509 (November 14,
2008), and 75 FR 11880 (March 12, 2010) for
CARB’s in-use nonroad equipment rule; at 76 FR
38153 (June 29, 2011) for CARB’s in-use
commercial harbor craft rule; and at 76 FR 38155
(June 29, 2011) for CARB’s at-berth rule that is
intended to reduce emissions from auxiliary diesel
engines on ocean-going marine vessels at-berth in
California ports.
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under any Federal law that we are aware
of that would prevent California from
enforcing the related standards and
achieving the associated emissions
reductions relied upon by the plan. If
EPA denies CARB’s authorization
requests for the in-use nonroad rules, or
if no decision is forthcoming, 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.
With respect to SCAQMD’s SOON
program, EPA notes that the District
implements the SOON program through
its Rule 2449 (‘‘Control of Oxides of
Nitrogen Emissions from Off-Road
Diesel Vehicles’’), adopted May 2, 2008.
SCAQMD Rule 2449 has been submitted
to EPA for approval into the SIP
(submittal date July 18, 2008), but EPA
has not taken any action on that
submittal, nor is EPA taking action on
Rule 2449 in connection with today’s
action on the South Coast PM2.5 Plan.
We recognize that the South Coast PM2.5
Plan does take emissions reduction
credit for the SOON program, but EPA
has not allowed the credit in taking
action on the plan, and thus the issue
of the enforceability of the associated
emissions reductions is not germane to
our approval of the plan.
With respect to the contingency
measure referred to as CTY–03, which
ARTBA opposes, EPA proposed to
disapprove the contingency measures,
including CTY–03, see 76 FR at 41579,
and is finalizing that proposed
disapproval in today’s document.
Comment: ARTBA provides a lengthy
discussion of the principles of Federal
preemption in the context of State
regulation of emissions from mobile
sources under the Clean Air Act and its
various amendments over time. In so
doing, ARTBA identifies a number of
instances where ARTBA’s interpretation
of the CAA and relevant case history
differs from that of EPA and offers a
number of legal arguments supporting
its views.
Response: Except to the extent we
have discussed above, ARTBA does not
tie this discussion of preemption to the
SIP action EPA is taking today, namely,
final partial approval and partial
disapproval of the South Coast PM2.5
Plan and related portions of the 2007
State Strategy. For this reason, and
because EPA has addressed ARTBA’s
general comments on preemption
several times in earlier proceedings, we
are not addressing those general
comments here.
Comment: AAR asserts that CARB’s
control measure known as ARB–OFRD–
02 anticipates a 90% NOX and PM
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reduction from the uncontrolled
baseline and projects a 4.3 tons per day
(tpd) of NOX emissions reductions in
the South Coast by 2014. AAR further
asserts that, as such, ARB–OFRD–02 is
not consistent with the timeframe and
emission reductions levels contained in
EPA’s regulations for achieving
emissions reductions from locomotive
engines and locomotive fuel.
Response: ARB–OFRD–02 is the
identifier used in the 2007 South Coast
AQMP to refer to the State measure
known as ‘‘Accelerated Introduction of
Cleaner Locomotives.’’ The State’s
measure anticipates that EPA’s ‘‘tier 4’’
locomotive standards, proposed in 2007
and promulgated in 2008 (73 FR 25098,
May 6, 2008), would likely not provide
significant additional emissions
reductions of NOX and PM from
locomotives in the time necessary to
contribute to attainment of the PM2.5
NAAQS in the South Coast given an
attainment date of 2015. Thus, the
control measure calls for CARB staff ‘‘to
work with the railroads to bring the
cleanest locomotives into California
service’’ (Revised Draft State Strategy
(April 26, 2007), page 114). As noted by
AAR, the 2007 State Strategy estimates
a reduction of NOX of 4.3 tons per day
(tpd) in 2014 in the South Coast due to
this measure. See page 61 of Revised
Draft State Strategy (April 26, 2007).
However, the State Strategy indicates
that such estimates are for informational
purposes only. CARB has not committed
to achieving the 4.3 tpd reduction
specifically from this measure but has
committed to aggregate emissions
reductions that would be achieved
through any combination of measures.
Since adoption of the 2007 State
Strategy, CARB staff have been working
with neighborhood groups, the
railroads, and other interested
stakeholders to, among other things,
develop emissions reduction targets at
certain rail yards in the South Coast to
which the railroads would commit
(referred to as the ‘‘2010
Commitments’’). See CARB Resolution
10–29 (June 24, 2010). Final approvals
of the 2010 Commitments are still being
negotiated, and there are no plans to
submit the 2010 Commitments as a part
of the SIP; thus, our proposed approval
of the attainment demonstration for
PM2.5 Plan does not rely on any
emissions reductions from this control
measure (see 76 FR 41562, July 14,
2011, at 41571, Table 5), nor does
today’s final approval. Therefore, the
difference in the timing of emissions
reductions under ARB–OFRD–02
relative to those expected under EPA’s
locomotive regulations does not
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undermine our approval of the South
Coast PM2.5 Plan.
F. Comments on Enforceable
Commitments
Comment: California Communities
Against Toxics, Communities for a
Better Environment, Natural Resources
Defense Council and Physicians for
Social Responsibility—Los Angeles
(commenters) assert that the South
Coast PM2.5 Plan fails to include
enforceable control measures that meet
the requirements of the CAA and that
EPA cannot rely on ‘‘enforceable
commitments’’ as a substitute for
adopted control measures to ‘‘close the
shortfall in the control strategy.’’
Commenters claim that EPA’s action
‘‘breaks with its long-standing
interpretation that an attainment SIP
must include currently adopted
emissions limitations and other control
measures’’ that achieve the needed
emissions reductions. Specifically,
commenters state that CAA sections
110(a)(2)(A) and 172(c)(6) require SIPs
to contain ‘‘enforceable emission
limitations * * * as may be necessary
or appropriate’’ to achieve attainment.
Commenters note that CAA 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
certain date, and that this provision
provides that the conditional approval
automatically becomes a disapproval if
the State fails to comply with the
commitment within one year.
Commenters state that courts have
rejected similar attempts to circumvent
the statute’s limitations on conditional
approvals and cite 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. In
further support of their assertions that
EPA may not allow States to submit
‘‘promises to develop unspecified future
enforceable measures as a substitute
for’’ enforceable control measures, the
commenters reference CAA sections
107(a), 110(a)(1), 110(a)(2)(A),
110(a)(2)(C), the nonattainment plan
requirements of part D, title I of the Act,
EPA regulations in 40 CFR part 51, and
EPA’s General Preamble for the
Implementation of Title I of the Clean
Air Act Amendments (57 FR 13498,
13567 (April 16, 1992).
Response: As pertinent to the
comment, Sierra Club involved EPA’s
conditional approval under section
110(k)(4) of SIPs lacking in their entirety
RACM and ROP demonstrations and
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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) (BCCA).
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
emission 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. section 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. section 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
commenters’ 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: Commenters state that EPA
has not determined whether the
commitments are in fact enforceable.
Commenters state that courts ‘‘may only
enforce SIP strategies’’ and that ‘‘[m]ere
approval of an aspirational goal or nonspecific promise into the SIP does not
convert that goal or promise into an
enforceable commitment.’’ In support of
these assertions, commenters cite
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, commenters single 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, the commenters
reason, 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
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. Commenters state
that the commitments in the South
Coast SIP are so vague that they cannot
possibly be enforced against the State
and that there is no requirement that the
State take any specific actions. The
commenters conclude that the
commitments cannot be considered
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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 South Coast by April 5,
2015. For the South Coast, the State’s
emissions reductions commitments, as
submitted in 2007 and revised by the
2009 State Strategy Update were to
achieve 152 tpd NOX, 46 tpd VOC, 9 tpd
of direct PM2.5 and 20 tpd SOX in the
South Coast area by 2014. See 76 FR
41562, at 41572; 2009 State Strategy
Status Report, p. 20.30
The SCAQMD’s commitments as
submitted in 2007 (and revised in 2011)
were to achieve 10.8 tpd NOX, 10.4 tpd
VOC, 2.9 tpd direct PM2.5 and 2.9 tpd
SOX by 2014. See 76 FR 41562, Table 2,
at 41569; see also 2011 Progress Report,
Appendix F, Table 1, and SCAQMD
Board Resolution 11–9, March 4, 2011.
As discussed above, the 2011 SIP
revisions revised the State’s total
emissions reduction commitments to
129 tpd of NOX, 44 tpd of VOC, 9 tpd
of PM2.5, and 41 tpd of SOX, which the
State remains obligated to achieve
through the adoption of enforceable
measures by 2014. See TSD, Table F–9;
Courts interpreting citizen suit jurisdiction see also CARB Resolution 07–28,
have largely focused on whether the
Attachment B at p. 4.
particular standard or requirement plaintiffs
Thus, CARB’s commitments are
sought to enforce was sufficiently specific.
clearly distinguishable from the
Thus, interpreting citizen suit jurisdiction as
aspirational goals, i.e., the SIP’s overall
limited to claims ‘‘for violations of specific
objectives, identified by the Bayview
provisions of the act or specific provisions of
court and cited by the commenter.
an applicable implementation plan,’’ the
Second Circuit held that suits can be brought CARB’s commitments here are to adopt
and implement measures that will
to enforce specific measures, strategies, or
commitments designed to ensure compliance achieve specific reductions of NOX,
with the NAAQS, but not to enforce the
VOC, direct PM2.5 and SOX emissions by
NAAQS directly. See, e.g., Wilder, 854 F.2d
2014. These are not mere aspirational
at 613–14. Courts have repeatedly applied
goals to ultimately achieve the
this test as the linchpin of citizen suit
standards. Rather, the State and District
jurisdiction. See, e.g., Coalition Against
have committed to adopt enforceable
Columbus Ctr. v. City of New York, 967 F.2d
measures no later than 2014 that will
764, 769–71 (2d Cir. 1992); Cate v.
achieve these specific amounts of
Transcontinental Gas Pipe Line Corp., 904 F.
emission reductions prior to the
Supp. 526, 530–32 (W.D. Va. 1995); Citizens
for a Better Env’t v. Deukmejian, 731 F. Supp. attainment date of April 5, 2015. All of
1448, 1454–59 (N.D. Cal.), modified, 746 F.
these control measures are subject to
Supp. 976 (1990).
State and local rulemaking procedures
and public participation requirements,
Thus courts have found that the citizen
suit provision cannot be used to enforce through which EPA and the public may
track the State/District’s progress in
the aspirational goal of attaining the
achieving the requisite emission
NAAQS, but can be used to enforce
reductions. EPA and citizens may
specific strategies to achieve that goal
enforce these commitments under CAA
including enforceable commitments to
sections 113 and 304(a), respectively,
develop future emissions controls.
We describe CARB’s and the District’s should the State/District fail to adopt
commitments in the 2007 State Strategy measures that achieve the requisite
(revised in 2009 and 2011) and the 2007 amounts of emission reductions by the
AQMP in detail in our proposal and
30 We note that in our proposed rule at 76 FR
amended proposal (75 FR 71294 and 76
41562, p. 41571 we reference the 2007 State
FR 41562). The 2007 State Strategy
Strategy, p. 63 and CARB Resolution 07–28,
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enforceable under Ninth Circuit case
law, because they are not strategies
based on enforceable emissions
standards or limitations.
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
304.29 As observed in Conservation Law
Foundation, Inc. v. James Busey et al.,
79 F.3d 1250, 1258 (1st Cir. 1996):
29 EPA
can also enforce SIP commitments
pursuant to CAA section 113.
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Attachment B. p. 6. Page 63 of the 2007 State
Strategy was replaced with the information in the
2009 State Strategy Status Report.
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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 emission
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.
Commenters 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% ridership estimate
was adopted by the Metropolitan
Transportation Commission (MTC), the
implementing agency, as the actual
target. Plaintiffs subsequently attempted
to enforce the 15% ridership increase.
The court found that the 15% 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
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South Coast 2007 AQMP 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 emission reductions
that they could achieve, how they could
be achieved and the time by which
these reductions will be achieved, i.e.,
by 2014.
Commenters also cite 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 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 1457.31 In
31 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 emission
targets were not met. The Plan identified a number
of potential stationary sources but did not commit
to any particular one. In discussing the
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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.
Commenters’ reliance on CBE II is
misplaced. It also involves in part the
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:
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 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 emission 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 emission 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 a commitment must be
clear in terms of what is required, e.g.,
a specified amount of emission
reductions or the achievement of a
specified amount of progress (i.e., RFP).
CARB’s and the District’s commitments
are thus clearly a specific enforceable
strategy rather than an unenforceable
aspirational goal.
Commenter’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
transportation contingency measures, the court
applied this same reasoning. Id. at 1456–1457.
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measures would be needed to meet the
SIP’s pesticides emissions target. To this
end, the Pesticide Element provided
that ‘‘CARB 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 which it deemed
more accurate to calculate the baseline
inventory. The plaintiffs sought to
enforce the commitment to use the
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.
section 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 commenters cite 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 emission sources and
then quantifies the amount of emissions
attributed to those sources.’’ In contrast,
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as stated previously, in the 2007 State
Strategy (revised 2009 and 2011) and
2007 AQMP, CARB and the District
commits to adopt and implement
measures sufficient to achieve specified
emission reductions by a date certain.
As described above, a number of courts
have found commitments substantially
similar to CARB’s here to be enforceable
under CAA section 304(a).
Comment: Commenters state that the
commitments do not satisfy EPA’s threepart test for enforceable commitments.
First, commenters state that EPA admits
that the State and District have no idea
at all how they will achieve the
remaining 11% of the NOX, 3% of VOC
and 8% of PM2.5. Commenters state that
this is hardly a ‘‘limited’’ or minimal
portion of the long-overdue reductions
and cite BCCA Appeal Group v. EPA,
355 F.3d 817, 840–41 (5th Cir. 2003)
(commitments for only six percent of
the overall reductions). Commenters
state it is arbitrary and capricious for
EPA to conclude that 11% is
approximately within the 10% range
that EPA has historically accepted in
approving attainment demonstrations.
Commenters believe EPA’s strategy
trivializes the task of achieving 70 tpd
of reductions over the next 3 years and
believes it is even more arbitrary given
the importance of NOX reductions for
attainment.
Response: We disagree with the
commenters’ assertion that CARB and
the District do not know how they will
achieve the remaining NOX, VOC, and
PM2.5 reductions needed for attainment
in the South Coast. As discussed in our
amended proposal, the South Coast
2007 AQMD relies principally on
adopted rules approved into the SIP or
given a waiver under CAA section 209
to achieve the emissions reductions
needed to attain the 1997 PM2.5
standards in the South Coast by April 5,
2015, including baseline (pre-2007)
measures that continue to achieve
emission reductions through 2014. 76
FR at 41576. The balance of the needed
reductions is currently in the form of
enforceable commitments that account
for 11% of the NOX, 7% of the VOC and
8% of the PM2.5 emission reductions
needed from 2002 levels to attain.32 See
id. These SIP-approved 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.
32 See
Table 3 of this notice.
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See id. at n. 31. Although CARB’s and
the District’s enforceable commitments
to additional emission 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. See id. at
41576, 41577.
We also disagree with the
commenters’ assertions that these
remaining amounts are not ‘‘limited’’
and that it is arbitrary and capricious for
EPA to conclude that 11% is
approximately within the 10% range
that EPA has historically accepted as
appropriate for enforceable
commitments in approving attainment
demonstrations. The State of Texas’
enforceable commitment for the
Houston/Galveston area, the approval of
which was upheld by the Fifth Circuit
Court of Appeals in BCCA, represented
6 percent of the reductions needed for
attainment in the area. We note that the
court in BCCA did not conclude that
any amount greater than 6 percent of the
reductions needed would be
unreasonable. We believe that the 11%
of NOX, 7% of VOC and 8% of PM2.5
reductions, as stated in our amended
proposal, also fit within the parameters
of a ‘‘limited’’ amount of the reductions
needed for attainment and nothing in
the BCCA decision contravenes that. See
also 76 FR 41562 at 41576, n. 34.
Finally, we disagree with the
commenters’ assertion that EPA’s
strategy ‘‘trivializes’’ the task of
achieving 70 tpd of NOX reductions over
the next three years. As explained in our
amended proposal, CARB has adopted
and submitted a 2009 State Strategy
Status Report and a 2011 Progress
Report, which update and revise the
2007 State Strategy. These reports show
that CARB has made significant progress
in meeting its enforceable commitments
for the South Coast and several other
nonattainment areas in California.
Additional ongoing programs that
address locomotives, recreational boats,
and other measures have yet to be
quantified but are expected to reduce
NOX and direct PM2.5 emissions in the
South Coast by 2014. See 2011 Progress
Report, Appendix E, page 2. The District
has already exceeded its commitment
for reducing VOC and SOX emissions
and is working to meet the commitment
to reduce NOX and directly-emitted
PM2.5. See Tables 2 and 3. The District
is also continuing to work to identify
and adopt additional measures that will
reduce emissions. Beyond the rules
discussed above, both CARB and the
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District have well-funded incentive
grant programs to reduce emissions
from the on- and offroad engine fleets.
Reductions from several of these
programs have yet to be quantified and/
or credited in the attainment
demonstration. Finally, we note that the
South Coast has experienced significant
improvements in its PM2.5 air quality in
the past few years.
Given the evidence of the State’s and
District’s efforts to date and their
continuing efforts to reduce emissions,
we conclude that the State and District
are capable of meeting their enforceable
commitments to achieve the necessary
reductions needed to attain the 1997
PM2.5 standards in the South Coast
nonattainment area by April 5, 2015.
Comment: For the second factor,
commenters state that the State has not
shown that they are capable of
achieving its reductions because they
have done little more than assert that
they are committed to meeting the
requirements of federal law—but have
not included any indication of how they
will meet the requirements.
Commenters assert that given the slow
progress to date, it seems unlikely that
the reductions of the magnitude
remaining—70.5 tpd NOX, 11 tpd VOC
and 1.3 tpd PM2.5—can be achieved
without a plan more focused and robust
than the vague commitment to somehow
get the needed reductions.
Response: We disagree. As explained
in our amended proposal, the State’s
and District’s efforts to date and their
continuing efforts to reduce emissions
(discussed above and in our proposed
rule), indicate they are capable of
meeting their specific enforceable
commitments to achieve the necessary
reductions by 2014. 76 FR 41562 at
41568–41572 and 41575–41577 and July
2011 TSD at Sections II.D and II.F.
Comment: Finally, for the third factor,
commenters state that it is unclear with
the changing landscape of many of the
measures whether any of these
commitments will take place within a
reasonable and appropriate period of
time. Commenters state that EPA fails to
explain how in the context of an
approval in late 2011, the state and air
district will be able to complete even
the requisite rulemaking process, much
less actually achieve the reductions
required by 2014.
Response: Commenters assume that
the only path open to the State to fulfill
its commitments is the adoption of new
measures. We disagree. The list of
measures provided by CARB in the 2011
Progress Report, Appendix B, Table B–
1. represents a fraction of the rules and
programs adopted and implemented by
the State. See TSD Appendix A. CARB
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has not provided, nor has it been
required to provide, an evaluation of the
effectiveness of its entire control
program in reducing emissions in the
South Coast area. Given that the State
has preliminarily demonstrated, based
on a limited set of measures, that all of
the needed SOX reductions, and
approximately 90 percent or more of the
reductions of NOX, VOC, and PM2.5
reductions needed for attainment of the
1997 PM2.5 standards in the South Coast
have already been achieved, we believe
it is reasonable to conclude that the
balance of the needed reductions will
also be achieved by 2014. See 76 FR
41562, p. 41575, Table 7 and September
2011 TSD, Table F–10.
Comment: Commenters assert that
although EPA has previously allowed
conditional approval of SIPs based on
‘‘commitments to complete the adoption
of specific enforceable measures within
a short period of time,’’ EPA has never
before allowed a five-year extension of
the statutory deadline for the
submission of control measures yet to be
specified by the State.
Response: EPA is not granting a fiveyear extension under section 110(k)(4)
of the CAA. Rather, EPA is granting
California’s request for an attainment
date extension to April 5, 2015 under
CAA section 172(a)(2)(A). We are
granting this extension of the attainment
date for the reasons discussed in our
amended proposal. 76 FR 41562 at
41577.
Comment: NRDC asserts that EPA is
allowing the South Coast to ‘‘adjust’’ the
2014 baseline emissions inventory to
account for California’s recent
slowdown in economic growth. NRDC
states that the Act requires that
improvements in air quality are the
result of permanent and enforceable
reductions in emissions.
Response: The commenters correctly
note that the 2014 baseline emissions
inventory in the South Coast 2007
AQMP have been adjusted to account
for California’s recent slowdown in
economic growth. As explained in
Section II.B (Emission Inventory) of the
TSD, however, CARB’s revisions to the
2014 baseline inventory took into
account not only updates to the State’s
economic forecasts but also a variety of
other factors (out-of-state 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.
The commenters’ assertion that the
CAA requires improvements in air
quality to result from permanent and
enforceable emissions reductions
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appears to be based on an incorrect
understanding of the statutory basis for
EPA’s action. EPA is not determining
that emission ‘‘reductions’’ related to
the economic recession are
‘‘enforceable’’ measures under CAA
sections 110(a)(2)(A) and 172(c)(6).
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,
base year and baseline emissions
inventories provide the basis for, among
other things, the State’s development of
progress milestones and control
strategies for attaining the NAAQS
consistent with the requirements of
CAA sections 172(c)(1) and 172(c)(2).
See General Preamble at 13503–13510
(discussing planning inventory
requirements for ozone nonattainment
areas). 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 growth projections. All
projections of future emissionsgenerating activity, including the
projections in the South Coast 2007
AQMP as originally submitted, are
based on projections of population,
employment and other growth factors,
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
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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 the South Coast
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
South Coast 2007 AQMP and 2007 State
Strategy. 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,
the commenters provides no
information to undermine the State’s
revised economic data or the related
changes to the projected inventories.
For these reasons and as explained in
our amended proposal (76 FR 41562, at
41567), we are concluding that CARB’s
2011 SIP revisions, which updated the
State’s projected (‘‘baseline’’) emissions
inventories based on improved
methodologies for estimating emissions
and more recent growth factors, reduced
the total amount of emission reductions
needed for attainment and that the
control strategy in the South Coast 2007
AQMP and 2007 State Strategy, as
revised in 2011, demonstrates
expeditious attainment of the 1997
PM2.5 NAAQS in the South Coast.
G. Comments on Attainment
Demonstration and Modeling
Comment: NRDC comments that the
attainment demonstration cannot be
approved because of changes in the
inventory. NRDC states that EPA’s new
proposal to approve the air quality
modeling in the 2007 PM2.5 Plan based
on the supplemental documentation
provided by CARB does not address the
fundamental problem with the
modeling, which is that the modeling
fails to provide an accurate picture of
whether the region will attain. EPA even
admits that ‘‘Ideally, new attainment
demonstration modeling would be
performed to evaluate the effect of [the
diesel rule updates] * * *’’ 76 FR at
41,573. However, the Clean Air Act does
not allow EPA to approve inventories it
knows to be erroneous because new
modeling would be too hard. EPA must
analyze how these errors in the base
year inventory actually affect the
attainment demonstration. EPA attempts
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to do this by looking at sensitivity
modeling submitted by CARB, which
was meant to determine the ‘‘relative
effectiveness’’ on design values of
additional reductions of NOX and PM2.5
emissions in the attainment year. EPA
claims that the results of this sensitivity
modeling support its conclusion that
new attainment demonstration
modeling would be unnecessary. The
obvious flaw in EPA’s reasoning is that
it is calculating attainment year design
value changes, to the hundredth of a
percent, from attainment year design
values that it has already admitted are
erroneous. EPA cannot justify its failure
to require updated attainment modeling
by back-calculating from the wrong
2014 design values to claim that the
changes to the inventory would be too
small to affect the design values.
Accordingly, this approach is arbitrary
and capricious.
Response: While some large emission
inventory changes might indeed
necessitate new modeling, EPA does not
agree that the inventory changes were
large enough to substantially affect the
modeling conclusions, or to invalidate
the attainment demonstration. Ideally
new modeling would be performed
when an area’s emission 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 judgement call about when changes
are large enough to merit new modeling.
An important criterion in making this
judgement is whether the changes
would affect the conclusion that the
Plan’s emission 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%. (EPA Guidance
Appendix B) Small changes in the
emission inventory are likely to have a
small impact on future year design
values. This is not to discount the
importance of an accurate emission
inventory, but rather to make the point
that relatively small changes in
inventory estimates do not necessarily
invalidate a model application. EPA
believes that the base year emission
decreases due to the inventory updates
are small enough to leave the overall
modeling conclusions unchanged. This
is a quantitative showing that the
emission updates are small enough that
they do not invalidate the attainment
demonstration.
EPA does not agree with NRDC that
starting from the Plan’s modeled design
values, and ending with small design
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value changes, constitute flaws in the
procedure for estimating the effect of the
baseline inventory revisions. EPA
believes 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 based on
model sensitivity does make a number
of assumptions: however, the original
modeling is basically sound in how it
portrays South Coast Air Basin’s
atmospheric chemistry and transport.
The emission 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 hold well enough that the
procedure provides strong evidence for
the attainment demonstration’s validity.
For regulatory purposes,
administrative necessity requires a
judgement call about whether such
problems are substantial enough to
compromise regulatory decisions. Years
of effort by modeling experts from
regulatory agencies and academia went
into developing the SC modeling; it
underwent successful diagnostic testing;
and it performs well. EPA believes that
it should not be discarded, and that it
continues to constitute an adequate
basis for the attainment demonstration.
As for the small magnitude 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 emission 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. 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 with a lot of solid work
behind it. The emission inventory
update, involving small NOX changes,
would also yield relatively small design
value changes. Of course, this assumes
the basic soundness of the original
modeling, as discussed above.
Comment: NRDC comments that EPA
should not approve the attainment
demonstration because it fails to
identify and address elevated PM2.5
concentrations in the near-highway
environment. In addition, NRDC asserts
that SCAQMD’s monitoring network is
deficient because none of the
monitoring stations are within 300
meters of a major freeway.
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Response: The PM2.5 Implementation
Rule requires that states prepare
attainment demonstrations through
modeling that is ‘‘consistent with EPA’s
modeling guidance,’’ and the modeling
guidance explains that future air quality
should be estimated at current
monitoring sites. 72 FR 20586 (April 25,
2007); SCAQMD followed EPA’s
modeling guidance in developing its air
quality modeling and attainment
demonstration.33
With respect to SCAQMD’s
monitoring network, EPA has approved
previous Annual Monitoring Network
Plans (2007–2010) submitted by the
District and determined that the PM2.5
network covered under the Annual
Monitoring Network Plan meets
regulatory requirements. EPA’s
monitoring rules do not require
placement of PM2.5 monitors in micro or
middle scale locations.34 The
requirements for the Annual Monitoring
Network Plan are found in 40 CFR
58.10.
H. Comments on the Reasonable Further
Progress Demonstration
Comment: CBE commented that the
RFP demonstration is unapprovable due
to shortfalls in SO2 in 2009 and in NOX
and PM2.5 in 2012.
Response: Under the PM2.5
implementation rule, an RFP plan must
demonstrate that in each applicable
milestone year, emissions will be at a
level consistent with generally linear
progress in reducing emissions between
the base year and the attainment year.
See 40 CFR 51.1009(d). The goal of the
RFP requirements is for areas to achieve
generally linear progress toward
attainment. The RFP requirements were
included in the Clean Air Act to assure
steady progress toward attaining air
quality standards, as opposed to
deferring implementation of all
measures until the end date by which
the standard is to be attained. 75 FR
20586, at 20633.
As we noted in our July 14, 2011
proposed rulemaking, although the
South Coast experienced a shortfall of 9
tpd for SOX in 2009, this shortfall is
made up by the reductions estimated for
2012, and the area meets its 2012 SOX
milestone. We note that the shortfall in
2012 for NOX is less than 1% of the
2002 baseline inventory, and the
shortfall in PM2.5 reductions in 2012 is
also about 1% of the 2002 baseline
inventory, while 2012 SOX reduction
33 ‘‘Guidance on the Use of Models and Other
Analyses for Demonstrating Attainment of Air
Quality Goals for Ozone, PM2.5, and Regional
Haze,’’ prepared by EPA’s Office of Air Quality
Planning and Standards, at 15 (April 2007).
34 71 FR 61236 (October 17, 2006).
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milestones are met and 2012 VOC
reduction milestones are exceeded by 20
tpd. (TSD, p. 116) In addition, we noted
that we were not evaluating the
provisions of the updated South Coast
2007 AQMP that address contingency
measures for failure to meet the 2009
RFP benchmarks. Information available
to EPA and the public shows that the
South Coast met its 2009 RFP
benchmarks for 2009 for directly
emitted PM2.5, NOX, and VOC. SOX
emissions are higher than the linear
benchmark but achieve the benchmark
levels in 2012 due to recently adopted
rules controlling emissions of SOX. See
2011 Progress Report, Table C–2 and
section II.H of the TSD. Therefore,
contingency measures for failure to meet
the 2009 RFP benchmark no longer have
meaning or effect under the CAA and
therefore do not require any review or
action by EPA.
In addition, as noted above, the
purpose of RFP contingency measures is
to provide continued progress while the
SIP is being revised to meet a missed
RFP milestone. Failure to meet the 2009
benchmark would have required
California to revise the South Coast
2007 AQMP to assure that the next
milestone was met and that the plan
still provided for attainment. California
has, in fact, prepared and submitted a
revision to the South Coast 2007 AQMP
that provides for RFP in 2012 and for
attainment by 2015. (TSD, p. 122) For
all of these reasons we conclude that the
South Coast 2007 AQMP provides for
generally linear progress towards
attainment, consistent with the
requirements of CAA section 172(c)(2)
and 40 CFR 51.1009. The State has also
submitted a SIP revision to address the
missed 2009 SOX milestone which
assures that the 2012 SOX milestone
will be met (the 2011 Progress Report).
I. Comments on Contingency Measures
Comment: In their January 20, 2011
comment letter, the SCAQMD agrees
that the SIP must contain contingency
measures that should be implemented if
the area fails to meet the NAAQS by the
applicable attainment date. However,
the District argues that the requirement
for these measures to be fully adopted
in rule form at time of plan submittal is
unrealistic.
Response: EPA understands that for
some areas the CAA requirement for
contingency measures is difficult;
however, the Act is clear on these
requirements. Under CAA section
172(c)(9), all PM2.5 attainment plans
must include specific contingency
measures to be implemented if an area
fails to meet RFP (RFP contingency
measures) and contingency measures to
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be implemented if an area fails to attain
the PM2.5 NAAQS by the applicable
attainment date (attainment contingency
measures). These contingency measures
must be fully adopted rules or control
measures that are ready to be
implemented quickly without
significant additional action by the
State. 40 CFR 51.1012 (‘‘contingency
measures must take effect without
significant further action by the State or
EPA’’); see also 57 FR 13498, at 13510–
11. They must also be measures not
relied on in the plan to demonstrate RFP
or attainment and should provide SIPcreditable emissions reductions
equivalent to one year of RFP. Finally,
the SIP should contain trigger
mechanisms for the contingency
measures and specify a schedule for
their implementation. 72 FR 20586, p.
20642. We noted that the purpose of
RFP contingency measures is to provide
continued progress while the SIP is
being revised to meet a missed RFP
milestone. See 76 FR 41562, at 41580.
This timely continued progress would
not be possible if significant additional
rulemaking action needed to be taken at
the District or State level before a
measure could be fully adopted and
implemented. For the reasons provided
in both of our proposals, we are
disapproving the proposed contingency
measures in the South Coast 2007
AQMP, which include measures that are
not yet fully adopted, because they do
not meet the requirements for
contingency measures in CAA section
172(c)(9) and 40 CFR 51.1012. See 76 FR
41562, at 41580.
Comment: In its August 12, 2011
comment letter, the SCAQMD
recognizes that the SIP must contain
contingency measures that should be
implemented if the area fails to meet the
NAAQS by the applicable attainment
date; however, they again state that they
believe the requirement to have such
measures adopted at the time of plan
submittal is unrealistic. They point out
that under the California Clean Air Act,
the SCAQMD is required to evaluate all
feasible measures in SIP development to
achieve the maximum emissions
reductions possible. Therefore, they
believe it is unreasonable to expect that
there are additional rules that would
achieve one year’s worth of RFP
reductions beyond what is already
adopted. Nevertheless, the SCAQMD
outlines a three pronged approach to
demonstrate that sufficient emissions
reductions can be identified to meet the
requirement for 1-year’s worth of RFP
reductions for contingency measures.
The three prongs are (1) PM2.5 air
quality improvements have significantly
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69947
exceeded the RFP milestone targets by
more than one year’s worth of
reductions, (2) relying on continued
emissions reductions beyond 2014
based on adopted regulations for the
2007 ozone plan, and (3) quantifying
excess emissions reductions that were
not originally included in the 2007
PM2.5 SIP. The District provides
additional detailed information for each
of these prongs in an attachment to their
comments.
Response: EPA understands the
unique air quality challenges in the
South Coast area and appreciates the
District’s efforts to identify additional
measures that may serve as contingency
measures for purposes of the 1997 PM2.5
NAAQS. We note, however, that
contingency measures should consist of
available control measures beyond those
required to attain the standards, and
may go beyond those measures
considered to be RACM for the area. See
72 FR 20586 at 20643. We commit to
work with the State and District to
identify new or existing control
measures and programs not currently
included in the South Coast 2007
AQMP that may satisfy the CAA section
172(c)(9) requirements for contingency
measures for purposes of the 1997 PM2.5
NAAQS.
Comment: In both their January 21,
2011 and August 15, 2011 comment
letters, NRDC supports our proposed
disapproval of the contingency
measures. NRDC raises two issues
related to the contingency measures.
First, it asserts that the contingency
measures lack enforceability. Second,
they note that the District does not
describe the criteria regarding how the
monies in the proposed ozone
nonattainment fee contingency measure
will be spent, and does not provide
mechanisms for ensuring that emissions
reductions are enforceable. (We address
NRDC’s third comment about
contingency measures in relation to
RACM in our responses to RACM
comments above).
Response: In both our 2010 proposal
and our 2011 amended proposal, we
proposed to disapprove the Plan’s
contingency measure provisions and we
are disapproving those provisions in
today’s action. See 75 FR 71294, 71311–
71312 and 76 FR 41562, 41580. In
particular, we stated the following: The
South Coast 2007 AQMP includes
suggestions for several measures that do
not meet the CAA’s minimum
requirements (e.g., no additional
rulemaking, surplus to attainment and
RFP needs). The AQMP, however,
indicates that the measures proposed by
the District are not adopted, and does
not quantify the expected emissions
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reductions in order to gauge whether
they provide reductions equivalent to
one year’s worth of RFP. For the reasons
stated above, we are disapproving the
District’s contingency measure
provisions in the South Coast 2007
AQMP for PM2.5. 76 FR 41562, at 415780
(July 14, 2011).
Regarding NRDC’s second point, we
agree that for CTY–02, ‘‘Clean Air Act
Emission Fees for Major Stationary
Sources,’’ the District does not describe
how the monies for the CAA
nonattainment fees will be spent, nor
does it provide mechanisms for
ensuring that emissions reductions are
enforceable. These are among the
reasons that we provided for
disapproving this contingency measure
in both our November 2010 and July
2011 proposed rulemakings. We also
noted that the 2007 AQMP does not
identify the quantity of emissions
reductions that the District intended to
use to meet the contingency measure
requirement and therefore, we are
unable to determine if the proposed
measures 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 the measures submitted
did not currently meet the CAA
requirements for contingency measures.
III. Approval Status of the Control
Strategy Measures and Enforceable
Emissions Reductions Commitments
A. Approval Status of Control Strategy
Measures
We describe CARB’s and the District’s
commitments in the 2007 State Strategy
(as revised in 2009 and 2011) and the
South Coast 2007 AQMP in detail in our
amended proposal. See 76 FR 41562, at
41575–41577. As part of its control
strategy for attaining the PM2.5 standards
in the South Coast, the District made
specific commitments to adopt or revise
nineteen measures for SIP credit on the
schedule identified in the revised 2007
AQMP. See 2011 Progress Report,
Appendix F, Tables 2 through 5. The
District has now completed its adoption
actions and EPA has approved most of
the adopted rules. See Table 1 below.
The rules we have not yet approved we
have not credited with emissions
reductions in the attainment
demonstration.
TABLE 1—APPROVAL AND SUBMITTAL STATUS OF DISTRICT RULES IN THE SOUTH COAST 2007 AQMP
District rule
Adoption date
Rule 445—Woodburning fireplaces and wood
stoves.
Rule 461—Gasoline transfer and dispensing ....
Rule 1110.2—Liquid and gaseous fuels—stationary ICEs.
Rule 1111—Further NOX reductions from
space heaters.
Rule 1127—Livestock Waste .............................
Rule 1138—Restaurant Operations ...................
Rule 1143—Consumer Paint Thinners and
Multi-Purpose Solvents.
Rule 1144—Vanishing oils and rust inhibitors ...
03/07/08 ...........................................................
74 FR 27716, 6/11/09.
03/07/08 ...........................................................
02/01/08 ...........................................................
71 FR 18216, 4/11/06.
74 FR 18995, 4/27/09.
11/06/09 ...........................................................
75 FR 46845, 08/04/10.
08/06/04 ...........................................................
2012 .................................................................
12/03/10 ...........................................................
Under EPA review.
Most recent approval: 66 FR 36170, 7/11/01.
Proposed for approval 76 FR 41744, 07/15/
11.
Proposed for approval 76 FR 41744, 07/15/
11.
75 FR 40726, 07/14/10.
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Rule 1145—Plastic, Rubber, Leather and Glass
Coatings.
Rule 1146—NOX from industrial, institutional,
commercial boilers, steam gens, and process
heaters.
Rule 1146.1—NOX from small industrial, institutional, commercial boilers, steam gens, and
process heaters.
Rule 1147—NOX reductions from miscellaneous sources.
Rule 1149—Storage Tank and Pipeline Cleaning and Degassing.
Rule 2002—Further SOX reductions from RECLAIM.
Rule 2301—Indirect Source Review ..................
Refinery Pilot Program .......................................
SOON program ..................................................
AB923 Light and medium duty vehicle high
emitter program.
AB923 Light and medium duty vehicle high
emitter program.
As part of its control strategy for
attaining the PM2.5 standards in the
South Coast, CARB committed to
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Current SIP approval status
07/09/10 ...........................................................
12/3/04 .............................................................
09/05/08 ...........................................................
Proposed limited approval/limited disapproval
76 FR 40303, 7/8/11.
09/05/08 ...........................................................
Proposed limited approval/limited disapproval
76 FR 40303, 7/8/11.
12/05/08 ...........................................................
75 FR 46845, 08/04/10.
05/02/08 ...........................................................
74 FR 67821, 12/21/09.
11/4/10 .............................................................
76 FR 50128, 8/12/11.
2012 .................................................................
Not yet adopted ................................................
Submitted .........................................................
No rules associated with these measures .......
N/A.
Not yet acted on.
N/A.
No rules associated with these measures .......
N/A.
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.
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69949
TABLE 2—REVISED 2007 STATE STRATEGY DEFINED MEASURES SCHEDULE FOR CONSIDERATION AND CURRENT STATUS
State measures
Expected action year
Implementation date
Current status
Defined Measures in 2007 State Strategy
Smog Check Improvements .............................
2007–2009 ................
2008–2010; 2013 ......
Expanded Vehicle Retirement (AB 118) ..........
2007 ..........................
2009 ..........................
Modifications to Reformulated Gasoline Program.
Cleaner In-use Heavy Duty Trucks ..................
2007 ..........................
2010 ..........................
2007, 2008, 2010 ......
2011–2015 ................
2007–2008 ................
2010 ..........................
Fuel: 2008–2011 .......
Engines: 2008 ...........
2007, 2008, 2010 ......
Fuel: 2009–2–15 .......
Engines: 2011 ...........
2008–2020 ................
Accelerated Introduction of Cleaner Locomotives.
2008 ..........................
2012 ..........................
Clean Up Existing Harbor Craft ........................
Cleaner In-Use Off-Road Equipment ...............
New Emissions Standards for Recreational
Boats.
Expanded Off-Road Recreational Vehicle
Emissions Standards.
Enhanced Vapor Recovery for .........................
Above Ground Storage Tanks ..........................
Additional Evaporative Emissions Standards ...
2007, 2010 ................
2007, 2010 ................
2013 ..........................
2009–2018 ................
2009 ..........................
tbd .............................
2013 ..........................
tbd .............................
2008 ..........................
....................................
2009 ..........................
....................................
2009–2016.
2010–2012 ................
Consumer Products Program (I & II) ................
2008, 2009, 2011 ......
2010–2014 ................
Auxiliary Ship Cold Ironing and Other Clean
Technologies.
Cleaner Main Ship Engines and Fuels .............
Port Truck Modernization .................................
Elements approved 75 FR 38023 (July 1,
2010).35
Adopted by CARB, June 2009; by BAR, September 2010.
Approved 75 FR 26653 (May 12, 2010).
Proposed approval 76 FR 40562, July 11,
2011.
Adopted December, 2007.
Proposed approval 76 FR 40562, July 11,
2011.
Adopted December 2007 and December
2008.
Prop 1B 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.
Adopted November 2007, revised June 2010.
Waiver action pending.
Partially adopted, July, 2008; additional action
expected 2013.
Partially adopted, July, 2008; additional action
expected 2013.
Adopted June, 2007.
Partial adoption: September, 2008 (outboard
marine tanks).
Approved, 74 FR 57074 (November 4, 2009),
76 FR 27613 (May 12, 2011), and proposed
approval of 2011 rule signed September 28,
2011.
Sources: 2009 State Strategy Status Report, p. 23 (footnotes in original not included) and 2011 Progress Report, Appendix B, Table B–1. Additional information from https://www.ca.arb.gov. Only defined measures with PM2.5,VOC, SOX or NOX reductions in South Coast are shown here.
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Generally speaking, EPA will approve
a State plan that takes emissions
reduction credit for control measures
only where EPA has approved the
measures 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 14, 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
of a number of CARB rules would occur
prior to our final action on the South
Coast PM2.5 Plan. See 76 FR at 41562,
41575 (Table 7). Three specific CARB
35 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. See CARB Progress Report
Supplement, Attachment 5.
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rules on which the attainment
demonstration relies include the Truck
Rule, Drayage Truck Rule, and OceanGoing Vessel (OGV) Rule. We proposed
approval of all three 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 plan
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 three
CARB rules for the following reasons:
• All three rules have been adopted
by CARB and submitted to EPA as a
revision to the California SIP,36 and the
adopted versions are essentially the
36 The Truck Rule and Drayage Truck Rules were
included in a SIP submittal dated September 21,
2011, and the OGV Rule was included in a SIP
submittal also dated September 21, 2011. We have
placed both of these SIP submittals 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 three CARB rules (truck rule,
drayage truck rule, and ocean-going
vessel 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 a 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 nearterm; 37
37 See letters 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 and the OGV Rule 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
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• 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
completed in the near term and that, as
a result, continued reliance by the plan,
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.
B. Enforceable Emissions Reduction
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.
3–5 and 2009 State Strategy Status
Report, pp. 20–21.
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 South
Coast by revising the total reductions
needed from District and State control
strategy measures to 44 tpd for VOC,
129 tpd for NOX, and 41 tpd for SOX
(the remaining reductions needed for
direct PM2.5 remained the same at 9
tpd). See Table 3 below and July 2011
TSD, Table F–10.
We are approving the South Coast
2007 AQMP for attainment of the 1997
PM2.5 standards 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 the
State’s total emission reduction
commitment such that the State is now
obligated to achieve 129 tpd of NOX, 44
tpd of VOC, 41 tpd of SOX, and 9 tpd
of PM2.5 reductions and reductions by
2014 through enforceable control
measures to provide for attainment of
the 1997 PM2.5 NAAQS in the South
Coast. See Table 3 below. The
commitment numbers in this table do
not include reductions from measures
adopted by CARB and the District and
approved or waived by EPA following
submittal of the South Coast AQMP in
2007.
TABLE 3—2014 EMISSIONS REDUCTIONS COMMITMENTS FOR THE SOUTH COAST PM2.5 NONATTAINMENT AREA
[Tons per average annual day in 2014]
A
B
C
D
E
.............
.............
.............
.............
.............
Adjusted 2014 baseline emissions level 1 ...........................
2014 attainment target level 2 .............................................
Reductions needed from control strategy measures (A–B)
District commitments 3 .........................................................
CARB commitments (C–D) .................................................
Direct
PM2.5
VOC
NOX
589
460
129
10.8
118.2
518
474
44
10.4
33.6
SOX
95
86
9
2.9
6.1
61
20
41
2.9
38.1
1 From
2 See
3 See
TSD, Table F–9.
76 FR 41562, 41573, fn 27.
2011 Progress Report, Appendix F, Table 1.
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. We are
approving the attainment demonstration
in the South Coast 2007 AQMP to
address the 1997 PM2.5 standards, based
in part on these enforceable
commitments. See 76 FR 41562, at
41577.
TABLE 4—REDUCTIONS NEEDED FOR ATTAINMENT REMAINING AS COMMITMENTS BASED ON SIP–CREDITABLE MEASURES
[Tons per average annual day in 2014]
NOX
A .............
B .............
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C ............
D ............
E .............
Total reductions needed from baseline and control strategy
measures and other adjustments to the baseline to attain.
Reductions from baseline measures and adjustments to baseline.
Total reductions from approved measures .................................
Total reductions remaining as commitments (A–B–C) ...............
Percent of total reductions needed remaining as commitments
Direct
PM2.5
VOC
633
370
13
33
504
326
4
¥8
59
70
11
20
25
7
8
1
8
41
0
0
As shown in Table 4, the majority of
the emissions reductions that the State
projects are needed for attainment of the
1997 PM2.5 NAAQS in the South Coast
by 2015 come from baseline reductions.
These baseline reductions reflect
numerous adopted District and State
control measures which generally have
later than October 29, 2011. CARB has already
submitted the OGV Rule to OAL. Under California
law, OAL must take action within 30 working days.
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SOX
been approved by EPA either through
the SIP process or the CAA section 209
waiver process, in addition to the effect
of the recent economic recession on
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projected future inventories. See 2011
Progress Report, Appendix E and
Appendices A and B of the TSD. The
remaining reductions needed for
attainment are to be achieved through
the District’s and CARB’s commitments
to reduce emissions in the South Coast.
These aggregate commitments are
shown in Line C of Table 3.38 Since the
submittal of the 2007 AQMP and 2007
State Strategy, the District and CARB
have adopted additional measures that
can be credited toward their aggregate
emissions reduction commitments. The
State’s remaining enforceable
commitments are shown in line E of
Table 3.
As we noted in our July 14, 2011
proposal, we cannot credit District rules
that have not been adopted, submitted
to EPA, and approved (see footnote a to
Table 3, 76 FR 41562, at 41570) or
certain on-road or nonroad measures
that have been given a waiver under
CAA section 209. In our July 14, 2011
proposal, we presented a table with the
State’s remaining enforceable
commitments (see 76 FR 41562, at
41575 (Table 7) of 70 tpd (11%) for
NOX, 11 tpd (3%) for VOC, 1 tpd (8%)
for direct PM2.5, and 0 tpd (0%) for SOX.
Today, we are slightly modifying our
estimate of the State’s remaining
enforceable commitments for VOC. On
July 15, 2011, we published a direct
final rule to approve South Coast Rules
1143 (Consumer Paint Thinners and
Multi-Purpose Solvents) and 1144
(Metalworking Fluids and DirectContact Lubricants). See 76 FR 41744.
We received adverse comments on this
action with respect to Rules 1143 and
1144, and thus withdrew the direct final
rule (see 76 FR 54384, September 1,
2011). We are responding to comments
received on the parallel proposal but
have not yet finalized that action, and
therefore are adding those reductions to
the State’s remaining enforceable
commitment for VOC. The effect of this
action is to slightly increase the State’s
remaining enforceable commitment for
VOC from 11 tpd to 24.5 tpd, an
increase from 4% to 7%, and is reflected
in Table 4 above. This remaining
commitment is still within the range of
10% for enforceable commitments that
we have historically accepted in
approving attainment demonstrations.
IV. Approval of Motor Vehicle
Emissions Budgets
We noted in our July 14, 2011
proposal that CARB had posted
technical revisions to the motor vehicle
emissions budgets on June 20, 2011 (see
76 FR 41562, at 41581 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 the Assembly Bill (AB)
923 program (South Coast’s light and
medium duty high emitter program). In
our July 14, 2011 proposal, we proposed
to approve these revised updated
budgets contingent on our receiving the
SIP submittal from CARB with the
revised updated budgets before our final
action on the South Coast 2007 AQMP
addressing the 1997 PM2.5 standards.
These revised updated 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 posted
these budgets (as posted by CARB on
June 20, 2011) 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 on
these budgets (see the TSD, Section J).
We also discuss the basis for our
approval of the budgets in the TSD,
Section J. We identify the budgets that
69951
we are approving today in Table 5
below.
EPA is also approving the trading
mechanism in the State’s submittal for
use in transportation conformity
analyses by SCAG 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 10 tpd NOX to 1
tpd PM2.5.
Clear documentation of the
calculations used in the trade would be
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 area’s metropolitan
planning organization, the Southern
California Association of Governments
(SCAG) 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
emission changes, recession impacts
and reductions from control measures),
CARB will need to provide SCAG with
emission reductions associated with the
control measures incorporated into the
budgets for the appropriate analysis
years in future conformity
determinations so that they can include
these reductions 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 ton (e.g. 11
tpd).
TABLE 5—SUMMARY OF UPDATED PM2.5 AND PM2.5 PRECURSOR MOTOR VEHICLE EMISSIONS BUDGETS FOR THE SOUTH
COAST PM2.5 NONATTAINMENT AREA
[Tons per annual average day]
2012
2014
NOX
Directly
emitted PM2.5
VOC
NOX
Directly
emitted PM2.5
South Coast Air Basin .............................
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VOC
154
326
37
132
290
35
38 Enforceable control measures adopted and
submitted by CARB or the District and approved or
waived by EPA may be credited towards this
aggregate commitment.
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V. Final Actions and CAA
Consequences of the Final Disapproval
of the Contingency Measure Provisions
A. Final Actions
For the reasons discussed in our July
14, 2011 proposal, EPA approves, with
the exception of the contingency
measure provisions, California’s SIP for
attaining the 1997 PM2.5 NAAQS in the
South Coast nonattainment area, and
grants the State’s request for an
extension of the attainment date to April
5, 2015. California’s PM2.5 attainment
SIP for the South Coast nonattainment
area is composed of the relevant
portions of the South Coast 2007 AQMP
as revised in 2011 and the South Coastspecific 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
standards in the South Coast
nonattainment area.
Specifically, EPA approves under
CAA section 110(k)(3) the following
elements of the South Coast PM2.5
attainment SIP:
1. The 2002 base year emissions
inventory 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 sections
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
supporting air quality modeling as
meeting the requirements of CAA
section 172(c)(1) and(6) and 40 CFR
51.1007;
5. The 2012 RFP and 2014 attainment
year motor vehicle emissions budgets,
as submitted by CARB on July 29, 2011,
because they are derived from the
approvable RFP and attainment
demonstrations and meet the
requirements of CAA section 176(c) and
40 CFR part 93, subpart A; and CARB’s
trading mechanism to be used in
transportation conformity analyses as
allowed under 40 CFR 93.124;
6. SCAQMD’s commitments to the
adoption and implementation schedule
for specific control measures and to
achieve specific aggregate emissions
reductions of direct PM2.5, NOX, VOC,
and SOX listed in Tables 1 through 5 in
Appendix F of the 2011 Progress Report
to the extent that these commitments
have not yet been fulfilled,; and
7. CARB’s commitments to propose
certain defined measures, as listed in
Table B–1 on page 1 of Appendix B of
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the 2011 Progress Report to the extent
that these commitments have not yet
been fulfilled and to achieve aggregate
emission reductions of NOX, VOC,
direct PM2.5 and SOX by 2014 sufficient
to provide for attainment of the 1997
PM2.5 NAAQS as described in CARB
Resolution 07–28, Attachment B at p. 3–
5, the 2009 State Strategy Status Report,
p. 21, and in Table 3 above.
In addition, EPA concurs with the
State’s determination under 40 CFR
51.1002(c) that NOX, SOX, and VOC are
attainment plan precursors and that
ammonia is not an attainment plan
precursor for attainment of the 1997
PM2.5 NAAQS in the South Coast
nonattainment area.
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 South
Coast PM2.5 nonattainment area to April
5, 2015.
Finally, EPA disapproves under CAA
section 110(k)(3) the contingency
measure provisions in the South Coast
2007 AQMP as failing to meet the
requirements of CAA section 172(c)(9)
and 40 CFR 51.1012. We also reject the
assignment of 10 tpd of NOX to the
federal government.
B. CAA Consequences of the Final
Disapproval of the Contingency Measure
Provisions
EPA is committed to working with the
District, CARB and SCAG to resolve the
remaining issues with the SIP that make
the current PM2.5 attainment SIP for the
South Coast nonattainment area not
fully approvable under the CAA and the
PM2.5 implementation rule. However,
because we are finalizing the
disapproval of the contingency measure
provisions in the South Coast 2007
AQMP, the offset sanction in CAA
section 179(b)(2) will apply in the South
Coast PM2.5 nonattainment area 18
months after the effective date of today’s
final disapproval. The 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
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 South Coast 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.
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Because we are approving the RFP
and attainment demonstrations and the
motor vehicle emission 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, final disapproval
would result in a conformity freeze
under which only projects in the first
four years of the most recent conforming
RTP and TIP 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 a
protective finding, however, final
disapproval of the contingency
measures will not result in a
transportation conformity freeze in the
South Coast 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,
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
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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).
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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
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
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69953
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
section 6 of the Executive Order do not
apply to this rule.
H. Executive Order 13211, Actions That
Significantly Affect Energy Supply,
Distribution, or Use
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 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.
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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
perform activities conducive to the use
of VCS.
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.
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K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. section 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. section 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
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
Environmental protection, Air
pollution control, Incorporation by
reference, Intergovernmental relations,
Oxides of nitrogen, Particulate matter,
Reporting and recordkeeping
requirements, Volatile organic
compounds.
Dated: September 30, 2011.
Jared Blumenfeld,
Regional Administrator, 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:
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■
Authority: 42 U.S.C. 7401 et seq.
Subpart F—California
2. Section 52.220 is amended by
adding paragraphs (c)(397), (c)(398),
■
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(c)(399), (c)(400), and (c)(401) to read as
follows:
§ 52.220
Identification of plan.
*
*
*
*
*
(c) * * *
(397) A plan was submitted on
November 16, 2007 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) 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 South Coast
air basin, which represent 6.1 tons per
day (tpd) of direct PM2.5, 38.1 tpd of
SOX, 33.6 tpd of VOC and 118.2 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. 3–5, and modified by CARB
Resolution No. 09–34 (April 24, 2009)
adopting the ‘‘Status Report on the State
Strategy for California’s 2007 State
Implementation Plan (SIP) and
Proposed Revision to the SIP reflecting
Implementation of the 2007 State
Strategy,’’ and by CARB Resolution 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.
(398) A plan was submitted on
November 28, 2007 by the Governor’s
designee.
(i) [Reserved]
(ii) Additional Material.
(A) South Coast Air Quality
Management District.
(1) Final South Coast 2007 Air Quality
Management Plan, adopted on June 1,
2007.
(2) SCAQMD Governing Board
Resolution 07–9, ‘‘A Resolution of the
Governing Board of the South Coast Air
Quality Management District certifying
the final Program Environmental Impact
Report for the 2007 Air Quality
Management Plan, adopting the Final
2007 Air Quality Management Plan
(AQMP), to be referred to after adoption
as the Final 2007 AQMP, and to fulfill
USEPA Requirements for the use of
emissions reductions form the Carl
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Moyer Program in the State
Implementation Plan,’’ June 1, 2007.
Commitments to achieve emissions
reductions (including emissions
reductions of 2.9 tons per day (tpd) of
direct PM2.5, 2.9 tpd of SOX, 10.4 tpd of
VOC and 10.8 tpd of nitrogen oxides by
2014) as described by SCAQMD
Governing Board Resolution No. 07–9,
p. 10, June 1, 2007, and modified by
SCAQMD Governing Board Resolution
11–9, p. 3, March 4, 2011, and
commitments to adopt and submit
control measures as described in Table
4–2A of the Final 2007 AQMP, as
amended March 4, 2011.
(B) State of California Air Resources
Board.
(1) CARB Resolution No. 07–41,
September 27, 2007.
(399) 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,
Appendices B and C. Release Date:
March 29, 2011.
(2) CARB Resolution No. 11–24, April
28, 2011.
(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.
(400) An amended plan was
submitted on May 19, 2011 by the
Governor’s designee.
(i) [Reserved]
(ii) Additional Material.
(A) South Coast Air Quality
Management District.
(1) Revisions to the 2007 PM2.5 and
Ozone State Implementation Plan for
South Coast Air Basin and Coachella
Valley (SIP Revisions), adopted on
March 4, 2011.
(2) SCAQMD Governing Board
Resolution 11–9, ‘‘A Resolution of the
South Coast Air Quality Management
District Governing Board (AQMD)
certifying the Addendum to Final
Program Environmental Impact Report
(PEIR) for the 2007 Air Quality
Management Plan, (AQMP), for a
revision to the Final 2007 AQMP, to be
referred to after adoption as the
Revision to the Final 2007 AQMP,’’
March 4, 2011.
(B) State of California Air Resources
Board.
E:\FR\FM\09NOR4.SGM
09NOR4
Federal Register / Vol. 76, No. 217 / Wednesday, November 9, 2011 / Rules and Regulations
jlentini on DSK4TPTVN1PROD with RULES4
(1) 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 the PM2.5 State
Implementation Plans (SIP) for the
South Coast and San Joaquin Valley Air
Basins and Proposed SIP Revisions.’’
(401) An amended plan was
submitted on July 29, 2011 by the
Governor’s designee.
(i) [Reserved]
VerDate Mar<15>2010
18:37 Nov 08, 2011
Jkt 226001
(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–5 (dated June 20,
2011), adopted July 21, 2011.
PO 00000
Frm 00029
Fmt 4701
Sfmt 9990
69955
(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 and
Technical Revisions to the PM2.5 State
Implementation Plan Transportation
Conformity Budgets for the South Coast
San Joaquin Valley Air Basin,’’ July 21,
2011.
[FR Doc. 2011–27620 Filed 11–8–11; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\09NOR4.SGM
09NOR4
Agencies
[Federal Register Volume 76, Number 217 (Wednesday, November 9, 2011)]
[Rules and Regulations]
[Pages 69928-69955]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-27620]
[[Page 69927]]
Vol. 76
Wednesday,
No. 217
November 9, 2011
Part V
Environmental Protection Agency
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40 CFR Part 52
Approval of Air Quality Implementation Plans; California; South Coast;
Attainment Plan for 1997 PM2.5 Standards; Final Rule
Federal Register / Vol. 76, No. 217 / Wednesday, November 9, 2011 /
Rules and Regulations
[[Page 69928]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R09-OAR-2009-0366; FRL-9482-9]
Approval of Air Quality Implementation Plans; California; South
Coast; Attainment Plan for 1997 PM2.5 Standards
AGENCY: U.S. 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 Los Angeles-South Coast
area (South Coast). These SIP revisions are the South Coast 2007 Air
Quality Management Plan (South Coast 2007 AQMP) (revised 2011) and
South Coast-related provisions of the 2007 State Strategy (revised 2009
and 2011). EPA is approving the emissions inventory; reasonably
available control measures/reasonably available control technology
demonstration; the reasonable further progress and attainment
demonstrations 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
South Coast to April 5, 2015 and approving commitments to measures and
reductions by the South Coast Air Quality Management District and the
California Air Resources Board. Finally, we are disapproving the SIP's
contingency measures and issuing a protective finding under 40 CFR
93.120(a)(3), and we are rejecting the assignment of 10 tons per day
(tpd) of nitrogen oxide (NOX) reductions to the federal
government.
DATES: Effective Date: This rule is effective on January 9, 2012.
ADDRESSES: EPA has established docket number EPA-R09-OAR-2009-0366 for
this action. The index to the docket is available electronically at
https://www.regulations.gov and in hard copy at EPA Region IX, 75
Hawthorne Street, San Francisco, California. While all documents in the
docket are listed in the index, some information may be publicly
available only at the hard copy location (e.g., copyrighted material),
and some may not be publicly available in 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.
Copies of the SIP materials are also available for inspection in
the following locations:
California Air Resources Board, 1001 I Street, Sacramento,
CA 95812
South Coast Air Quality. Management District, 21865 E.
Copley Drive, Diamond Bar, CA 91765.
The SIP materials are also electronically available at https://www.aqmd.gov/aqmp/07aqmp/ and https://www.arb.ca.gov/planning/sip/2007sip/2007sip.htm.
FOR FURTHER INFORMATION CONTACT: Wienke Tax, Air Planning Office (AIR-
2), U.S. Environmental Protection Agency, Region IX, (415) 947-4192,
tax.wienke@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 2007 State
Implementation Plan for Attainment of the 1997 PM2.5
Standards in the South Coast Nonattainment Area
II. Summary of Public Comments Received on the Proposals and EPA
Responses
III. Approval Status of the Control Strategy Measures and
Enforceable Emissions Reduction Commitments
IV. Approval of Motor Vehicle Emissions Budgets
V. Final Actions and Clean Air Act Consequences
VI. Statutory and Executive Order Reviews
I. Summary of EPA's Proposed and Final Actions on the 2007 State
Implementation Plan for Attainment of the 1997 PM2.5
Standards in the South Coast Nonattainment Area
On July 14, 2011 (76 FR 41562), 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 Los Angeles-South Coast Air Basin
Area (South Coast).\1\ California developed this SIP to provide for
expeditious attainment of the PM2.5 standards in the South
Coast and to meet other applicable PM2.5 planning
requirements in Clean Air Act (CAA) section 172(c) and EPA's
PM2.5 implementation rule.\2\
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\1\ The area referred to as ``Los Angeles-South Coast Air
Basin'' (South Coast Air Basin or ``South Coast'') includes Orange
County, the southwestern two-thirds of Los Angeles County,
southwestern San Bernardino County, and western Riverside County.
For a precise description of the boundaries of the Los Angeles-South
Coast Air Basin, see 40 CFR 81.305.
\2\ ``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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In all, California has made six submittals to address these
PM2.5 SIP planning requirements for the South Coast. The two
principal ones are the South Coast Air Quality Management District
(SCAQMD or District) Final 2007 South Coast Air Quality Management Plan
(AQMP) (amended 2011) and the California Air Resources Board (CARB)
Final 2007 State and Federal Strategy (2007 State Strategy) (amended
2009 and 2011).\3\ Together, the South Coast 2007 AQMP and the 2007
State Strategy present a comprehensive and innovative strategy for
attaining the 1997 PM2.5 standards in the South Coast.
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\3\ These SIP submittals are:
1. SCAQMD, Final 2007 Air Quality Management Plan (AQMP),
adopted on June 1, 2007 by the SCAQMD and September 27, 2007 by
CARB, submitted on November 28, 2007.
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. 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.''
5. SCAQMD, Revisions to the 2007 PM2.5 and Ozone State
Implementation Plans for the South Coast Air Basin and Coachella
Valley (SIP Revisions), adopted on March 4, 2011 by the SCAQMD
Governing Board and approved by the CARB Board on April 28, 2011 and
submitted on May 19, 2011.
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, (South Coast PM2.5 SIP MVEBs
only) adopted on July 21, 2011 by CARB and submitted on July 29,
2011. (2011 Ozone SIP Revision). Only the PM2.5 motor
vehicle emissions budgets in this submittal are addressed in today's
action.
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In our July 2011 notice, we proposed multiple approval actions on
the South Coast 2007 AQMP. First, we proposed to approve the SIP's base
year emissions inventory, the reasonably available control measure
(RACM)/reasonably available control technology (RACT) demonstration,
the reasonable further progress (RFP) and attainment demonstrations and
associated air quality modeling, and related motor vehicle emissions
budgets (budgets).\4\
[[Page 69929]]
Second, we proposed to approve enforceable commitments by both the
District and CARB to certain measures and specific amounts of emissions
reductions. Third, we also proposed to concur with the State's
determination that NOX, sulfur oxides (SOX), and
volatile organic compounds (VOC) are, and ammonia is not, attainment
plan precursors for attainment of the 1997 PM2.5 NAAQS in
the South Coast nonattainment area. Fourth, we proposed to grant
California's request to extend the attainment date for the South Coast
PM2.5 nonattainment area to April 5, 2015. See 76 FR 41562.
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\4\ 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. In lieu of these budgets, we
proposed to approve alternative budgets that CARB had developed and
posted for public comment as part of its 2011 Ozone SIP Revision 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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We also proposed to disapprove the contingency measure provisions
of the South Coast 2007 AQMP as failing to meet the requirements of the
CAA as interpreted in EPA guidance. In addition, we noted that we were
rejecting the assignment of 10 tpd of NOX emissions to the
federal government.
A more detailed discussion of each of California's SIP submittals
for the South Coast area, the CAA and EPA requirements applicable to
them, and our evaluation and proposed actions, can be found in the July
14, 2011 Federal Register notice and the technical support document
(TSD) for this final action.\5\
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\5\ ``Final Technical Support Document and Response to Comments,
Final Rulemaking Action on the South Coast 2007 AQMP for
PM2.5 and the South Coast Portions of the Revised 2007
State Strategy,'' 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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Our July 2011 proposal was the second time that EPA proposed action
on California's South Coast 2007 AQMP to address attainment of the 1997
PM2.5 NAAQS. On November 22, 2010, (75 FR 71294) rule, 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 that comment period,
CARB adopted and submitted revisions to the South Coast 2007 AQMP 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. As part of our final action, EPA has considered and provided
responses to all significant comments submitted in response to both the
November 2010 and the July 2011 proposals.
EPA is today approving most elements of the South Coast 2007 AQMP
based on our conclusion that they comply with applicable CAA
requirements and provide for expeditious attainment of the 1997
PM2.5 standards in the South Coast nonattainment area. We
are also today disapproving the SIP's contingency measure provisions
because they do not provide sufficient emissions reductions. We are
continuing to work with the State and District to identify additional
control measures and programs that meet the CAA's requirements for
contingency measures consistent with EPA regulations and policy.
II. Summary of Public Comments Received on the Proposals and EPA
Responses
As part of our final action, EPA has considered and provided
responses to all significant comments submitted in response to both the
November 2010 and the July 2011 proposals.
We received eleven comment letters in response to our November 22,
2010 proposal and July 14, 2011 supplemental proposal. In the following
sections, we summarize our responses to the most significant comments
that we received on the proposals. Our full responses to all the
comments received can be found in the ``Response to Comments'' section
of the TSD accompanying today's rulemaking.
We received comments on both proposals from the Natural Resources
Defense Council (NRDC) representing various organizations.
We received letters on both proposals from Communities for a Better
Environment (CBE) representing various organizations.
We received comment letters on both proposals from the South Coast
Air Quality Management District.
We received comments from CARB on our November 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.
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We received comments from Kirk Marckwald, California Environmental
Associates, on behalf of the Association of American Railroads, on our
November proposal.
Michael W. Lewis, Construction Industry Air Quality Coalition
(CIAQC), on behalf of a number of its members, submitted comments on
our July amended proposal.
Lawrence J. Joseph, on behalf of the American Road and
Transportation Builders Association (ARTBA), submitted comments on our
July amended proposal.
Robin Hall, private citizen, submitted comments on our November
proposal.
A. Comments on Proposed Approval of the Emissions Inventory
Comment: NRDC comments that EPA proposes to approve the inventories
in the South Coast 2007 AQMP because they were current and accurate
``at the time the Plan was developed and submitted,'' citing 76 FR
41567. NRDC argues that such language is not in the CAA and the
addition is not a reasonable extension of Congress's intent. NRDC
argues that Congress did not mean for EPA to rely on inventory data
that EPA knew to be incorrect on the basis that the data was thought to
be accurate at the time it was submitted because Congress' goal is to
ensure the adoption and approval of SIPs that will achieve clean air.
NRDC notes that section 172(c)(3) expressly envisions that EPA may
require revisions to the inventory ``to assure that the requirements of
this part are met.'' EPA's interpretation would suggest that the only
time such revisions are needed is when it is found that the inventory
is not current or accurate as of the date it is submitted and this
would undermine any assurance that ``the requirements of [Part D] are
met.''
Response: EPA does not dispute the importance of emissions
inventories. We evaluated the emissions inventories in the 2007 AQMP 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
South Coast 2007 AQMP's base year emissions inventory was based on the
most current and accurate information available to the State and
District at the time that it was developed and submitted and
comprehensively addresses all source categories in the South Coast
area, consistent with applicable CAA requirements and EPA guidance. See
76 FR 41562 at 41566-41567 and July 2011 TSD \7\ at section II.A.; 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 South Coast 2007 AQMP for PM2.5
and the South Coast Portions of the 2007 State Strategy,'' Air
Division, U.S. EPA, Region 9, June 29, 2011, ``July 2011 TSD.''
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[[Page 69930]]
We do not agree with NRDC's suggestion that this inventory
undermines the attainment demonstration in the Plan. To the contrary,
as discussed in the proposed rule (76 FR 41562, 41567) and in section
II.B. below, we have concluded that the State's changes to its
methodologies for estimating future 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. Although significant changes to a base year inventory that
undermine the assumptions in an attainment demonstration may call for a
more comprehensive reevaluation of the modeling and other planning
analyses supporting that demonstration, we conclude based on our
technical assessment that such a comprehensive reevaluation is not
necessary in this case. 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 improvement 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.
As we stated in our proposal, since late 2007, California has
experienced an economic recession that has greatly reduced current
levels of economic activity in the State's construction and goods
movement sectors. The recession has resulted in lowered projected
future levels of activity in this sector. 2011 Progress Report,
Appendix E. As a result, projected emission levels from these
categories are now substantially lower than the levels projected for
2008 and later in the Plan as submitted in 2007. At this time,
California is addressing these recession impacts on future economic
activity through adjustments to the baseline inventories for specific
source categories. See 2011 Progress Report, Appendix E, page 2. There
are no recession-related adjustments to the 2002 base year inventory in
the South Coast 2007 AQMP. CARB also made technical changes to the
inventories for diesel trucks, buses, and certain categories of off-
road mobile source engines as part of its December 2010 rulemaking
amending the In-Use On-Road Truck and Bus Rule and the In-Use Off-Road
Engine rule.\8\ Id. The State estimates that these changes collectively
reduce the 2002 base year total inventory in the South Coast by 4
percent for NOX and 5 percent for PM2.5. See 76
FR 41562, at 41567.
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\8\ CARB revised population, regional allocation factors,
lifetime odometer assumptions, growth rates, and forecasted vehicle
age distributions for heavy duty truck and buses, and updated
equipment population, activity, load factors, and future equipment
sales for construction equipment, based on updated information. See
https://www.arb.ca.govregact/2010/truckbus10/truckbus10.htm and
https://www.arb.ca.govregact/2010/offroadlsi10/offroadlsi10.htm.
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Comment: NRDC questions EPA's calculations that estimated the
emissions changes to the 2002 base year inventory (see 76 FR 41562, at
41567), noting that EPA's calculations come from a May 18, 2011 letter
from CARB providing supplemental information. NRDC then asserts that
these numbers do not match with statements in staff reports on the
diesel rules; however, NRDC does not provide the statements or data
from the staff reports.
Response: As NRDC noted, EPA calculated the change in the 2002 base
year emission inventory based on information provided in the 2011
Progress Report Supplement, transmitted by CARB on May 18, 2011. We
took the difference between the ``SIP'' estimate and the ``Current
Estimate'' columns in Attachment 1, Table SC-2002, to the May 18 letter
and divided by the ``SIP'' estimate to calculate the percent change in
the inventories. We explain these calculations in our TSD in Section
II.A.
B. Comments on Credit for Baseline Measures
Comment: NRDC asserts that EPA's proposed rule and TSD fail to
clearly and accurately account for the measures that contribute to
specific emission reductions, such as the Federal, state, and district
rules adopted before October 2006 (``baseline measures'') that are
incorporated into the baseline inventory. NRDC argues that California
and SCAQMD must have the data related to these emission reduction
estimates, which are critical to the integrity of the Plan, and that an
EPA approval of the emissions inventories in the absence of this data
would be arbitrary and capricious. NRDC also argues that this ``gap in
data'' is made more problematic by the fact that EPA does not require
California's mobile source control measures that have received a waiver
of preemption under CAA section 209 (``waiver measures'') to be
approved into the SIP.
Response: As to the commenter's assertion about the ``gap in data''
regarding baseline measures and projected baseline inventories, we
disagree that there is any inadequacy in the emissions projections that
undermines the RACM, RFP or attainment demonstrations in the South
Coast 2007 AQMP and 2007 State Strategy. We explained in our amended
proposal (76 FR 41562 at 41566-41567) our reasons for concluding both
that the 2002 base year inventory in the South Coast 2007 AQMP 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 July
14, 2011 proposal (76 FR 41562), we explained why we believe such
credit is appropriate. See TSD at section II.F.4.a.i (pp. 97-100).
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
[[Page 69931]]
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.) The South Coast 2007 AQMP 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 and
prior to the release of MOVES made through the use of the MOBILE model.
All other states use the MOVES 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., agricultural,
construction, lawn and garden and off-road recreation equipment) are
estimated through use of CARB's OFFROAD emissions factor model.\9\
(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 non-road 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.
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\9\ 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.
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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 Emission 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.\10\ 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. The South Coast 2007 AQMP describes how
the District developed the future baseline inventories in the plan,
based in part on the emissions data and baseline projections provided
by CARB and other California agencies. See generally South Coast 2007
AQMP, Appendix III. The District's projections took into account the
controls implemented under SCAQMD rules adopted as of June 2006, most
CARB regulations adopted by June 2005, and a specific set of growth
rates from the Southern California Association of Governments (SCAG)
for population, industry, and motor vehicle activity, among other
factors. See id. at 2-3. 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 controls were consistent with EPA guidance on
developing projected baseline inventories. See 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;
``Emission Projections,'' STAPPA/ALAPCO/EPA Emission Inventory
Improvement Project, Volume X, December 1999 (available at https://www.epa.gov/ttnchie1/eiip/techreport/volume10/x01.pdf).
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\10\ 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; see also South Coast 2007
AQMP, Appendix III at pp. 1-9 through 1-15 (describing the SCAQMD's
and CARB's methodologies for developing 2002 base year emissions
estimates for stationary point and area sources).
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In sum, the 2002 base year and future projected baseline
inventories in the South Coast 2007 AQMP were prepared using a
sophisticated set of CARB and SCAQMD 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
EPA-approved California motor vehicle emissions factor model
(EMFAC2007) and the most recent motor vehicle activity data from SCAG;
(2) improved methodologies for estimating emissions from specific
source categories; and (3) CARB's non-road mobile source model (the
OFFROAD model). See TSD at Section II.A (referencing, inter alia, South
Coast 2007 AQMP at Appendix III and 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
South Coast are inadequate to support the RACM, RFP, and attainment
demonstrations in the South Coast 2007 AQMP.
For all of these reasons and as discussed in our amended proposal
(76 FR 41562 at 41566-41567), we have concluded that the 2002 base year
inventory in the South Coast 2007 AQMP is a ``comprehensive, accurate,
current inventory of actual emissions from all sources of the relevant
pollutant or pollutants'' in the South Coast area, consistent with the
[[Page 69932]]
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 TSD at section II.A.
C. Comments on PM2.5 Plan Precursors
Comment: NRDC commented that our proposed rule does not adequately
explain why ammonia (NH3) is not a precursor for
PM2.5 formation.
Response: Under the PM2.5 implementation rule, ammonia
is not a PM2.5 plan precursor unless either EPA or the State
provides an appropriate technical demonstration showing that ammonia
emissions from sources in the State significantly contribute to
PM2.5 concentrations in the nonattainment area. See 40 CFR
51.1002(c)(4). Absent such a technical demonstration, the State is not
required to address ammonia in its PM2.5 attainment plan or
to evaluate sources of ammonia emissions in the State for control
measures.
Comment: Communities for a Better Environment (CBE) asserts that
methane is a reactive VOC, a smog precursor, and a potent greenhouse
gas (GHG), and that EPA should require the SCAQMD to revise its
definition of VOC in Rule 102 to remove the exemption for methane. In
support of these assertions, CBE states that: (1) A 2002 Harvard
University modeling study \11\ concludes that methane reductions could
be highly effective in reducing ambient ozone levels; (2) SCAQMD's
draft 2007 AQMP identified significantly larger amounts of Total
Organic Gases (TOG) including methane from refineries than VOC
emissions (10.1 tons per day (tpd) of TOG versus 6 tpd of VOC); (3) the
District should require control of all organic gases from oil
refineries; and (4) the District should also review its list of other
TOG compounds that are exempt from regulation. CBE contends that
regulation of methane is a reasonably available control measure that
should be required because additional VOC reductions are needed to
satisfy RACT/RACM requirements.
---------------------------------------------------------------------------
\11\ Fiore, et al, Harvard University, Linking ozone pollution
and climate change: The case for controlling methane, 2002. https://www.gfdl.noaa.gov/bibliography/related_files/amf0201.pdf.
---------------------------------------------------------------------------
Response: The SCAQMD's definition of VOC in Rule 102 is consistent
with EPA's definition of VOC in 40 CFR 51.100(s), which excludes
methane because it has been determined to have negligible photochemical
reactivity. 40 CFR 51.100(s)(1); see also 62 FR 44900 (August 25, 1997)
(final rule revising definition of VOC to exclude methane and other
compounds). EPA approved Rule 102 into the SCAQMD portion of the
California SIP on January 8, 2007. See 72 FR 656. Accordingly, pursuant
to its SIP-approved definition of VOC, SCAQMD is not required to
regulate methane as a VOC for purposes of preparing SIPs to attain the
NAAQS. To the extent that CBE intended to challenge the exclusion of
methane from EPA's regulatory definition of VOC at 40 CFR 51.100(s),
such a challenge is outside the scope of today's action on the
PM2.5 attainment plan for the South Coast area. Likewise,
CBE's assertions about the effect of methane controls on ambient ozone
levels are also outside the scope of today's action, which addresses
the State's plan for attaining the 1997 PM2.5 standards.
D. Comments on Reasonably Available Control Measures (RACM)
Demonstration
Comment: CBE states that EPA should require the SCAQMD to complete
a new RACM/RACT demonstration including assessment of all available
control measures for direct emissions of PM2.5 as well as
measures for control of secondary PM2.5 resulting from
NOX, SOX, and VOC emissions. CBE also provides a
list of potential pollution control and energy efficiency measures that
it asserts should be included ``as part of a new, broader, and complete
RACM/RACT assessment to demonstrate attainment expeditiously.''
Finally, CBE asserts that because the South Coast 2007 AQMP is several
years old, it is important to reassess and update the control measures
in the plan, especially given the SCAQMD's failure to demonstrate
attainment. CBE is also opposed to what it characterizes as EPA
proposed approval of a commitment by CARB to propose measures later, as
a lump sum.
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 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
[[Page 69933]]
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 discussed in our July 14, 2011 amended proposal, we have
evaluated the collection of reasonably available control measures that
CARB, the District, and the Southern California Association of
Governments (SCAG) have adopted and submitted with the attainment
demonstration in the South Coast 2007 AQMP and 2007 State Strategy to
meet the RACM/RACT requirement in CAA section 172(c)(1) and 40 CFR
51.1010. See 76 FR 41562 at 41568-41572 and TSD at section II.D. For
the reasons discussed in our amended proposal and as further discussed
below, we conclude that the South Coast 2007 AQMP and the 2007 State
Strategy demonstrate that the State has adopted all reasonably
available control measures (including RACT for stationary sources)
necessary to demonstrate attainment as expeditiously as practicable and
to meet any RFP requirements, as required by CAA section 172(c)(1) and
40 CFR 51.1010. Thus, we disagree with CBE's assertion that the
additional measures it has identified are required RACM under CAA
section 172(c)(1) for purposes of the 1997 PM2.5 NAAQS in
the South Coast and or that it is necessary to reassess or update the
control measures in the plan at this time. We explain more specifically
below our reasons for concluding that the additional control options
and energy efficiency measures identified by CBE are not required RACM
for purposes of attaining the 1997 PM2.5 NAAQS in the South
Coast.
Comment: CBE objects to what it characterizes as CARB's ``promise
to `propose' measures later, in a lump sum,'' and argues that this
provides the public with no assurance that attainment will be achieved.
CBE asserts that individual emission reduction targets should be
attached to each separate measure and they should be individually
required. Finally, CBE argues that ``[a]lternative control measures and
emissions trading should not be allowed, because of deficiencies in the
reliability of such programs.''
Response: We disagree with CBE's contention that it is necessary
for the State to commit to individual measures with specific emission
reduction targets for each measure. For the reasons discussed in our
proposed rule (see 76 FR 41562 at 41575-41577) and further below (see
responses to comments on ``enforceable commitments''), we conclude that
CARB and the SCAQMD have satisfied the criteria that EPA has
historically applied in approving attainment demonstrations based in
part on enforceable commitments in lieu of adopted measures. 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 South Coast by April 5, 2015.
See 76 FR 41562, at 41571 and CARB Resolution 07-28 (September 27,
2007, Attachment B, p. 3). As discussed below in our responses to
comments on ``enforceable commitments,'' the 2011 SIP revisions changed
the total amount of reductions needed from control strategy measures in
2014 to 44 tpd of VOC reductions, 129 tpd of NOX reductions,
and 41 tpd of SOX reductions (the PM2.5 remaining
commitment stayed the same at 9 tpd of directly-emitted
PM2.5). See July 2011 TSD, Table F-10. Although CARB's
commitment provides that it may adopt ``alternative'' measures (i.e.,
measures different from the potential control options identified in the
South Coast 2007 AQMP or 2007 State Strategy), ultimately the State is
obligated to achieve these specific aggregate amounts of emission
reductions through the adoption of enforceable measures no later than
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). The State's
commitments to achieve specific amounts of emission reductions by 2014
are enforceable by EPA and citizens under CAA sections 113 and 304,
respectively. We note that CARB has already adopted and submitted to
EPA either for SIP-approval or for a CAA section 209 waiver most of the
measures it had committed to adopt in the 2007 State Strategy, as
revised. See 2011 Progress Report, Appendix B, Table B-1.
It is unclear what CBE intends by stating that ``alternative
control measures and emissions trading should not be allowed'' because
of deficiencies in their reliability.
Comment: CBE asserts that the South Coast 2007 AQMP must set Best
Available Retrofit Control Technology (BARCT) standards for
NOX and other PM2.5 precursor emissions from
industrial boilers and heaters, and that it should require replacement
of old and severely inefficient equipment at oil refineries and other
large sources. CBE also asserts that the SCAQMD's Regional Clean Air
Incentives Market (RECLAIM) program does not produce the emission
reductions that are achievable from industrial boilers and heaters
because it allows sources to buy and sell credits. CBE contends that a
RACM demonstration should include evaluation of each industrial boiler
and heater, including its age, the type of fuel it uses, and its
emissions of criteria pollutants, toxics and GHGs. Additionally, CBE
claims that CARB, as part of its recent Greenhouse Gas (GHG) regulatory
process under California's Assembly Bill 32 (AB32), identified numerous
methods for increasing energy efficiency, reducing fuel use, and thus
reducing emissions of criteria pollutants and precursors as well as
GHGs statewide, and that EPA should require the SCAQMD to carry out the
same evaluation for industrial boilers and heaters in the South Coast.
CBE contends that such energy efficiency measures could also save
money. Finally, CBE asserts that Ultra-Low NOX burners are
cost-effective and must be evaluated as part of a RACM analysis for
industrial boilers and heaters.
Response: The SCAQMD had adopted two regulations to control
NOX emissions from industrial boilers, steam generators and
process heaters in the South Coast: Rule 1146.1 (for boilers with rated
heat inputs between 2 and 5 MMBtu/hour) and Rule 1146 (for boilers with
rated heat inputs above 5 MMBtu/hour, with certain exemptions). EPA has
approved both of these rules into the SIP. See 67 FR 16640 (April 8,
2002) and 60 FR 46220 (September 6, 1995). EPA recently proposed a
limited approval and limited disapproval of revisions to these rules
that further tighten the NOX emission limits in both rules.
See 76 FR 40303 (July 8, 2011).\12\ As part of that action, we
evaluated the stringency of the rules' control requirements and
proposed to conclude that the rules together require all control
measures that are reasonably available for covered boilers, steam
generators and process heaters. See id. and associated technical
support documents
[[Page 69934]]
(TSDs). We also noted that the NOX emission limits in both
rules are equivalent to California BARCT standards for these types of
boilers, steam generators and process heaters. See id. According to the
SCAQMD's staff report on Rule 1146, most boilers subject to the rule
will have to use either ultra-low NOX burners or selective
catalytic reduction (SCR) controls to meet the rule's emission limits,
depending on the size of the boiler. See Final Staff Report, Proposed
Amended Rule 1146--Emissions of Oxides of Nitrogen from Industrial,
Institutional, and Commercial Boilers, Steam Generators, and Process
Heaters, at ES-1. Boilers with rated heat inputs above 40 MMBtu/hour
located at refineries are subject to the NOX and
SOX emission caps in SCAQMD's RECLAIM program, discussed
immediately below. See email dated September 22, 2011, from Ken
Mangelsdorf (SCAQMD) to Idalia Perez (EPA Region 9), re: ``question
about refineries and RECLAIM.'' These adopted measures require all RACM
for covered industrial boilers, steam generators and process heaters in
the South Coast and provide an adequate basis for approving the RACM
demonstration in the South Coast 2007 AQMP with respect to such
emission units. We therefore disagree with CBE's assertion that the
SCAQMD is required to evaluate additional control measures for
industrial boilers and heaters as part of its RACM demonstration for
the 1997 PM2.5 standards.
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\12\ Our proposed limited disapproval was based on specific
deficiencies in the compliance provisions in both rules. These
enforceability deficiencies do not alter our proposal to conclude
that the NOX emission limits in the rule, which are more
stringent than the SIP-approved version of the rule, represent RACT-
level controls. See TSDs at page 3. Note, however, that these
measures are not eligible for SIP credit until EPA approves rule
revisions correcting the enforceability deficiencies identified in
our proposal. We expect the State to submit, as expeditiously as
practicable, rule revisions to address these deficiencies consistent
with its enforceable emission reduction commitments. See 76 FR 41562
at 41569, Table 3.
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We also disagree with CBE's objections to the inclusion of RECLAIM
as a RACM measure. RECLAIM is a market incentive program designed to
provide sources flexibility in complying with emissions limitations.
Cap and trade programs, like RECLAIM, can take into account emissions
control technology by limiting the size of the emissions cap. EPA
policy provides that a cap and trade program may satisfy RACT by
ensuring that the level of emission reductions resulting from
implementation of the program will be equal, in the aggregate, to those
reductions expected from the direct application of RACT on affected
sources within the nonattainment area. See 59 FR 16690 (April 7, 1994)
and ``Improving Air Quality with Economic Incentive Programs,'' EPA-
452/R-01-001 (January 2001), at Section 16.7. EPA approved the RECLAIM
program into the California SIP in June 1998 based in part on a
conclusion that the NOX emission caps in the program
satisfied the RACT requirements of CAA section 182(b)(2) and (f) for
covered NOX emission sources \13\ in the aggregate. See 61
FR 57834 (November 8, 1996) and 63 FR 32621 (June 15, 1998). In 2005
and 2010, the SCAQMD tightened the NOX and SOX
emissions caps in Rule 2002 to address California Health and Safety
Code requirements for BARCT,\14\ to require that agricultural sources
be subject to existing command-and-control regulations instead of
RECLAIM, and to satisfy a NOX reduction commitment in the
2003 AQMP. See Technical Support Document for EPA's Rulemaking for the
California SIP regarding SCAQMD RECLAIM program rules, March 27, 2006,
at pp. 5, 6 and Attachment 4. EPA approved the revisions to the
NOX and SOX emission caps in Rule 2002 on August
29, 2006 and August 12, 2011 respectively, based in part on conclusions
that the revisions continue to satisfy NOX RACT
requirements. See 71 FR 51120 (August 29, 2006) and 76 FR 50128 (August
12, 2011). Because RECLAIM achieves reductions of NOX
emissions from covered sources that are equivalent, in the aggregate,
to the reductions achieved by RACT-level controls, we conclude that it
requires all RACM for covered sources. See 76 FR at 41569, Table 3.
---------------------------------------------------------------------------
\13\ RECLAIM generally applies to facilities that emit 4 tons or
more per year of NOX or SOX in the year 1990
or subsequent years. See Rule 2001.
\14\ BARCT is defined as ``an emission limitation that is based
on the maximum degree of reduction achievable taking into account
environmental, energy, and economic impacts by each class or
category of source.'' See California Health and Safety Code, Section
40406.
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Comment: CBE asserts that emissions of criteria pollutants, toxics,
and GHGs could be reduced by requiring the SCAQMD to implement the
findings of industrial energy use audits performed under California's
AB32 program. Specifically, CBE asserts that the SCAQMD could
supplement CARB's work under AB32 by: (1) Requiring implementation of
potential energy efficiency improvements identified through audits; (2)
expanding the audit requirements to cover more industrial sources,
including certain large sources and oil refineries exempted from CARB's
program; and (3) improving the reporting requirements associated with
the audits. CBE states that industrial energy efficiency assessments
not only reduce pollution but also reduce energy costs and should be
required RACM for purposes of the PM2.5 NAAQS and other
standards. CBE contends, therefore, that EPA should require the SCAQMD
to add such auditing requirements to the South Coast 2007 AQMP in
strengthened form with emission reduction targets.
Response: Although we agree generally that improvements in energy
efficiency can reduce emissions of criteria and other air pollutants,
we disagree with CBE's assertion that the specific measures associated
with energy efficiency that it has identified are required RACM for
purposes of attaining the 1997 PM2.5 standards in the South
Coast. Under the PM2.5 Implementation Rule at 40 CFR
51.1010(b), ``[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.'' CBE asserts only generally that the measures it has
identified are reasonably available for implementation in the South
Coast considering technical and economic feasibility, and provides no
information to support a conclusion that these additional measures
would, individually or collectively with other reasonable measures,
advance attainment of the 1997 PM2.5 standards by at least
one year in the South Coast.
We explained in the preamble to the PM2.5 Implementation
Rule (72 FR 20586) that although States must conduct a thorough
analysis of reasonably available measures, States are not required to
analyze every conceivable measure to satisfy the RACM requirement in
CAA section 172(c)(1). 72 FR at 20612. As long as a State's analysis is
``sufficiently robust in considering potential measures to ensure
selection of all appropriate RACT and RACM, and the State provides a
reasoned justification for its analytical approach, we will consider
approving that State's RACT/RACM strategy.'' Id. As discussed in our
July 14, 2011 amended proposal, CARB, the SCAQMD, and SCAG have
conducted thorough analyses of all reasonable control measures
(including RACT \15\ for stationary sources) that are available for
implementation in the South Coast and provided reasoned justifications
for the collection of RACM that the State has adopted or committed to
adopt, based on these analyses. See 76 FR 41562 at 41568, 414572 and
TSD at section II.D; see also South Coast 2007 AQMP, Appendix VI. CBE's
comments do not change our conclusion that the State has adopted all
RACM and RACT necessary to demonstrate attainment as expeditiously as
practicable and to meet any RFP requirements, as required by
[[Page 69935]]
CAA section 172(c)(1) and 40 CFR 51.1010.
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\15\ EPA has defined RACT as the lowest emission limitation that
a particular source is capable of meeting by the application of
control technology that is reasonably available considering
technological and economic feasibility. 44 FR 53762 (September 17,
1979).
---------------------------------------------------------------------------
Comment: CBE asserts that SCAQMD ``must implement measures [for
additional SOX reduction] that were identified in the recent
SOX RECLAIM regulation, but not adopted.''
Response: This comment does not contain sufficient specificity for
EPA to respond.
Comment: CBE asserts that major flaring and smoking episodes occur
regularly at refineries in the region \16\ and that the SCAQMD must
require that every refinery have a flare minimization plan (FMP)
consistent with rigorous control methods achieved by two specific oil
refineries in Martinez, California and Flint Hills, Texas. CBE asserts
that FMPs are reasonably available measures that could significantly
reduce short-term emissions of particulates, SOX,
NOX, and VOC, although they probably would not significantly
affect annual emissions levels. CBE states that the SCAQMD's flare rule
requires implementation of an FMP only if emissions exceed certain
levels on an annual basis, and that the South Coast 2007 AQMP does not
adequately account for emissions from flaring events, which are
episodic. CBE asserts that EPA should require the SCAQMD to: (1) Model
the ambient PM2.5 impacts of large flaring events; (2)
revise the SCAQMD flare regulation to require that every refinery
implement an FMP consistent with those at Shell's refineries in
Martinez, California and Flint Hills, Texas; and (3) add a provision to
the SCAQMD flare regulation to prohibit all flaring (with certain
exceptions) unless it is consistent with an approved FMP, as provided
in the Bay Area Air Quality Management District (BAAQMD) Regulation 12-
12-301 (``Flare Minimization''). CBE contends that such measures are
technologically and economically feasible and therefore required RACM.
---------------------------------------------------------------------------
\16\ CBE references several sources of SCAQMD data as the basis
for its estimates of criteria pollutant emissions from these flaring
episodes.
---------------------------------------------------------------------------
Response: The SCAQMD regulates refinery flares through Rule 1118
(``Control of Emissions from Refinery Flares''), which EPA approved
into the SIP on August 28, 2007. See 72 FR 49196. Although CBE
correctly notes that Rule 1118 requires FMPs only at refineries that
exceed specific annual emissions thresholds (see Rule 1118 at
subsection (d)(3)(a) and (e)(1)), CBE appears to misunderstand several
other requirements in the rule that apply to all petroleum refineries
and that are essentially equivalent to the FMP requirements in the
BAAQMD's Rule 12-12. We agree that FMPs are reasonably available
measures and note that requirements in BAAQMD 12-12 401.1 through 401.3
are required of all petroleum refineries under SCAQMD Rule 1118
sections (c)(2) and (c)(3). For example, BAAQMD 12-12 401.4 requires a
description of prevention measures addressing specific activities that
may cause flaring. SCAQMD's Rule 1118 contains a requirement in section
(c)(2)(C) that requires refinery owners to submit to the SCAQMD
``descriptions of any equipment, processes or procedures the owner or
operators plans to install or implement to eliminate or reduce
flaring,'' including the scheduled year of installation or
implementation. This requirement is essentially equivalent to the
requirement in BAAQMD Rule 12-12 401.4. Thus, SCAQMD Rule 1118 contains
in sections (c)(2) and (c)(3) requirements that, although separate from
the requirements for ``flare minimization plans'' under section (e) of
the rule, essentially require SCAQMD facilities to submit plans to
reduce flaring events similar to those required under BAAQMD Rule 12-
12. We disagree, therefore, with CBE's assertion that the SCAQMD is
required to adopt additional control requirements for refinery flares
and conclude that Rule 1118 requires all RACM for these emission
sources in the South Coast.\17\
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\17\ We note that CBE's estimates of emissions from flaring
episodes during the 2009-2011 time period are consistent with data
provided in SCAQMD staff reports submitted to EPA, which show an
overall decline in emissions from flaring events since 2004. See,
e.g., SCAQMD 2005 Staff Report Table IV-2. Generally, it is
difficult to develop reliable estimates of emissions from flaring
events given uncertainties about the efficiency of a particular
flare event. Flares are devices which burn anything in the stream,
and the contents of the stream may not be completely combusted,
causing an unknown composition of emissions.
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We note that SCAQMD's Board Resolution adopting the District's most
recent revisions to SCAQMD Rule 1118 directs District staff to evaluate
the feasibility of a daily emissions target and to evaluate refinements
to the annual emissions targets as warranted. See SCAQMD Board
Resolution 2005-32 (November 4, 2005). Consistent with this directive,
we encourage the District to reevaluate the control and compliance
requirements in Rule 1118 as new information about feasible controls
becomes available, and to adopt any additional control measures that
are reasonably available as expeditiously as practicable consistent
with CAA requirements.
Comment: CBE asserts that oil refineries, which contribute to power
plant emissions by using substantial amounts of electricity from the
grid, should be required to have backup power using clean/alternative
energy sources. Specifically, CBE claims that electrical grid shutdowns
cause power outages at oil refineries, which in turn cause flaring and
significant amounts of air pollution near the refineries. CBE asserts
that the SCAQMD should require oil refineries to use alternative energy
sources (in place of fossil-fuel electricity generation), such as wind
and solar energy, and that such measures should be required RACM. Based
on general information about power plant emissions obtained from PG&E,
CBE provides its own estimates of the SOX and NOX
emission reductions that could be achieved if oil refineries were to
meet some or all of their electricity demands with clean alternative
energy sources. CBE contends that the ``large air emissions caused by
fossil fuel generation at Power Plants due to oil refinery electricity
demand is worthy of phaseout requirements by the AQMD as a measure in
the AQMP.''
Response: Although we generally agree that use of alternative
(i.e., non-fossil fuel) energy sources to power oil refineries and
other large industrial operations would reduce emissions of air
pollutants, we disagree with CBE's generalized assertion that such
measures are required RACM for purposes of attaining the 1997
PM2.5 NAAQS in the South Coast. Section 172(c)(1) of the CAA