National Emission Standards for Hazardous Air Pollutants From the Pulp and Paper Industry, 81328-81358 [2011-32843]
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81328
Federal Register / Vol. 76, No. 248 / Tuesday, December 27, 2011 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 63
[EPA–HQ–OAR–2007–0544; FRL–9609–8]
RIN 2060–AQ41
National Emission Standards for
Hazardous Air Pollutants From the
Pulp and Paper Industry
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
The EPA is proposing
amendments to the national emission
standards for hazardous air pollutants
for the pulp and paper industry to
address the results of the residual risk
and technology review that the EPA is
required to conduct under sections
112(d)(6) and (f)(2) of the Clean Air Act.
These proposed amendments include
revisions to the kraft pulping process
condensates standards; a requirement
for 5-year repeat emissions testing for
selected process equipment; revisions to
provisions addressing periods of
startup, shutdown and malfunction;
additional test methods for measuring
methanol; and technical and editorial
changes.
SUMMARY:
Comments. Comments must be
received on or before February 27, 2012.
Under the Paperwork Reduction Act,
comments on the information collection
provisions are best assured of having
full effect if the Office of Management
and Budget receives a copy of your
comments on or before January 26,
2012.
Public Hearing. If anyone contacts the
EPA requesting to speak at a public
hearing by January 6, 2012, a public
hearing will be held on January 11,
2012.
DATES:
Submit your comments,
identified by Docket ID Number EPA–
HQ–OAR–2007–0544, by one of the
following methods:
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the online
instructions for submitting comments.
• Agency Web site: https://
www.epa.gov/oar/docket.html. Follow
the instructions for submitting
comments on the EPA Air and Radiation
Docket Web site.
• Email: a-and-r-docket@epa.gov.
Include EPA–HQ–OAR–2007–0544 in
the subject line of the message.
• Fax: Fax your comments to: (202)
566–9744, Attention Docket ID Number
EPA–HQ–OAR–2007–0544.
• Mail: Send your comments to: EPA
Docket Center (EPA/DC), Environmental
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ADDRESSES:
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Protection Agency, Mailcode: 2822T,
1200 Pennsylvania Ave. NW.,
Washington, DC 20460, Attention:
Docket ID Number EPA–HQ–OAR–
2007–0544. Please include a total of two
copies. In addition, please mail a copy
of your comments on the information
collection provisions to the Office of
Information and Regulatory Affairs,
Office of Management and Budget
(OMB), Attn: Desk Officer for EPA, 725
17th Street NW., Washington, DC 20503.
• Hand Delivery or Courier: In person
or by courier, deliver comments to the
EPA Docket Center, EPA West (Air
Docket), Room 3334, 1301 Constitution
Ave. NW., Washington, DC 20460,
Attention: Docket ID Number EPA–HQ–
OAR–2007–0544. Such deliveries are
only accepted during the Docket’s
normal hours of operation (8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays), and special
arrangements should be made for
deliveries of boxed information. Please
include two copies.
Instructions. Direct your comments to
Docket ID Number EPA–HQ–OAR–
2007–0544. The EPA policy is that all
comments received will be included in
the public docket without change and
may be made available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be confidential business
information or other information whose
disclosure is restricted by statute. Do
not submit information that you
consider to be confidential business
information or otherwise protected
through https://www.regulations.gov or
email. The https://www.regulations.gov
Web site is an ‘‘anonymous access’’
system, which means the EPA will not
know your identity or contact
information unless you provide it in the
body of your comment. If you send an
email comment directly to the EPA
without going through https://
www.regulations.gov, your email
address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the Internet. If you
submit an electronic comment, the EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
disk or CD–ROM you submit. If the EPA
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, the EPA may not
be able to consider your comment.
Electronic files should avoid the use of
special characters, any form of
encryption and be free of any defects or
viruses. For additional information
about the EPA public docket, visit the
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EPA Docket Center homepage at https://
www.epa.gov/epahome/dockets.htm.
Docket. The EPA has established a
docket for this rulemaking under Docket
ID Number EPA–HQ–OAR–2007–0544.
All documents in the docket are listed
in the https://www.regulations.gov index.
Although listed in the index, some
information is not publicly available
(e.g., confidential business information
or other information whose disclosure is
restricted by statute). Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available either
electronically in https://
www.regulations.gov or in hard copy at
the EPA Docket Center, EPA West,
Room 3334, 1301 Constitution Ave.,
NW., Washington, DC. The Public
Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays. The telephone
number for the Public Reading Room is
(202) 566–1744, and the telephone
number for the EPA Docket Center is
(202) 566–1742.
Public Hearing. If a public hearing is
held, it will begin at 10 a.m. on January
11, 2012 and will be held at the EPA
campus in Research Triangle Park,
North Carolina, or at an alternate facility
nearby. Persons interested in presenting
oral testimony or inquiring as to
whether a public hearing is to be held
should contact Ms. Joan Rogers, Office
of Air Quality Planning and Standards,
Sector Policies and Programs Division,
Natural Resources Group (E143–03),
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
4487.
FOR FURTHER INFORMATION CONTACT: For
questions about this proposed action,
contact Mr. John Bradfield, Office of Air
Quality Planning and Standards, (E143–
03), Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
3062; fax number: (919) 541–3470; and
email address: bradfield.john@epa.gov.
For specific information regarding the
risk modeling methodology, contact Mr.
James Hirtz, Health and Environmental
Impacts Division (C539–02), Office of
Air Quality Planning and Standards,
U.S. Environmental Protection Agency,
Research Triangle Park, North Carolina
27711; telephone number: (919) 541–
0881; fax number: (919) 541–0840; and
email address: hirtz.james@epa.gov. For
information about the applicability of
the national emission standards for
hazardous air pollutants to a particular
entity, contact the appropriate person
listed in Table 1 to this preamble.
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TABLE 1—LIST OF EPA CONTACTS FOR THE NESHAP ADDRESSED IN THIS PROPOSED ACTION
OECA Contact 1
NESHAP for:
Pulp and Paper ..................................................
1 EPA’s
2 EPA’s
564–5391
John
Bradfield
(919)
bradfield.john@epa.gov.
541–3062
Office of Enforcement and Compliance Assurance.
Office of Air Quality Planning and Standards.
SUPPLEMENTARY INFORMATION:
Preamble Acronyms and Abbreviations
Several acronyms and terms used to
describe industrial processes, data
inventories and risk modeling are
included in this preamble. While this
may not be an exhaustive list, to ease
the reading of this preamble and for
reference purposes, the following terms
and acronyms are defined here:
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Sara
Ayres
(202)
ayres.sara@epa.gov..
OAQPS Contacts 2
ACGIH American Conference of
Governmental Industrial Hygienists
ADAF Age-Dependent Adjustment Factors
AEGL Acute Exposure Guideline Levels
AERMOD Air dispersion model used by the
HEM–3 model
ASME American Society of Mechanical
Engineers
ATSDR Agency for Toxic Substances and
Disease Registry
BACT Best Available Control Technology
BBDR Biologically-Based Dose-Response
CAA Clean Air Act
CalEPA California Environmental
Protection Agency
CBI Confidential Business Information
CCA Clean Condensate Alternative
CD ROM Compact Disk Read Only Memory
CDX Central Data Exchange
CEEL Community Emergency Exposure
Levels
CEMS Continuous Emissions Monitoring
System
CFR Code of Federal Regulations
CIIT Chemical Industry Institute of
Toxicology
EIA Economic Impact Analysis
EJ Environmental Justice
EPA Environmental Protection Agency
ERPG Emergency Response Planning
Guidelines
ERT Electronic Reporting Tool
ft Feet
ft3 Cubic Feet
FTE Full-Time Equivalents
HAP Hazardous Air Pollutants
HEM–3 Human Exposure Model version 3
HI Hazard Index
HON Hazardous Organic National
Emissions Standards for Hazardous Air
Pollutants
HQ Hazard Quotient
hr Hour
HVLC High Volume Low Concentration
ICR Information Collection Request
IRIS Integrated Risk Information System
ISIS Industrial Sectors Integrated Solution
Model
km Kilometer
LAER Lowest Achievable Emission Rate
lb Pounds
LVHC Low Volume High Concentration
m3 Cubic Meters
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MACT Maximum Achievable Control
Technology
MACT Code Code within the NEI used to
identify processes included in a source
category
MEK Methyl Ethyl Ketone
mg Milligrams
MIR Maximum Individual Risk
MRL Minimal Risk Level
NAC/AEGL National Advisory Committee
for Acute Exposure Guideline Levels for
Hazardous Substances
NAICS North American Industry
Classification System
NAS National Academy of Sciences
NATA National Air Toxics Assessment
NCASI National Council for Air and Stream
Improvement
NEI National Emissions Inventory
NESHAP National Emissions Standards for
Hazardous Air Pollutants
NIOSH National Institutes for Occupational
Safety and Health
NRC National Research Council
NSPS New Source Performance Standard
NTTAA National Technology Transfer and
Advancement Act of 1995
O&M Operation and Maintenance
OAQPS EPA’s Office of Air Quality
Planning and Standards
ODTP Oven-Dried Tons of Pulp
OECA EPA’s Office of Enforcement and
Compliance Assurance
OMB Office of Management and Budget
PB–HAP Hazardous air pollutants known to
be persistent and bio-accumulative in the
environment
POM Polycyclic Organic Matter
ppm Parts Per Million
ppmw Parts Per Million by Weight
PRA Paperwork Reduction Act
QA Quality Assurance
QC Quality Control
RACT Reasonably Available Control
Technology
RBLC RACT/BACT/LAER Clearinghouse
REL Reference Exposure Level
RFA Regulatory Flexibility Act
RfC Reference Concentration
RfD Reference Dose
RTR Residual Risk and Technology Review
SAB Science Advisory Board
SBA Small Business Administration
SCC Source Classification Code
Sec Second
SISNOSE Significant Impact on a
Substantial Number of Small Entities
SOP Standard Operating Procedures
SSM Startup, Shutdown, and Malfunction
TOSHI Target Organ-Specific Hazard Index
TPY Tons Per Year
TRI Toxics Release Inventory
TRIM Total Risk Integrated Modeling
System
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TRIM.FaTE Fate, Transport and
Environmental Exposure module of EPA’s
Total Risk Integrated Modeling System
TTN Technology Transfer Network
UF Uncertainty Factor
UMRA Unfunded Mandates Reform Act of
1995
URE Unit Risk Estimate
VCS Voluntary Consensus Standards
VOC Volatile Organic Compound
WWW Worldwide Web
mg Micrograms
Organization of This Document
The information in this preamble is
organized as follows:
I. General Information
A. What is the statutory authority for this
action?
B. Does this action apply to me?
C. Where can I get a copy of this document
and other related information?
D. What should I consider as I prepare my
comments for the EPA?
II. Background
A. What is this source category and how
did the MACT standard regulate its HAP
emissions?
B. What data collection activities were
conducted to support this action?
III. Analyses Performed
A. How did we estimate risks posed by the
source category?
B. How did we consider the risk results in
making decisions for this proposal?
C. How did we perform the technology
review?
D. What other issues are we addressing in
this proposal?
IV. Analytical Results and Proposed
Decisions
A. What are the results of the risk
assessments?
B. What are our proposed decisions
regarding risk acceptability and ample
margin of safety?
C. What are the results and proposed
decisions based on our technology
review?
D. What other actions are we proposing?
E. Compliance Dates
V. Summary of Cost, Environmental and
Economic Impacts
A. What are the affected sources?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
VI. Request for Comments
VII. Submitting Data Corrections
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
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B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
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I. General Information
A. What is the statutory authority for
this action?
Section 112 of the CAA establishes a
two-stage regulatory process to address
emissions of HAP from stationary
sources. In the first stage, after the EPA
has identified categories of sources
emitting one or more of the HAP listed
in CAA section 112(b), CAA section
112(d) calls for us to promulgate
NESHAP for those sources. ‘‘Major
sources’’ are those that emit or have the
potential to emit 10 tpy or more of a
single HAP or 25 tpy or more of any
combination of HAP. For major sources,
these technology-based standards must
reflect the maximum degree of
emissions reductions of HAP achievable
(after considering cost, energy
requirements and nonair quality health
and environmental impacts) and are
commonly referred to as MACT
standards.
Maximum achievable control
technology standards must require the
maximum degree of emissions reduction
through the application of measures,
processes, methods, systems or
techniques, including, but not limited
to, measures that: (A) Reduce the
volume of or eliminate pollutants
through process changes, substitution of
materials or other modifications; (B)
enclose systems or processes to
eliminate emissions; (C) capture or treat
pollutants when released from a
process, stack, storage or fugitive
emissions point; (D) are design,
equipment, work practice or operational
standards (including requirements for
operator training or certification); or (E)
are a combination of the above (CAA
section 112(d)(2)(A)–(E)). The MACT
standards may take the form of design,
equipment, work practice or operational
standards where the EPA first
determines either that: (A) A pollutant
cannot be emitted through a conveyance
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designed and constructed to emit or
capture the pollutants, or that any
requirement for, or use of, such a
conveyance would be inconsistent with
law; or (B) the application of
measurement methodology to a
particular class of sources is not
practicable due to technological and
economic limitations (CAA sections
112(h)(1)–(2)).
The MACT ‘‘floor’’ is the minimum
control level allowed for MACT
standards promulgated under CAA
section 112(d)(3) and may not be based
on cost considerations. For new sources,
the MACT floor cannot be less stringent
than the emission control that is
achieved in practice by the bestcontrolled similar source. The MACT
floors for existing sources can be less
stringent than floors for new sources,
but they cannot be less stringent than
the average emissions limitation
achieved by the best-performing 12
percent of existing sources in the
category or subcategory (or the bestperforming five sources for categories or
subcategories with fewer than 30
sources). In developing MACT
standards, we must also consider
control options that are more stringent
than the floor. We may establish
standards more stringent than the floor
based on the consideration of the cost of
achieving the emissions reductions, any
nonair quality health and environmental
impacts and energy requirements.
The EPA is then required to review
these technology-based standards and to
revise them ‘‘as necessary (taking into
account developments in practices,
processes, and control technologies)’’ no
less frequently than every 8 years, under
CAA section 112(d)(6). In conducting
this review, the EPA is not obliged to
completely recalculate the prior MACT
determination and, in particular, is not
obligated to recalculate the MACT
floors. NRDC v. EPA, 529 F.3d 1077,
1084 (DC Cir., 2008).
The second stage in standard-setting
focuses on reducing any remaining
‘‘residual’’ risk according to CAA
section 112(f). This provision requires,
first, that the EPA prepare a Report to
Congress discussing (among other
things) methods of calculating the risks
posed (or potentially posed) by sources
after implementation of the MACT
standards, the public health significance
of those risks, and the EPA’s
recommendations as to legislation
regarding such remaining risk. The EPA
prepared and submitted this report
(Residual Risk Report to Congress, EPA–
453/R–99–001) in March 1999. Congress
did not act in response to the report,
thereby triggering the EPA’s obligation
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under CAA section 112(f)(2) to analyze
and address residual risk.
Section 112(f)(2) of the CAA requires
us to determine, for source categories
subject to certain MACT standards,
whether those emissions standards
provide an ample margin of safety to
protect public health. If the MACT
standards apply to a source category
emitting a HAP that is ‘‘classified as a
known, probable, or possible human
carcinogen do not reduce lifetime excess
cancer risks to the individual most
exposed to emissions from a source in
the category or subcategory to less than
one in one million,’’ the EPA must
promulgate residual risk standards for
the source category (or subcategory) as
necessary to provide an ample margin of
safety to protect public health (CAA
section 112(f)(2)(A)). This requirement
is procedural. It mandates that the EPA
establish CAA section 112(f) residual
risk standards if certain risk thresholds
are not satisfied but does not determine
the level of those standards. NRDC v.
EPA, 529 F. 3d at 1083. The second
sentence of CAA section 112(f)(2) sets
out the substantive requirements for
residual risk standards: Protection of
public health with an ample margin of
safety based on the EPA’s interpretation
of this standard in effect at the time of
the CAA amendments. Id. This refers to
the Benzene NESHAP, described in the
next paragraph. The EPA may adopt
residual risk standards equal to existing
MACT standards (or to standards
adopted after the technology review
required by CAA section 112(d)(6)) if
the EPA determines that the existing
standards are sufficiently protective,
even if (for example) excess cancer risks
to a most exposed individual are not
reduced to less than 1 in 1 million. Id.
at 1083, (‘‘If EPA determines that the
existing technology-based standards
provide an ‘ample margin of safety,’
then the Agency is free to readopt those
standards during the residual risk
rulemaking’’). Section 112(f)(2) of the
CAA further authorizes the EPA to
adopt more stringent standards, if
necessary, ‘‘to prevent, taking into
consideration costs, energy, safety and
other relevant factors, an adverse
environmental effect.’’ 1
As just noted, CAA section 112(f)(2)
expressly preserves our use of the twostep process for developing standards to
address any residual risk and our
1 ‘‘Adverse environmental effect’’ is defined in
CAA section 112(a)(7) as any significant and
widespread adverse effect, which may be
reasonably anticipated to wildlife, aquatic life, or
natural resources, including adverse impacts on
populations of endangered or threatened species or
significant degradation of environmental qualities
over broad areas.
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interpretation of ‘‘ample margin of
safety’’ developed in the National
Emission Standards for Hazardous Air
Pollutants: Benzene Emissions from
Maleic Anhydride Plants, Ethylbenzene/
Styrene Plants, Benzene Storage Vessels,
Benzene Equipment Leaks, and Coke
By-Product Recovery Plants (Benzene
NESHAP) (54 FR 38044, September 14,
1989). The first step in this process is
the determination of acceptable risk.
The second step provides for an ample
margin of safety to protect public health,
which is the level at which the
standards are set (unless a more
stringent standard is required to
prevent, taking into consideration costs,
energy, safety and other relevant factors,
an adverse environmental effect).
The terms ‘‘individual most exposed,’’
‘‘acceptable level,’’ and ‘‘ample margin
of safety’’ are not specifically defined in
the CAA. However, CAA section
112(f)(2)(B) preserves the EPA’s
interpretation set out in the Benzene
NESHAP, and the Court in NRDC v. EPA
concluded that the EPA’s interpretation
of CAA section 112(f)(2) is a reasonable
one. See NRDC v. EPA, 529 F.3d at 1083
(D. C. Cir. 2008), which says
‘‘[S]ubsection 112(f)(2)(B) expressly
incorporates EPA’s interpretation of the
Clean Air Act from the Benzene
standard, complete with a citation to the
Federal Register.’’ See also, A
Legislative History of the Clean Air Act
Amendments of 1990, volume 1, p. 877
(Senate debate on Conference Report).
We also notified Congress in the
Residual Risk Report to Congress that
we intended to use the Benzene
NESHAP approach in making CAA
section 112(f) residual risk
determinations (EPA–453/R–99–001, p.
ES–11).
In the Benzene NESHAP, we stated as
an overall objective:
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* * * in protecting public health with an
ample margin of safety, we strive to provide
maximum feasible protection against risks to
health from hazardous air pollutants by: (1)
protecting the greatest number of persons
possible to an individual lifetime risk level
no higher than approximately 1 in 1 million;
and (2) limiting to no higher than
approximately 1 in 10 thousand [i.e., 100 in
1 million] the estimated risk that a person
living near a facility would have if he or she
were exposed to the maximum pollutant
concentrations for 70 years.
The agency also stated that, ‘‘The EPA
also considers incidence (the number of
persons estimated to suffer cancer or
other serious health effects as a result of
exposure to a pollutant) to be an
important measure of the health risk to
the exposed population. Incidence
measures the extent of health risks to
the exposed population as a whole, by
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providing an estimate of the occurrence
of cancer or other serious health effects
in the exposed population.’’ The agency
went on to conclude that ‘‘estimated
incidence would be weighed along with
other health risk information in judging
acceptability.’’ As explained more fully
in our Residual Risk Report to Congress,
the EPA does not define ‘‘rigid line[s] of
acceptability,’’ but rather considers
broad objectives to be weighed with a
series of other health measures and
factors (EPA–453/R–99–001, p. ES–11).
The determination of what represents an
‘‘acceptable’’ risk is based on a
judgment of ‘‘what risks are acceptable
in the world in which we live’’
(Residual Risk Report to Congress, p.
178, quoting the D.C. Circuit’s en banc
Vinyl Chloride decision at 824 F.2d
1165) recognizing that our world is not
risk-free.
In the Benzene NESHAP, we stated
that ‘‘EPA will generally presume that if
the risk to [the maximum exposed]
individual is no higher than
approximately 1 in 10 thousand, that
risk level is considered acceptable.’’ 54
FR 38045. We discussed the maximum
individual lifetime cancer risk as being
‘‘the estimated risk that a person living
near a plant would have if he or she
were exposed to the maximum pollutant
concentrations for 70 years.’’ Id. We
explained that this measure of risk ‘‘is
an estimate of the upper bound of risk
based on conservative assumptions,
such as continuous exposure for 24
hours per day for 70 years.’’ Id. We
acknowledge that maximum individual
lifetime cancer risk ‘‘does not
necessarily reflect the true risk, but
displays a conservative risk level which
is an upper-bound that is unlikely to be
exceeded.’’ Id.
Understanding that there are both
benefits and limitations to using
maximum individual lifetime cancer
risk as a metric for determining
acceptability, we acknowledged in the
1989 Benzene NESHAP that
‘‘consideration of maximum individual
risk * * * must take into account the
strengths and weaknesses of this
measure of risk.’’ Id. Consequently, the
presumptive risk level of 100 in 1
million (1 in 10 thousand) provides a
benchmark for judging the acceptability
of maximum individual lifetime cancer
risk, but does not constitute a rigid line
for making that determination. Id.
Further, in the Benzene NESHAP, we
noted that, ‘‘Particular attention will
also be accorded to the weight of
evidence presented in the risk
assessment of potential carcinogenicity
or other health effects of a pollutant.
While the same numerical risk may be
estimated for an exposure to a pollutant
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judged to be a known human
carcinogen, and to a pollutant
considered a possible human carcinogen
based on limited animal test data, the
same weight cannot be accorded to both
estimates. In considering the potential
public health effects of the two
pollutants, the Agency’s judgment on
acceptability, including the MIR, will be
influenced by the greater weight of
evidence for the known human
carcinogen.’’ Id. at 38046.
The agency also explained in the 1989
Benzene NESHAP the following: ‘‘In
establishing a presumption for MIR
[maximum individual cancer risk],
rather than a rigid line for acceptability,
the Agency intends to weigh it with a
series of other health measures and
factors. These include the overall
incidence of cancer or other serious
health effects within the exposed
population, the numbers of persons
exposed within each individual lifetime
risk range and associated incidence
within, typically, a 50 km exposure
radius around facilities, the science
policy assumptions and estimation
uncertainties associated with the risk
measures, weight of the scientific
evidence for human health effects, other
quantified or unquantified health
effects, effects due to co-location of
facilities, and co-emission of
pollutants.’’ Id.
In some cases, these health measures
and factors taken together may provide
a more realistic description of the
magnitude of risk in the exposed
population than that provided by
maximum individual lifetime cancer
risk alone. As explained in the Benzene
NESHAP, ‘‘[e]ven though the risks
judged ‘‘acceptable’’ by the EPA in the
first step of the Vinyl Chloride inquiry
are already low, the second step of the
inquiry, determining an ‘‘ample margin
of safety,’’ again includes consideration
of all of the health factors, and whether
to reduce the risks even further.’’
Beyond that information, additional
factors relating to the appropriate level
of control will also be considered,
including costs and economic impacts
of controls, technological feasibility,
uncertainties, and any other relevant
factors. Considering all of these factors,
the Agency will establish the standard
at a level that provides an ample margin
of safety to protect the public health as
required by section 112.’’
In NRDC v. EPA, 529 F.3d 1077, 1082
(D.C. Cir. 2008), the Court of Appeals
held that section 112(f)(2) ‘‘incorporates
EPA’s ‘interpretation’ of the Clean Air
Act from the Benzene Standard, and the
text of this provision draws no
distinction between carcinogens and
non-carcinogens.’’ Additionally, the
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Court held there is nothing on the face
of the statute that limits the agency’s
section 112(f) assessment of risk to
carcinogens. Id. at 1081–82. In the
NRDC case, the petitioners argued,
among other things, that section
112(f)(2)(B) applied only to noncarcinogens. The D.C. Circuit rejected
this position, holding that the text of
that provision ‘‘draws no distinction
between carcinogens and noncarcinogens,’’ Id., and that Congress’
incorporation of the Benzene standard
applies equally to carcinogens and noncarcinogens.
In the ample margin of safety decision
process, the agency again considers all
of the health risks and other health
information considered in the first step.
Beyond that information, additional
factors relating to the appropriate level
of control will also be considered,
including costs and economic impacts
of controls, technological feasibility,
uncertainties and any other relevant
factors. Considering all of these factors,
the agency will establish the standard at
a level that provides an ample margin of
safety to protect the public health, as
required by CAA section 112(f). 54 FR
38046.
B. Does this action apply to me?
The regulated industrial source
category that is the subject of this
proposal is listed in Table 2 of this
preamble. Table 2 of this preamble is
not intended to be exhaustive, but rather
provides a guide for readers regarding
the entities likely to be affected by this
proposed action. This standard, and any
changes considered in this rulemaking,
would be directly applicable to affected
sources. Federal, state, local and tribal
government entities are not affected by
this proposed action. As defined in the
Source Category Listing Report
published by the EPA in 1992, the pulp
and paper production source category
includes any facility engaged in the
production of pulp and/or paper. This
category includes, but is not limited to,
integrated mills (where pulp and paper
or paperboard are manufactured onsite), non-integrated mills (where either
pulp or paper/paperboard are
manufactured on-site, but not both), and
secondary fiber mills (where waste
paper is used as the primary raw
material). Examples of pulping methods
include kraft, soda, sulfite, semichemical and mechanical.
TABLE 2—NESHAP AND INDUSTRIAL SOURCE CATEGORIES AFFECTED BY THIS PROPOSED ACTION
NAICS
code 1
Source category
NESHAP
Pulp and Paper .................................................................
Pulp and Paper ................................................................
1 North
322
MACT
code 2
1626–1
American Industry Classification System.
Achievable Control Technology.
2 Maximum
C. Where can I get a copy of this
document and other related
information?
In addition to being available in the
docket, an electronic copy of this
proposal will also be available on the
WWW through the EPA’s TNN.
Following signature by the EPA
Administrator, a copy of this proposed
action will be posted on the TTN’s
policy and guidance page for newly
proposed or promulgated rules at the
following address: https://www.epa.gov/
ttn/atw/rrisk/rtrpg.html. The TTN
provides information and technology
exchange in various areas of air
pollution control.
Additional information is available on
the RTR Web page at https://
www.epa.gov/ttn/atw/rrisk/rtrpg.html.
This information includes source
category descriptions and detailed
emissions estimates and other data that
were used as inputs to the risk
assessments.
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D. What should I consider as I prepare
my comments for the EPA?
Submitting CBI. Do not submit
information containing CBI to the EPA
through https://www.regulations.gov or
email. Clearly mark the part or all of the
information that you claim to be CBI.
For CBI information on a disk or CD
ROM that you mail to the EPA, mark the
outside of the disk or CD ROM as CBI
and then identify electronically within
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the disk or CD ROM the specific
information that is claimed as CBI. In
addition to one complete version of the
comment that includes information
claimed as CBI, a copy of the comment
that does not contain the information
claimed as CBI must be submitted for
inclusion in the public docket. If you
submit a CD ROM or disk that does not
contain CBI, mark the outside of the
disk or CD ROM clearly that it does not
contain CBI. Information not marked as
CBI will be included in the public
docket and the EPA’s electronic public
docket without prior notice. Information
marked as CBI will not be disclosed
except in accordance with procedures
set forth in 40 CFR part 2. Send or
deliver information identified as CBI
only to the following address: Roberto
Morales, OAQPS Document Control
Officer (C404–02), Office of Air Quality
Planning and Standards, U.S.
Environmental Protection Agency,
Research Triangle Park, North Carolina
27711, Attention Docket ID Number
EPA–HQ–OAR–2007–0544.
II. Background
A. What is this source category and how
did the MACT standard regulate its HAP
emissions?
The pulp and paper production
source category includes any facility
engaged in the production of pulp and/
or paper. This category includes, but is
not limited to, integrated mills (where
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pulp and paper or paperboard are
manufactured on-site), non-integrated
mills (where paper/paperboard or pulp
are manufactured, but not both), and
secondary fiber mills (where waste
paper is used as the primary raw
material). The pulp and paper
production process includes operations
such as pulping, bleaching, chemical
recovery and papermaking. Different
pulping processes are used, including
chemical processes (kraft, soda, sulfite
and semi-chemical) and mechanical,
secondary fiber or non-wood processes.
The NESHAP from the pulp and
paper Industry (or MACT rule) was
promulgated on April 15, 1998 (63 FR
18504) and codified at 40 CFR part 63,
subpart S. As promulgated in 1998, the
subpart S MACT standard applies to
major sources of HAP emissions from
the pulp production areas (e.g., pulping
system vents, pulping process
condensates) at chemical, mechanical,
secondary fiber and non-wood pulp
mills; bleaching operations; and
papermaking systems. A separate
NESHAP (40 CFR part 63, subpart MM)
applicable to chemical recovery
processes at kraft, soda, sulfite and
stand-alone semi-chemical pulp mills
was promulgated on January 12, 2001
(66 FR 3180). However, only subpart S
is undergoing the RTR that is the subject
of this proposal.
This is the first in a series of rules
being developed for the pulp and paper
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industrial sector. This proposal includes
both a risk assessment and a technology
review of the emission sources in
subpart S, as well as a risk assessment
of the whole facility. The whole facility
risk assessment includes emissions from
the other sources in the pulp and paper
industrial sector: boilers covered under
subpart DDDDD, chemical recovery
systems covered under subpart MM,
various sources covered under the NSPS
for kraft pulp mills (40 CFR part 60,
subpart BB), and other applicable
MACT emission sources. In the future,
we will also conduct a RTR for the
subpart MM category, as well as a
review of the kraft pulp mills NSPS,
subpart BB. When we conduct the RTR
for the subpart MM rule, subpart S
emission sources will be included in the
facilitywide risk assessment.
According to results of the EPA’s 2011
pulp and paper ICR, there are a total of
171 major sources in the United States
including:
• 111 major sources that carry out
chemical wood pulping (kraft, sulfite,
soda or semi-chemical);
• 33 major sources that carry out
mechanical, groundwood, secondary
fiber and non-wood pulping (without
chemical wood pulping);
• 94 major sources that perform
bleaching; and
• 156 major sources that manufacture
paper or paperboard products.
Facilities in the category perform at
least one of several pulp and
papermaking operations (e.g., chemical
pulping, bleaching and papermaking;
pulping and unbleached papermaking;
etc.).
Subpart S includes numerical
emission limits for pulping system
vents, pulping process condensates and
bleaching system vents. The control
systems used by most mills to meet the
subpart S emission limits are as follows:
• Pulping system vents—thermal
oxidizers, power boilers, lime kilns and
recovery furnaces.
• Pulping process condensates—
steam strippers, biological treatment
and recycling to pulping equipment that
is controlled by the pulping vent
standards.
• Bleaching system vents—caustic
scrubbers (for chlorinated HAPs, other
than chloroform) and process
modifications to eliminate the use of
chlorine and hypochlorite.
Facilities that only purchase preconsumer paper or paperboard stock
products and convert them into other
products (i.e., converting operations) are
not part of the subpart S source category
and are not affected by today’s action.
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B. What data collection activities were
conducted to support this action?
In February 2011, the EPA issued an
ICR, pursuant to CAA section 114, to
United States pulp and paper
manufacturers to gather information
needed to conduct the regulatory
reviews required under CAA sections
112(d)(6) and (f)(2). The ICR was
divided into three parts, with each part
due on a different date. Part I requested
available information regarding subpart
S process equipment, control devices,
pulp and paper production, bleaching
and other aspects of facility operations,
to support the subpart S technology
review and a later review of the kraft
pulp mills NSPS under 40 CFR part 60,
subpart BB. Part II requested updated
inventory data for all pulp and paper
emission sources, to support the
residual risk assessment for the pulp
and paper sector (including subparts S
and MM) and to both supplement and
update the NEI for the source category.
Part III requested available information
on subpart MM chemical recovery
combustion equipment, control devices,
etc., to support a later subpart MM
technology review (which will include
a source category and a facilitywide risk
assessment) and a subpart BB NSPS
review. Responses to all three parts of
the ICR have been received and data
from the first two parts of the ICR have
been compiled. The response rate for
the subpart S ICR was 100 percent.2
III. Analyses Performed
In this section, we describe the
analyses performed to support the
proposed decisions for the RTR for this
source category.
A. How did we estimate risks posed by
the source category?
The EPA conducted risk assessments
that provided estimates of (1) the MIR
posed by the HAP emissions from the
171 pulp and paper mills in the source
category, (2) the distribution of cancer
and noncancer risks within the exposed
populations, (3) the total cancer
incidence, (4) estimates of the maximum
TOSHI for chronic exposures to HAP
with the potential to cause chronic
noncancer health effects, (5) worst-case
screening estimates of HQ for acute
exposures to HAP with the potential to
cause noncancer health effects, and (6)
an evaluation of the potential for
adverse environmental effects. The risk
assessments consisted of seven primary
2 Part II of the ICR will be available for download
on the RTR Web page at: https://www.epa.gov/ttn/
atw/rrisk/rtrpg.html.
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steps, as discussed below.3 The methods
used to assess risks (as described in the
seven primary steps below) are
consistent with those peer-reviewed by
a panel of the EPA’s SAB in 2009 and
described in their peer review report
issued in 2010; they are also consistent
with the key recommendations
contained in that report.
1. Establishing the Nature and
Magnitude of Actual Emissions and
Identifying the Emissions Release
Characteristics
As discussed in section II.B of this
preamble, we used data from Part II of
the pulp and paper ICR as the basis for
the risk assessment. Part II of the ICR,
which concluded in June 2011, targeted
facilities that are major sources of HAP
emissions and involved an update of
pre-populated NEI data spreadsheets (or
creation of new NEI datasets). The NEI
is a database that contains information
about sources that emit criteria air
pollutants, their precursors and HAP.
The NEI database includes estimates of
actual annual air pollutant emissions
from point and volume sources;
emission release characteristic data such
as emission release height, temperature,
diameter, velocity and flow rate; and
location latitude/longitude coordinates.
The actual annual emissions data in
the NEI database were based on data
from actual emissions tests and
estimates of actual emissions (based on
emission factors) provided by subpart S
sources surveyed in Part II of the ICR.
We received a comprehensive set of
emissions test data and emissions
estimates that enabled us to conduct
risk modeling of detectable HAP
emissions for all major source facilities
in the pulp and paper category.
Two substantial QA efforts were
conducted on the Part II data in order
to create the modeling files needed for
the residual risk assessment, which
included: (1) QA of the updated
inventory spreadsheets submitted by
each mill prior to import into the
compiled database; and (2) QA and
standardization of the compiled
database.
We reviewed the NEI datasets to
ensure that the major pulp and paper
processes and pollutants were included
and properly identified, to ensure that
emissions from the various processes
were allocated to the correct source
category (e.g., MACT code 1626–1), and
to identify emissions and other data
anomalies that could affect risk
3 The docket for this rulemaking contains the
following document which provides more
information on the risk assessment inputs and
models: Draft Residual Risk Assessment for Pulp
and Paper Source Category.
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estimates. We also standardized the
various codes (e.g., SCCs, pollutant
codes), eliminated duplicate records
and checked geographic coordinates.
We reviewed emissions release
parameters for data gaps and errors,
assigned the proper default parameters
where necessary, segregated the
emission points into logical emission
process groups and ensured that fugitive
release dimensions were specified or
given default values where necessary.
We made changes based on available
information, including updated
information voluntarily submitted by
pulp and paper mills.4
We assigned emissions process groups
to distinguish between processes with
related SCCs. For mills with VOC
emissions data but no HAP emissions
data, we developed HAP-to-VOC ratios
to estimate HAP emissions, using HAP
and VOC emission factors provided by
NCASI.5 However, as noted above, most
emissions factors were based on actual
tests or actual tests conducted at similar
sources (see NCASI Technical Bulletin
No. 973).6 Additionally, the largest HAP
emission compound in the category,
methanol, at approximately 86 percent
of the HAP in the category, is required
to be quantified in each compliance test
referenced in the standard.
Consequently, the greatest proportion of
HAP emissions at each facility are based
on emission factors derived from actual
source specific tests.
For purposes of risk modeling, we
reviewed emissions data for chromium,
mercury, POM and glycol ether in order
to properly speciate emissions.
Chromium emissions were speciated as
hexavalent chromium (chromium VI)
and trivalent chromium (chromium III).7
Mercury emissions were speciated as
particulate divalent mercury, gaseous
divalent mercury and elemental gaseous
mercury.8 Total POM emissions were
speciated differently for each emission
unit type (e.g., gas- or oil-fired paper
machine dryers) based on the most
common POM compounds emitted from
that unit (e.g., phenanthrene, fluorene,
pyrene, fluoranthene and/or 2methylnaphthalene). We speciated all
total glycol ether records as 1,2dimethoxyethane, since this pollutant
represents 99 percent of all emissions
4 For more information, see the memorandum in
the docket titled, Inputs to the Pulp and Paper
Industry October 2011 Residual Risk Modeling.
5 Ibid.
6 A. Someshwar, NCASI. Compilation of ‘‘Air
Toxic’’ and Total Hydrocarbon Emissions Data for
Pulp and Paper Mill Sources—A Second Update.
Technical Bulletin No. 973. February 2010.
7 For more information, see the memorandum in
the docket titled, Inputs to the Pulp and Paper
Industry October 2011 Residual Risk Modeling.
8 Ibid.
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reported under the glycol ether
compounds category from pulp and
paper emission sources.9 Acrolein
emissions were removed from the
subpart S modeling file due to
uncertainty in the emissions
estimates.10
In addition, we reviewed facilitywide
data included in the NEI dataset from
the EPA’s TRI to ensure that
combustion-related dioxin/furan
emissions were apportioned to the
proper MACT code (0107 or 1626–2). As
expected, there were no dioxin/furan
emissions data for subpart S sources
(MACT code 1626–1).11
The Part II NEI emissions dataset for
the pulp and paper (subpart S) source
category shows 45,000 tpy of total HAP
emissions from the 171 mills in the
dataset. Methanol, acetaldehyde, cresol/
cresylic acid (mixed isomers), phenol,
chloroform, formaldehyde, hydrochloric
acid, biphenyl, hexachloroethane,
xylenes, propionaldehyde and 1,2,4trichlorobenzene account for the
majority of the HAP emissions reported
for pulp and paper production
(approximately 43,900 tpy, or 97
percent). The remaining 3 percent of the
HAP, reported in lesser quantities,
include acetophenone, benzene,
cumene, carbon disulfide, chlorine,
methyl isobutyl ketone, methylene
chloride (dichloromethane),
naphthalene, styrene,
tetrachloroethylene (perchloroethylene),
toluene, trichloroethylene and 56
others. Methanol, which accounts for
about 86 percent of the total HAP mass
emissions, is the HAP emitted by the
largest number of facilities, with
methanol reported for 166 out of 171
mills in the dataset (or 97 percent).
Emissions of the following PB–HAP
were identified in the emissions
inventory for the pulp and paper
(subpart S) source category: cadmium
compounds, lead compounds, mercury
compounds and POM. As a standard
practice in conducting risk assessments
for source categories, the EPA conducts
a two-step process: (1) Are PB–HAPs
being emitted; and (2) are they being
released above screening thresholds? If
these releases are significantly above the
screening thresholds and the EPA has
detailed information on the releases and
the site, a complete multipathway
analysis of the site will be conducted to
estimate pathway risks for the source
category. Further information about the
analysis performed for this category
follows in section III.B.4 of this
preamble.
9 Ibid.
10 Ibid.
11 Ibid.
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2. Establishing the Relationship
Between Actual Emissions and MACTAllowable Emissions Levels
The available emissions data in the
Part II NEI emissions dataset include
estimates of the mass of HAP actually
emitted during the 2009 time period
covered under the survey. These
‘‘actual’’ emissions levels are often
lower than the emissions levels that a
facility might be allowed to emit and
still comply with the MACT standards.
The emissions levels allowed to be
emitted by the MACT standards are
referred to as the ‘‘MACT-allowable’’
emissions levels. These represent the
highest emissions levels that could be
emitted by the facility without violating
the MACT standards.
We discussed the use of both MACTallowable and actual emissions in the
final Coke Oven Batteries residual risk
rule (70 FR 19998–19999, April 15,
2005) and in the proposed and final
HON residual risk rules (71 FR 34428,
June 14, 2006, and 71 FR 76609,
December 21, 2006, respectively). In
those previous actions, we noted that
assessing the risks at the MACTallowable level is inherently reasonable
since these risks reflect the maximum
level at which sources could emit while
still complying with the MACT
standards. However, we also explained
that it is reasonable to consider actual
emissions, where such data are
available, in both steps of the risk
analysis, in accordance with the
Benzene NESHAP (54 FR 38044,
September 14, 1989). It is reasonable to
consider actual emissions because
sources typically seek to perform better
than required by emissions standards to
provide an operational cushion to
accommodate the variability in
manufacturing processes and control
device performance. Facilities’ actual
emissions may also be significantly
lower than MACT-allowable emissions
for other reasons such as state
requirements, better performance of
control devices than required by the
MACT standards or reduced production.
As described earlier in this section,
actual emissions were based on the Part
II NEI emissions dataset. To estimate
emissions at the MACT-allowable level,
we developed a ratio of MACTallowable to actual emissions for each
source type for the facilities in the
source category. This ratio is based on
the level of control required by the
subpart S MACT standards compared to
the level of reported actual emissions
and available information from the Part
I survey on the level of control achieved
by the emissions controls in use. For
example, if survey data indicated that
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an emission point type was being
controlled by 92 percent, while the
MACT standard required only 87
percent control, we would estimate that
MACT-allowable emissions from that
emission point type could be as much
as 1.6 times higher (13 percent
allowable emissions compared with 8
percent actually emitted), and the ratio
of MACT-allowable to actual would be
1.6:1 for this emission point type.12
After developing these ratios for each
emission point type in this source
category, we next applied these ratios
on an emission process unit basis to the
Part II actual emissions data to obtain
risk estimates based on MACTallowable emissions.13
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3. Conducting Dispersion Modeling,
Determining Inhalation Exposures and
Estimating Individual and Population
Inhalation Risks
Both long-term and short-term
inhalation exposure concentrations and
health risks from the source category
addressed in this proposal were
estimated using the HEM–3 human
exposure model. The HEM–3 performs
three of the primary risk assessment
activities listed above: (1) Conducting
dispersion modeling to estimate the
concentrations of HAP in ambient air,
(2) estimating long-term and short-term
inhalation exposures to individuals
residing within 50 km of the modeled
sources, and (3) estimating individual
and population-level inhalation risks
using the exposure estimates and
quantitative dose-response information.
The dispersion model used by HEM–
3 is AERMOD, which is one of the
EPA’s preferred models for assessing
pollutant concentrations from industrial
facilities.14 To perform the dispersion
modeling and to develop the
preliminary risk estimates, HEM–3
draws on three data libraries. The first
is a library of meteorological data,
which is used for dispersion
calculations. This library includes 1
year of hourly surface and upper air
observations for 130 meteorological
stations, selected to provide coverage of
the United States and Puerto Rico. A
second library of United States Census
Bureau census block 15 internal point
locations and populations provides the
basis of human exposure calculations
12 Ibid.
13 Ibid.
14 U.S. EPA. Revision to the Guideline on Air
Quality Models: Adoption of a Preferred General
Purpose (Flat and Complex Terrain) Dispersion
Model and Other Revisions (70 FR 68218,
November 9, 2005).
15 A census block is generally the smallest
geographic area for which census statistics are
tabulated.
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based on the year 2000 U.S. Census. In
addition, for each census block, the
census library includes the elevation
and controlling hill height which are
also used in dispersion calculations. A
third library of pollutant unit risk
factors and other health benchmarks is
used to estimate health risks. These risk
factors and health benchmarks are the
latest values recommended by the EPA
for HAP and other toxic air pollutants.
These values are available at https://
www.epa.gov/ttn/atw/toxsource/
summary.html and are discussed in
more detail later in this section.
In developing the risk assessment for
chronic exposures, we used the
estimated annual average ambient air
concentration of each of the HAP
emitted by each source for which we
have emissions data in the source
category. The air concentrations at each
nearby census block centroid were
primarily used as a surrogate for the
chronic inhalation exposure
concentration for all the people who
reside in that census block. There were
two exceptions to this. In those cases
where we identified census block
centroids which were located on-site,
these centroids were re-assigned to a
nearby residential location. In those
cases where nearby census blocks were
abnormally large, additional residential
receptors were placed within those
census blocks at observable residences
to ensure an adequate representation of
chronic risks to the nearby residences.
We calculated the MIR for each facility
as the cancer risk associated with a
continuous lifetime (24 hours per day,
7 days per week and 52 weeks per year
for a 70-year period) exposure to the
maximum concentration at the centroid
of an inhabited census block. Individual
cancer risks were calculated by
multiplying the estimated lifetime
exposure to the ambient concentration
of each of the HAP (in micrograms per
cubic meter) by its URE, which is an
upper bound estimate of an individual’s
probability of contracting cancer over a
lifetime of exposure to a concentration
of 1 microgram of the pollutant per
cubic meter of air. In general, for
residual risk assessments, we use URE
values from the EPA’s IRIS.16 For
carcinogenic pollutants without the EPA
IRIS values, we look to other reputable
sources of cancer dose-response values,
often using CalEPA URE values, where
available. In cases where new,
scientifically credible dose-response
values have been developed in a manner
consistent with EPA guidelines and
have undergone a peer review process
16 The IRIS information is available at https://
www.epa.gov/IRIS.
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similar to that used by the EPA, we may
use such dose-response values in place
of, or in addition to, other values, if
appropriate.
In 2004, the EPA determined that the
CIIT cancer dose-response value for
formaldehyde (5.5 × 10¥9 per mg/m3)
was based on better science than the
IRIS dose-response value (1.3 × 10¥5 per
mg/m3), and we switched from using the
IRIS value to the CIIT value in risk
assessments supporting regulatory
actions. Based on subsequent published
research, however, the EPA changed its
determination regarding the CIIT model,
and, in 2010, the EPA returned to using
the 1991 IRIS value. The NAS
completed its review of the EPA’s draft
assessment in April of 2011 (https://
www.nap.edu/catalog.php?record
id=13142), and the EPA has been
working on revising the formaldehyde
assessment. The EPA will follow the
NAS Report recommendations and will
present results obtained by
implementing the BBDR model for
formaldehyde. The EPA will compare
these estimates with those currently
presented in the External Review draft
of the assessment and will discuss their
strengths and weaknesses. As
recommended by the NAS committee,
appropriate sensitivity and uncertainty
analyses will be an integral component
of implementing the BBDR model. The
draft IRIS assessment will be revised in
response to the NAS peer review and
public comments and the final
assessment will be posted on the IRIS
database. In the interim, we will present
findings using the 1991 IRIS value as a
primary estimate and may also consider
other information as the science
evolves.
We note here that POM, a
carcinogenic HAP with a mutagenic
mode of action, is emitted by some of
the facilities in this category.17 For this
compound,18 the ADAF described in the
EPA’s Supplemental Guidance for
Assessing Susceptibility from Early-Life
Exposure to Carcinogens 19 were
applied. This adjustment has the effect
of increasing the estimated lifetime risks
for this pollutant by a factor of 1.6. In
addition, although only a small fraction
17 U.S. EPA, 2006. Performing risk assessments
that include carcinogens described in the
Supplemental Guidance as having a mutagenic
mode of action. Science Policy Council Cancer
Guidelines Implementation Work Group
Communication II: Memo from W.H. Farland, dated
June 14, 2006.
18 See the Risk Assessment for Source Categories
document available in the docket for a list of HAP
with a mutagenic mode of action.
19 U.S. EPA, 2005. Supplemental Guidance for
Assessing Early-Life Exposure to Carcinogens. EPA/
630/R–03/003F. https://www.epa.gov/ttn/atw/
childrens_supplement_final.pdf.
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of the total POM emissions were not
reported as individual compounds, the
EPA expresses carcinogenic potency for
compounds in this group in terms of
benzo[a]pyrene equivalence, based on
evidence that carcinogenic POM has the
same mutagenic mechanism of action as
does benzo[a]pyrene. For this reason,
the EPA’s Science Policy Council 20
recommends applying the Supplemental
Guidance to all carcinogenic polycyclic
aromatic hydrocarbons for which risk
estimates are based on relative potency.
Accordingly, we have applied the ADAF
to the benzo[a]pyrene equivalent
portion of all POM mixtures.
Incremental individual lifetime
cancer risks associated with emissions
from the source category were estimated
as the sum of the risks for each of the
carcinogenic HAP (including those
classified as carcinogenic to humans,
likely to be carcinogenic to humans and
suggestive evidence of carcinogenic
potential 21) emitted by the modeled
source. Cancer incidence and the
distribution of individual cancer risks
for the population within 50 km of the
source were also estimated for the
source category as part of these
assessments by summing individual
risks. A distance of 50 km is consistent
with both the analysis supporting the
1989 Benzene NESHAP (54 FR 38044)
and the limitations of Gaussian
dispersion models, including AERMOD.
To assess risk of noncancer health
effects from chronic exposures, we
summed the HQ for each of the HAP
that affects a common target organ
system to obtain the HI for that target
organ system (or TOSHI). The HQ is the
estimated exposure divided by the
chronic reference value, which is either
the EPA RfC, defined as ‘‘an estimate
(with uncertainty spanning perhaps an
order of magnitude) of a continuous
inhalation exposure to the human
population (including sensitive
subgroups) that is likely to be without
an appreciable risk of deleterious effects
during a lifetime,’’ or, in cases where a
20 U.S. EPA, 2006. Science Policy Council Cancer
Guidelines Implementation Workgroup
Communication II: Memo from W.H. Farland, dated
June 14, 2006.
21 These classifications also coincide with the
terms ‘‘known carcinogen, probable carcinogen, and
possible carcinogen,’’ respectively, which are the
terms advocated in the EPA’s previous Guidelines
for Carcinogen Risk Assessment, published in 1986
(51 FR 33992, September 24, 1986). Summing the
risks of these individual compounds to obtain the
cumulative cancer risks is an approach that was
recommended by the EPA’s SAB in their 2002 peer
review of EPA’s NATA titled, NATA—Evaluating
the National-scale Air Toxics Assessment 1996
Data—an SAB Advisory, available at: https://
yosemite.epa.gov/sab/sabproduct.nsf/
214C6E915BB04E14852570CA007A682C/$File/
ecadv02001.pdf.
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RfC is not available, the ATSDR chronic
MRL or the CalEPA Chronic REL. The
REL is defined as ‘‘the concentration
level at or below which no adverse
health effects are anticipated for a
specified exposure duration.’’ As noted
above, in cases where new, scientifically
credible dose-response values have been
developed in a manner consistent with
EPA guidelines and have undergone a
peer review process similar to that used
by the EPA, we may use those doseresponse values in place of or, in
addition to, other values.
Worst-case screening estimates of
acute exposures and risks were also
evaluated for each of the HAP at the
point of highest offsite exposure for
each facility (i.e., not just the census
block centroids) assuming that a person
was located at this spot at a time when
both the peak (hourly) emission rate and
hourly dispersion conditions occurred.
In general, acute HQ values were
calculated using best available, shortterm dose-response value. These acute
dose-response values include REL,
AEGL and ERPG for 1-hour exposure
durations. As discussed below, we used
conservative assumptions for emission
rates, meteorology and exposure
location for our acute analysis.
As described in the CalEPA’s Air
Toxics Hot Spots Program Risk
Assessment Guidelines, Part I, The
Determination of Acute Reference
Exposure Levels for Airborne Toxicants,
an acute REL value (https://
www.oehha.ca.gov/air/pdf/acuterel.pdf)
is defined as ‘‘the concentration level at
or below which no adverse health
effects are anticipated for a specified
exposure duration.’’ Reference exposure
level values are based on the most
sensitive, relevant, adverse health effect
reported in the medical and
toxicological literature. Reference
exposure level values are designed to
protect the most sensitive individuals in
the population by the inclusion of
margins of safety. Since margins of
safety are incorporated to address data
gaps and uncertainties, exceeding the
REL does not automatically indicate an
adverse health impact.
Acute Exposure Guideline Levels
were derived in response to
recommendations from the NRC. As
described in Standing Operating
Procedures (SOP) of the National
Advisory Committee on Acute Exposure
Guideline Levels for Hazardous
Substances (https://www.epa.gov/
opptintr/aegl/pubs/sop.pdf),22 ‘‘the
NRC’s previous name for acute exposure
22 NAS, 2001. Standing Operating Procedures for
Developing Acute Exposure Levels for Hazardous
Chemicals, page 2.
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levels—CEEL—was replaced by the term
AEGL to reflect the broad application of
these values to planning, response, and
prevention in the community, the
workplace, transportation, the military,
and the remediation of Superfund
sites.’’ This document also states that
AEGL values ‘‘represent threshold
exposure limits for the general public
and are applicable to emergency
exposures ranging from 10 minutes to 8
hours.’’ The document lays out the
purpose and objectives of AEGL by
stating (page 21) that ‘‘the primary
purpose of the AEGL program and the
NAC/AEGL Committee is to develop
guideline levels for once-in-a-lifetime,
short-term exposures to airborne
concentrations of acutely toxic, highpriority chemicals.’’ In detailing the
intended application of AEGL values,
the document states (page 31) that ‘‘[i]t
is anticipated that the AEGL values will
be used for regulatory and
nonregulatory purposes by United
States federal and state agencies, and
possibly the international community in
conjunction with chemical emergency
response, planning and prevention
programs. More specifically, the AEGL
values will be used for conducting
various risk assessments to aid in the
development of emergency
preparedness and prevention plans, as
well as real-time emergency response
actions, for accidental chemical releases
at fixed facilities and from transport
carriers.’’
The AEGL–1 value is then specifically
defined as ‘‘the airborne concentration
of a substance above which it is
predicted that the general population,
including susceptible individuals, could
experience notable discomfort,
irritation, or certain asymptomatic
nonsensory effects. However, the effects
are not disabling and are transient and
reversible upon cessation of exposure.’’
The document also notes (page 3) that,
‘‘Airborne concentrations below AEGL–
1 represent exposure levels that can
produce mild and progressively
increasing but transient and
nondisabling odor, taste, and sensory
irritation or certain asymptomatic,
nonsensory effects.’’ Similarly, the
document defines AEGL–2 values as
‘‘the airborne concentration (expressed
as ppm or mg/m3) of a substance above
which it is predicted that the general
population, including susceptible
individuals, could experience
irreversible or other serious, long-lasting
adverse health effects or an impaired
ability to escape.’’
Emergency Response Planning
Guidelines values are derived for use in
emergency response, as described in the
American Industrial Hygiene
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Association’s document titled,
Emergency Response Planning
Guidelines (ERPG) Procedures and
Responsibilities (https://www.aiha.org/
1documents/committees/
ERPSOPs2006.pdf) which states that,
‘‘Emergency Response Planning
Guidelines were developed for
emergency planning and are intended as
health-based guideline concentrations
for single exposures to chemicals.’’ 23
The ERPG–1 value is defined as ‘‘the
maximum airborne concentration below
which it is believed that nearly all
individuals could be exposed for up to
1 hour without experiencing other than
mild transient adverse health effects or
without perceiving a clearly defined,
objectionable odor.’’ Similarly, the
ERPG–2 value is defined as ‘‘the
maximum airborne concentration below
which it is believed that nearly all
individuals could be exposed for up to
1 hour without experiencing or
developing irreversible or other serious
health effects or symptoms which could
impair an individual’s ability to take
protective action.’’
As can be seen from the definitions
above, the AEGL and ERPG values
include the similarly-defined severity
levels 1 and 2. For many chemicals, a
severity level 1 value AEGL or ERPG has
not been developed; in these instances,
higher severity level AEGL–2 or ERPG–
2 values are compared to our modeled
exposure levels to screen for potential
acute concerns.
Acute REL values for 1-hour exposure
durations are typically lower than their
corresponding AEGL–1 and ERPG–1
values. Even though their definitions are
slightly different, AEGL–1 values are
often the same as the corresponding
ERPG–1 values, and AEGL–2 values are
often equal to ERPG–2 values.
Maximum HQ values from our acute
screening risk assessments typically
result when basing them on the acute
REL value for a particular pollutant. In
cases where our maximum acute HQ
value exceeds 1, we also report the HQ
value based on the next highest acute
threshold (usually the AEGL–1 and/or
the ERPG–1 value).
To develop screening estimates of
acute exposures, we first developed
estimates of maximum hourly emission
rates by multiplying the average actual
annual hourly emission rates by a factor
to cover routinely variable emissions.
An acute multiplication factor of 1.6
was used for papermaking equipment
(e.g., paper machines, stock preparation,
repulping) based on a paper machine
23 ERP Committee Procedures and
Responsibilities. November 1, 2006. American
Industrial Hygiene Association.
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peak-to-mean analysis. Similarly, a
peak-to-mean multiplier of 2 was used
for pulp and paper wastewater
treatment units based on analysis of
data from pulp and paper primary
clarifiers and aerated stabilization
basins. Peak-to-mean multipliers
ranging from 1 to 3.1 were developed for
other types of pulp and paper
equipment based on the routine annual
emissions data and peak hourly
emissions data obtained from Part II
survey data.24
In cases where all acute HQ values
from the screening step were less than
or equal to 1, acute impacts were
deemed negligible and no further
analysis was performed. In the cases
where an acute HQ from the screening
step was greater than 1, additional sitespecific data were considered to
develop a more refined estimate of the
potential for acute impacts of concern.
The data refinements included using
site-specific facility layouts, as
available, to distinguish facility
property from an area where the public
could access and be exposed. These
refinements are discussed in the draft
risk assessment documents, which are
available in the docket for this source
category. Ideally, we would prefer to
have continuous measurements over
time to see how the emissions vary by
each hour over an entire year. Having a
frequency distribution of hourly
emission rates over a year would allow
us to perform a probabilistic analysis to
estimate potential threshold
exceedances and their frequency of
occurrence. Such an evaluation could
include a more complete statistical
treatment of the key parameters and
elements adopted in this screening
analysis. However, we recognize that
having this level of data is rare, and
hence our use of the multiplier
approach.
4. Multipathway Exposure and Risk
Screening
The potential for significant human
health risks due to exposures via routes
other than inhalation (i.e.,
multipathway exposures) and the
potential for adverse environmental
impacts were evaluated in a three-step
process. In the first step, we determined
whether any facilities emitted any HAP
known to be persistent and bioaccumulative in the environment (PB–
HAP). There are 14 PB–HAP
compounds or compound classes
identified for this screening in the EPA’s
24 More information supporting the use of these
factors for Pulp and Paper production is presented
in the memorandum, Inputs to the Pulp and Paper
Industry October 2011 Residual Risk Modeling,
which is available in the docket for this action.
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81337
Air Toxics Risk Assessment Library
(available at https://www.epa.gov/ttn/
fera/risk_atra_vol1.html). They are
cadmium compounds, chlordane,
chlorinated dibenzodioxins and furans,
dichlorodiphenyldichloroethylene,
heptachlor, hexachlorobenzene,
hexachlorocyclohexane, lead
compounds, mercury compounds,
methoxychlor, polychlorinated
biphenyls, POM, toxaphene and
trifluralin. Emissions of four different
PB–HAP were identified in the Part II
NEI emissions dataset for the pulp and
paper (subpart S) source category:
cadmium compounds, lead compounds,
mercury compounds and POM. These
four compounds plus chlorinated
dibenzodioxins and furans were
identified in the NEI dataset for the
entire mill, which includes sources
inside and outside the subpart S
category (e.g., boilers, chemical recovery
combustion sources). In the second step
of the screening process, we determined
whether the facility-specific emission
rates of each of the emitted PB–HAP
were large enough to create the potential
for significant non-inhalation human
health or environmental risks. To
facilitate this step, we have developed
emission rate thresholds for each PB–
HAP using a hypothetical screening
exposure scenario developed for use in
conjunction with the TRIM.FaTE model.
The hypothetical screening scenario was
subjected to a sensitivity analysis to
ensure that its key design parameters
were established such that
environmental media concentrations
were not underestimated (i.e., to
minimize the occurrence of false
negatives or results that suggest that
risks might be acceptable when, in fact,
actual risks are high), and to also
minimize the occurrence of false
positives for human health endpoints.
We call this application of the
TRIM.FaTE model TRIM-Screen. The
facility specific emission rates of each of
the PB–HAP in each source category
were compared to the emission
threshold values for each of the PB–
HAP identified in the source category
datasets.
For all of the facilities in the source
category addressed in this proposal, all
of the PB–HAP emission rates were less
than the emission threshold values,
except for one facility with POM
emissions as benzo(a)pyrene that
exceeded the screening emission rate by
a factor of 2. For POM, exceeding the
screening emission rate relates to a
potential for creating a cancer risk in
excess of 1 in a million. In performing
the screening for potential
multipathway exposures and risks of
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concern, we determined that emissions
of POM were not significant enough to
pose multipathway impacts of concern
for human health or the environment. If
the emission rates of the PB–HAP had
been determined to be significant, the
source category would have been further
evaluated for potential non-inhalation
risks and adverse environmental effects
in a third step through site-specific
refined assessments using the EPA’s
TRIM.FaTE model.
For further information on the
multipathway analysis approach, see
the residual risk documentation as
referenced in section IV.A of this
preamble.
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5. Assessing Risks Considering
Emissions Control Options
This rulemaking does not require the
installation of any new emission
controls to reduce risk; therefore, no risk
modeling was conducted to estimate
risk reductions following installation of
emission controls for this proposal.
6. Conducting Facilitywide Risk
Assessments
To put the source category risks in
context, we also examine the risks from
the entire ‘‘facility,’’ where the facility
includes all HAP-emitting operations
within a contiguous area and under
common control. In other words, we
examine the HAP emissions not only
from the source category of interest but
also emissions of HAP from all other
emissions sources at the facility. Nearly
all 171 major sources in the subpart S
category include boilers, and 111 of the
171 major sources include chemical
recovery combustion sources (e.g.,
recovery furnace, smelt dissolving tank,
lime kiln). Pulp and paper mills also
include paper coating, landfills,
petroleum storage and transfer and other
operations. Therefore, where data were
available, we performed a facilitywide
risk assessment for these major sources
as part of today’s action.
We estimated the risks due to the
inhalation of HAP that are emitted
‘‘facilitywide’’ for the populations
residing within 50 km of each facility,
consistent with the methods used for
the source category analysis described
above. For these facilitywide risk
analyses, the modeled source category
risks were compared to the facilitywide
risks to determine the portion of
facilitywide risks that could be
attributed to the source categories
addressed in this proposal. We
specifically examined the facilities
associated with the highest estimates of
risk and determined the percentage of
that risk attributable to the source
category of interest. The risk
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documentation available through the
docket for this action provides all the
facilitywide risks and the percentage of
source category contribution for all
source categories assessed.
The methodology and the results of
the facilitywide analyses for each source
category are included in the residual
risk documentation as referenced in
section IV.A of this preamble, which is
available in the docket for this action.
7. Considering Uncertainties in Risk
Assessment
Uncertainty and the potential for bias
are inherent in all risk assessments,
including that performed for the source
category addressed in this proposal.
Although uncertainty exists, we believe
the approach that we took, which used
conservative tools and assumptions to
bridge data gaps, ensures that our
decisions are health-protective. A brief
discussion of the uncertainties in the
emissions dataset, dispersion modeling,
inhalation exposure estimates and doseresponse relationships follows below.25
a. Uncertainties in the Emissions
Dataset
Although the development of the RTR
dataset involved QA/QC processes, the
accuracy of emissions values will vary
depending on: (1) The source of the
data, (2) the degree to which data are
incomplete or missing, (3) the degree to
which assumptions made to complete
the datasets are accurate, (4) whether
and to what extent errors were made in
estimating emissions values, (5) whether
the emissions were based on or
extrapolated from stack tests or
estimates of fugitive emissions, and (6)
miscellaneous other factors.
The annual HAP emissions estimates
used in the risk assessment are derived
from data provided by mills in response
to the Part II survey. Many of these
emissions estimates are based on
emission factors, developed from the
most comprehensive dataset available
for this industry, provided by NCASI.
The uncertainties associated with
emission factors include the
uncertainties in the measurement of the
data, limitations in the size and quality
of the dataset, the presence of nondetects and outliers in the dataset, the
emission factor calculations used, etc.
As noted in section III.A.1 of this
preamble, acrolein emissions were not
25 A more thorough discussion of these
uncertainties is included in the risk assessment
documentation (Draft Residual Risk Assessment for
the Pulp and Paper Category) available in the
docket for this action.
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modeled due to uncertainties in the
emissions estimates.26
b. Uncertainties in Dispersion Modeling
Although the analysis employed the
EPA’s recommended regulatory
dispersion model, AERMOD, we
recognize that there is uncertainty in
ambient concentration estimates
associated with any model, including
AERMOD. In circumstances where we
had to choose between various model
options, where possible, we selected
model options (e.g., rural/urban, plume
depletion, chemistry) that provided an
overestimate of ambient concentrations
of the HAP rather than an
underestimate. However, because of
practicality and data limitation reasons,
some factors (e.g., building downwash)
have the potential in some situations to
overestimate or underestimate ambient
impacts. Despite these uncertainties, we
believe that at offsite locations and
census block centroids, the approach
considered in the dispersion modeling
analysis should generally yield
overestimates of ambient HAP
concentrations.
c. Uncertainties in Inhalation Exposure
The effects of human mobility on
exposures were not included in the
assessment. Specifically, short-term
mobility and long-term mobility
between census blocks in the modeling
domain were not considered.27 The
assumption of not considering short- or
long-term population mobility does not
bias the estimate of the theoretical MIR,
nor does it affect the estimate of cancer
incidence since the total population
number remains the same. It does,
however, affect the shape of the
distribution of individual risks across
the affected population, shifting it
toward higher estimated individual
risks at the upper end and reducing the
number of people estimated to be at
lower risks, thereby increasing the
estimated number of people at specific
risk levels.
In addition, the assessment predicted
the chronic exposures at the centroid of
each populated census block as
surrogates for the exposure
concentrations for all people living in
that block. Using the census block
centroid to predict chronic exposures
tends to over-predict exposures for
people in the census block who live
26 For more information, see the memorandum in
the docket titled, Inputs to the Pulp and Paper
Industry October 2011 Residual Risk Modeling.
27 Short-term mobility is movement from one
microenvironment to another over the course of
hours or days. Long-term mobility is movement
from one residence to another over the course of a
lifetime.
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farther from the facility and underpredict exposures for people in the
census block who live closer to the
facility. Thus, using the census block
centroid to predict chronic exposures
may lead to a potential understatement
or overstatement of the true maximum
impact for any one individual but is an
unbiased estimate of average risk and
incidence.
The assessments evaluate the
projected cancer inhalation risks
associated with pollutant exposures
over a 70-year period, which is the
assumed lifetime of an individual. In
reality, both the length of time that
modeled emissions sources at facilities
actually operate (i.e., more or less than
70 years), and the domestic growth or
decline of the modeled industry (i.e., the
increase or decrease in the number or
size of United States facilities), will
influence the future risks posed by a
given source or source category.
Depending on the characteristics of the
industry, these factors will, in most
cases, result in an overestimate both in
individual risk levels and in the total
estimated number of cancer cases.
However, in rare cases, where a facility
maintains or increases its emissions
levels beyond 70 years, residents live
beyond 70 years at the same location
and the residents spend most of their
days at that location, then the risks
could potentially be underestimated.
Annual cancer incidence estimates from
exposures to emissions from these
sources would not be affected by
uncertainty in the length of time
emissions sources operate.
The exposure estimates used in these
analyses assume chronic exposures to
ambient levels of pollutants. Because
most people spend the majority of their
time indoors, actual exposures may not
be as high, depending on the
characteristics of the pollutants
modeled. For many of the HAP, indoor
levels are roughly equivalent to ambient
levels, but for very reactive pollutants or
larger particles, these levels are
typically lower. This factor has the
potential to result in an overstatement of
25 to 30 percent of exposures for some
HAP.28
In addition to the uncertainties
highlighted above, there are several
factors specific to the acute exposure
assessment that should be highlighted.
The accuracy of an acute inhalation
exposure assessment depends on the
simultaneous occurrence of
independent factors that may vary
greatly, such as hourly emissions rates,
28 U.S. EPA. National-Scale Air Toxics
Assessment for 1996. EPA 453/R–01–003; January
2001; page 85.
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meteorology and human activity
patterns. In this assessment, we assume
that individuals remain for 1 hour at the
point of maximum ambient
concentration as determined by the cooccurrence of peak emissions and worstcase meteorological conditions. These
assumptions would tend to be worstcase actual exposures since it is unlikely
that a person would be located at the
point of maximum exposure during the
time of worst-case impact.
d. Uncertainties in Dose-Response
Relationships
There are uncertainties inherent in
the development of the dose-response
values used in our risk assessments for
cancer effects from chronic exposures
and noncancer effects from both chronic
and acute exposures. Some
uncertainties may be considered
quantitatively, and others generally are
expressed in qualitative terms. We note
as a preface to this discussion a point on
dose-response uncertainty that is
brought out in the EPA’s 2005 Cancer
Guidelines; namely, that ‘‘the primary
goal of EPA actions is protection of
human health; accordingly, as an agency
policy, risk assessment procedures,
including default options that are used
in the absence of scientific data to the
contrary, should be health protective’’
(EPA 2005 Cancer Guidelines, pages 1–
7). This is the approach followed here
as summarized in the next several
paragraphs. A complete detailed
discussion of uncertainties and
variability in dose-response
relationships is given in the residual
risk documentation which is available
in the docket for this action.
Cancer URE values used in our risk
assessments are those that have been
developed to generally provide an upper
bound estimate of risk. That is, they
represent a ‘‘plausible upper limit to the
true value of a quantity’’ (although this
is usually not a true statistical
confidence limit).29 In some
circumstances, the true risk could be as
low as zero; however, in other
circumstances the risk could be
greater.30 When developing an upper
bound estimate of risk and to provide
risk values that do not underestimate
risk, health-protective default
approaches are generally used. To err on
the side of ensuring adequate health
protection, the EPA typically uses the
upper bound estimates rather than
29 IRIS glossary (https://www.epa.gov/NCEA/iris/
help_gloss.htm).
30 An exception to this is the URE for benzene,
which is considered to cover a range of values, each
end of which is considered to be equally plausible
and which is based on maximum likelihood
estimates.
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81339
lower bound or central tendency
estimates in our risk assessments, an
approach that may have limitations for
other uses (e.g., priority-setting or
expected benefits analysis).
Chronic noncancer reference (RfC and
RfD) values represent chronic exposure
levels that are intended to be healthprotective levels. Specifically, these
values provide an estimate (with
uncertainty spanning perhaps an order
of magnitude) of a continuous
inhalation exposure (RfC) or a daily oral
exposure (RfD) to the human population
(including sensitive subgroups) that is
likely to be without an appreciable risk
of deleterious effects during a lifetime.
To derive values that are intended to be
‘‘without appreciable risk,’’ the
methodology relies upon an UF
approach (EPA 1993, 1994) which
considers uncertainty, variability and
gaps in the available data. The UF are
applied to derive reference values that
are intended to protect against
appreciable risk of deleterious effects.
The UF are commonly default
values,31 e.g., factors of 10 or 3, used in
the absence of compound-specific data;
where data are available, UF may also
be developed using compound-specific
information. When data are limited,
more assumptions are needed and more
UF are used. Thus, there may be a
greater tendency to overestimate risk in
the sense that further study might
support development of reference
values that are higher (i.e., less potent)
because fewer default assumptions are
needed. However, for some pollutants, it
is possible that risks may be
underestimated. While collectively
termed ‘‘UF,’’ these factors account for
a number of different quantitative
considerations when using observed
animal (usually rodent) or human
toxicity data in the development of the
RfC. The UF are intended to account for:
31 According to the NRC report, Science and
Judgment in Risk Assessment (NRC, 1994)
‘‘[Default] options are generic approaches, based on
general scientific knowledge and policy judgment,
that are applied to various elements of the risk
assessment process when the correct scientific
model is unknown or uncertain.’’ The 1983 NRC
report, Risk Assessment in the Federal Government:
Managing the Process, defined default option as
‘‘the option chosen on the basis of risk assessment
policy that appears to be the best choice in the
absence of data to the contrary’’ (NRC, 1983a, p. 63).
Therefore, default options are not rules that bind
the agency; rather, the agency may depart from
them in evaluating the risks posed by a specific
substance when it believes this to be appropriate.
In keeping with the EPA’s goal of protecting public
health and the environment, default assumptions
are used to ensure that risk to chemicals is not
underestimated (although defaults are not intended
to overtly overestimate risk). See EPA, 2004, An
Examination of EPA Risk Assessment Principles
and Practices, EPA/100/B–04/001 available at:
https://www.epa.gov/osa/pdfs/ratf-final.pdf.
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(1) Variation in susceptibility among the
members of the human population (i.e.,
inter-individual variability); (2)
uncertainty in extrapolating from
experimental animal data to humans
(i.e., interspecies differences); (3)
uncertainty in extrapolating from data
obtained in a study with less-thanlifetime exposure (i.e., extrapolating
from sub-chronic to chronic exposure);
(4) uncertainty in extrapolating the
observed data to obtain an estimate of
the exposure associated with no adverse
effects; and (5) uncertainty when the
database is incomplete or there are
problems with the applicability of
available studies. Many of the UF used
to account for variability and
uncertainty in the development of acute
reference values are quite similar to
those developed for chronic durations,
but they more often use individual UF
values that may be less than 10.
Uncertainty factors are applied based on
chemical-specific or health effectspecific information (e.g., simple
irritation effects do not vary appreciably
between human individuals, hence a
value of 3 is typically used), or based on
the purpose for the reference value (see
the following paragraph). The UF
applied in acute reference value
derivation include: (1) Heterogeneity
among humans; (2) uncertainty in
extrapolating from animals to humans;
(3) uncertainty in lowest observed
adverse effect (exposure) level to no
observed adverse effect (exposure) level
adjustments; and (4) uncertainty in
accounting for an incomplete database
on toxic effects of potential concern.
Additional adjustments are often
applied to account for uncertainty in
extrapolation from observations at one
exposure duration (e.g., 4 hours) to
derive an acute reference value at
another exposure duration (e.g., 1 hour).
Not all acute reference values are
developed for the same purpose, and
care must be taken when interpreting
the results of an acute assessment of
human health effects relative to the
reference value or values being
exceeded. Where relevant to the
estimated exposures, the lack of shortterm dose-response values at different
levels of severity should be factored into
the risk characterization as potential
uncertainties.
Although every effort is made to
identify peer-reviewed reference values
for cancer and noncancer effects for all
pollutants emitted by the sources
included in this assessment, some HAP
continue to have no reference values for
cancer or chronic noncancer or acute
effects. Since exposures to these
pollutants cannot be included in a
quantitative risk estimate, an
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understatement of risk for these
pollutants at environmental exposure
levels is possible. For a group of
compounds that are either unspeciated
or do not have reference values for every
individual compound (e.g., glycol
ethers), we conservatively use the most
protective reference value to estimate
risk from individual compounds in the
group of compounds.
Additionally, chronic reference values
for several of the compounds included
in this assessment are currently under
the EPA IRIS review (e.g.,
formaldehyde), and revised assessments
may determine that these pollutants are
more or less potent than the current
value. We may re-evaluate residual risks
for the final rulemaking if these reviews
are completed prior to our taking final
action for this source category and if a
dose-response metric changes enough to
indicate that the risk assessment
supporting this notice may significantly
understate human health risk.
e. Uncertainties in the Multipathway
and Environmental Effects Screening
We generally assume that when
exposure levels are not anticipated to
adversely affect human health, they also
are not anticipated to adversely affect
the environment. For each source
category, we generally rely on the sitespecific levels of PB–HAP emissions to
determine whether a full assessment of
the multipathway and environmental
effects is necessary. Our screening
methods use worst-case scenarios to
determine whether multipathway
impacts might be important. The results
of such a process are biased high for the
purpose of screening out potential
impacts. Thus, when individual
pollutants or facilities screen out, we are
confident that the potential for
multipathway impacts is negligible. On
the other hand, when individual
pollutants or facilities do not screen out,
it does not mean that multipollutant
impacts are significant, only that we
cannot rule out that possibility. The
site-specific PB–HAP emission levels
were almost all far below levels which
would trigger a refined assessment of
multipathway impacts. The only PB–
HAP to exceed the screening threshold
was POM with emissions exceeding the
screening threshold by a factor of 2.
Thus, we are confident that these types
of impacts are insignificant for the
facilities in this source category.
B. How did we consider the risk results
in making decisions for this proposal?
As discussed in the previous section
of this preamble, we apply a two-step
process for determining whether to
develop standards to address residual
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risk. In the first step, the EPA
determines whether risks are acceptable.
This determination ‘‘considers all health
information, including risk estimation
uncertainty, and includes a presumptive
level on maximum individual lifetime
[cancer] risk (MIR) 32 of approximately
one in 10 thousand [i.e., 100 in 1
million].’’ 54 FR 38045. In the second
step of the process, the EPA determines
what level of the standard is needed to
provide an ample margin of safety ‘‘in
consideration of all health information,
including the number of persons at risk
levels higher than approximately one in
one million, as well as other relevant
factors, including costs and economic
impacts, technological feasibility, and
other factors relevant to each particular
decision.’’ Id.
In past residual risk actions, the EPA
presented and considered a number of
human health risk metrics associated
with emissions from the category under
review, including: the MIR; the numbers
of persons in various risk ranges; cancer
incidence; the maximum noncancer HI;
and the maximum acute noncancer
hazard. See, e.g., 75 FR 65068, 65072–
74 (October 21, 2010) and 76 FR 22566,
22575 (April 21, 2011). In estimating
risks, the EPA considered sources under
review that are located near each other
and that affect the same population. The
EPA developed risk estimates based on
the actual emissions from the source
category under review as well as based
on the maximum emissions allowed
pursuant to the source category MACT
standards. The EPA also discussed and
considered risk estimation
uncertainties. The EPA is providing this
same type of information in support of
this action.
The agency is considering all
available health information to inform
our determinations of risk acceptability
and ample margin of safety under CAA
section 112(f). Specifically, as explained
in the Benzene NESHAP, ‘‘the first step
judgment on acceptability cannot be
reduced to any single factor’’ and thus
‘‘[t]he Administrator believes that the
acceptability of risk under [previous]
section 112 is best judged on the basis
of a broad set of health risk measures
and information’’ (54 FR 38046).
Similarly, with regard to making the
ample margin of safety determination,
as stated in the Benzene NESHAP, ‘‘[in
the ample margin decision, the agency
again considers all of the health risk and
other health information considered in
the first step. Beyond that information,
32 Although defined as ‘‘maximum individual
risk,’’ MIR refers only to cancer risk. MIR, one
metric for assessing cancer risk, is the estimated
risk were an individual exposed to the maximum
level of a pollutant for a lifetime.
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additional factors relating to the
appropriate level of control will also be
considered, including cost and
economic impacts of controls,
technological feasibility, uncertainties,
and any other relevant factors.’’ Id.
The agency acknowledges that the
Benzene NESHAP provides flexibility
regarding what factors the EPA might
consider in making determinations and
how they might be weighed for each
source category. In responding to
comment on our policy under the
Benzene NESHAP, the EPA explained
that: ‘‘The policy chosen by the
Administrator permits consideration of
multiple measures of health risk. Not
only can the MIR figure be considered,
but also incidence, the presence of
noncancer health effects, and the
uncertainties of the risk estimates. In
this way, the effect on the most exposed
individuals can be reviewed as well as
the impact on the general public. These
factors can then be weighed in each
individual case. This approach complies
with the Vinyl Chloride mandate that
the Administrator ascertain an
acceptable level of risk to the public by
employing [her] expertise to assess
available data. It also complies with the
Congressional intent behind the CAA,
which did not exclude the use of any
particular measure of public health risk
from the EPA’s consideration with
respect to CAA section 112 regulations,
and, thereby, implicitly permits
consideration of any and all measures of
health risk which the Administrator, in
[her] judgment, believes are appropriate
to determining what will ‘protect the
public health.’’’ (54 FR at 38057).
Thus, the level of the MIR is only one
factor to be weighed in determining
acceptability of risks. The Benzene
NESHAP explained that ‘‘an MIR of
approximately 1 in 10 thousand should
ordinarily be the upper end of the range
of acceptability. As risks increase above
this benchmark, they become
presumptively less acceptable under
CAA section 112, and would be
weighed with the other health risk
measures and information in making an
overall judgment on acceptability. Or,
the agency may find, in a particular
case, that a risk that includes MIR less
than the presumptively acceptable level
is unacceptable in the light of other
health risk factors’’ (Id. at 38045).
Similarly, with regard to the ample
margin of safety analysis, the EPA stated
in the Benzene NESHAP that: ‘‘* * *
EPA believes the relative weight of the
many factors that can be considered in
selecting an ample margin of safety can
only be determined for each specific
source category. This occurs mainly
because technological and economic
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factors (along with the health-related
factors) vary from source category to
source category’’ (Id. at 38061).
C. How did we perform the technology
review?
Our technology review focused on the
identification and evaluation of
developments in practices, processes
and control technologies that have
occurred since the 1998 NESHAP was
promulgated. In cases where the
technology review identified such
developments, we conducted an
analysis of the technical feasibility of
applying these developments, along
with the estimated impacts (costs,
emissions reductions, risk reductions,
etc.) of applying these developments.
We then made decisions on whether it
is necessary and appropriate to propose
amendments to the regulation to require
any of the identified developments.
Based on specific knowledge of the
source category, we began by identifying
known developments in practices,
processes and control technologies. For
the purpose of this exercise, we
considered any of the following to be a
‘‘development’’:
• Any add-on control technology or
other equipment that was not identified
and considered during development of
the 1998 NESHAP;
• Any improvements in add-on
control technology or other equipment
(that were identified and considered
during development of the 1998
NESHAP) that could result in significant
additional emissions reductions;
• Any work practice or operational
procedure that was not identified or
considered during development of the
1998 NESHAP; and
• Any process change or pollution
prevention alternative that could be
broadly applied to the industry and that
was not identified or considered during
development of the 1998 NESHAP.
In addition to reviewing the practices,
processes or control technologies that
were not considered at the time we
developed the 1998 NESHAP, we
reviewed a variety of data sources in our
evaluation of whether there were
additional practices, processes or
controls to consider for the pulp and
paper industry. To aid in our evaluation
of whether there were additional
practices, processes or controls to
consider, one of these sources of data
was subsequent air toxics rules. Since
the promulgation of the MACT
standards for the source category
addressed in this proposal, the EPA has
developed air toxics regulations for a
number of additional source categories.
In these subsequent air toxic regulatory
actions, we consistently evaluated any
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81341
new practices, processes and control
technologies. We reviewed the
regulatory requirements and/or
technical analyses associated with these
subsequent regulatory actions to
identify any practices, processes and
control technologies considered in these
efforts that could possibly be applied to
emission sources in the source category
under this current RTR review.
We also consulted the EPA’s RBLC to
identify potential technology
advances.33 Control technologies,
classified as RACT, BACT or LAER
apply to stationary sources depending
on whether the sources are existing or
new, and on the size, age and location
of the facility. Best available control
technology and LAER (and sometimes
RACT) are determined on a case-by-case
basis, usually by state or local
permitting agencies. The EPA
established the RBLC to provide a
central database of air pollution
technology information (including
technologies required in source-specific
permits) to promote the sharing of
information among permitting agencies
and to aid in identifying future possible
control technology options that might
apply broadly to numerous sources
within a category or apply only on a
source-by-source basis. The RBLC
contains over 5,000 air pollution control
permit determinations that can help
identify appropriate technologies to
mitigate many air pollutant emission
streams. We searched this database to
determine whether it contained any
practices, processes or control
technologies for the types of processes
covered by the pulp and paper source
category. We also further analyzed a
number of BACT determinations listed
in the RBLC to obtain further
information.
Additionally, we conducted a general
search of the Internet and other sources
for information on control technologies
applicable to pulp and paper
production. Finally, we conducted a
search of the database containing the
responses received from the Part I
survey to obtain information on process
and emission controls currently in use
in pulp and paper production.
Each of the evaluations listed above
considered and reviewed the
technologies suitable to demonstrate
compliance with the requirements listed
in §§ 63.440 through 63.449 (subpart
S).34
33 See the memorandum in the docket titled,
Summary of RBLC and Other Findings to Support
Section 112(d)(6) Technology Review for Pulp and
Paper NESHAP.
34 See the memoranda titled, Section 112(d)(6)
Technology Review for Pulping and Papermaking
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D. What other issues are we addressing
in this proposal?
In addition to the analyses described
above, we also reviewed other aspects of
the MACT standards for possible
revision as appropriate and necessary.
Based on this review, we have identified
aspects of the MACT standards that we
believe need revision.
This includes proposing revisions to
the SSM provisions of the MACT rule in
order to ensure that they are consistent
with the court decision in Sierra Club v.
EPA, 551 F. 3d 1019 (DC Cir. 2008). In
addition, we are proposing various
changes based on our review of the rule
for testing and monitoring sufficiency,
including a requirement for 5-year
repeat air emissions testing for selected
equipment and additional test methods
for measuring methanol. We are also
proposing minor changes with regards
to editorial errors. The analyses and
proposed decisions for these actions are
presented in section IV of this preamble.
IV. Analytical Results and Proposed
Decisions
This section of the preamble provides
the results of our RTR for the pulp and
paper source category and our proposed
decisions concerning changes to the
1998 NESHAP.
A. What are the results of the risk
assessments?
For the pulp and paper source
category, we conducted an inhalation
risk assessment based upon actual and
allowable emissions for all HAP
emitted, as well as a multipathway
analysis. This assessment also included
a whole-facility analysis to estimate
inhalation risks from all source
categories for the pulp and paper
industry.
1. Inhalation Risk Assessment Results
Table 3 provides an overall summary
of the results of the inhalation risk
assessment from the 171 modeled mills
subject to this source category. We also
conducted an assessment of facilitywide
risk. Details of the risk assessments and
analyses can be found in the residual
risk documentation referenced in
section IV.A of this preamble, which is
available in the docket for this action.
TABLE 3—PULP AND PAPER PRODUCTION INHALATION RISK ASSESSMENT RESULTS 1
Maximum individual cancer risk
(in 1 million) 2
Based on actual emissions
level
Based on allowable emissions level
Estimated
population at
increased risk
of cancer ≥ 1
in 1 Million
10
10
76,000
Maximum chronic noncancer
TOSHI 3
Estimated annual cancer incidence
(cases per
year)
Based on actual emissions
level
Based on allowable emissions level
0.01
0.4
0.6
Worst-case maximum refined screening
acute noncancer HQ 4
HQREL = 20
HQERPG–1 = 0.4
(acetaldehyde)
HQREL = 6.
HQERPG–1 = 0.004 (chloroform).
HQREL = 5.
HQAEGL–1 = 0.2 (formaldehyde)
HQREL = 2.
HQERPG–1 = 0.2 (methanol)
1 As
noted in section III.A.1 of this preamble, acrolein emissions were not modeled due to uncertainties in the emissions estimates.
maximum individual excess lifetime cancer risk due to HAP emissions from the source category.
TOSHI. The target organ with the highest TOSHI for the pulp and paper source category is the respiratory system.
4 See section III.B of this preamble for explanation of acute dose-response values.
2 Estimated
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3 Maximum
As shown in Table 3, the results of the
inhalation risk assessment performed
using actual emissions data indicate the
maximum lifetime individual cancer
risk could be up to 10 in 1 million,
primarily due to hexachloroethane
emissions; the maximum chronic
noncancer TOSHI value could be up to
0.4, primarily due to acetaldehyde
emissions; and the maximum offsite
worst-case acute HQ value could be up
to 20, based on the REL value for
acetaldehyde. The HQ of 20 represents
an upper-bound risk estimate and is
located in an uninhabited location with
limited public access or an offsite area
that is owned by the facility. An acute
noncancer HQ of 3 reflects the risk
where people are living with access to
a public road. This would then result in
the next highest HQ of 6 for this source
category based on the acute REL doseresponse value for chloroform. One
hundred sixty-two of the 171 facilities
in this source category had an estimated
worst-case HQ less than or equal to 1;
the remaining 9 facilities had an
estimated worst-case HQ less than or
equal to 6.35
To better characterize the potential
health risks associated with estimated
worst-case acute exposures to HAP, and
in response to a key recommendation
from the SAB’s peer review of EPA’s
RTR risk assessment methodologies,36
we examine a wider range of available
acute health metrics than we do for our
chronic risk assessments. This is in
response to the acknowledgement that
there are generally more data gaps and
inconsistencies in acute reference
values than there are in chronic
reference values. By definition, the
acute CalEPA REL represents a healthprotective level of exposure, with no
risk anticipated below those levels, even
for repeated exposures; however, the
health risk from higher-level exposures
is unknown. Therefore, when a CalEPA
REL is exceeded and an AEGL–1 or
ERPG–1 level is available (i.e., levels at
which mild effects are anticipated in the
general public for a single exposure), we
have used them as a second comparative
measure. Historically, comparisons of
the estimated maximum offsite 1-hour
exposure levels have not been typically
made to occupational levels for the
purpose of characterizing public health
risks in RTR assessments. This is
because occupational ceiling values are
not generally considered protective for
the general public since they are
Processes and Summary of Pulp Bleaching
Technology Review, in the docket for this
rulemaking.
35 The acute refined HQ values for this source
category can be found in Appendix 6, Table 1 of
the Risk Assessment report. A summary of the
refined acute 1-hour HQ values that were greater
than 1 for this source category are as follows:
20,6,5,5,4,3,2,2,2,2,2.
36 The SAB peer review of RTR Risk Assessment
Methodologies is available at: https://
yosemite.epa.gov/sab/sabproduct.nsf/
4AB3966E263D943A8525771F00668381/$File/EPASAB-10-007-unsigned.pdf.
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designed to protect the worker
population (presumed healthy adults)
for short-duration (less than 15-minute)
increases in exposure.37 As a result, for
most chemicals, the 15-minute
occupational ceiling values are set at
levels higher than a 1-hour AEGL–1,
making comparisons to them irrelevant
unless the AEGL–1 or ERPG–1 levels are
exceeded. Such is not the case when
comparing the available acute
inhalation health effect reference values
for formaldehyde.
The worst-case maximum estimated
1-hour exposure to formaldehyde
outside the facility fence line for the
pulp and paper source category is 0.25
mg/m3. This estimated worst-case
exposure exceeds the 1-hour REL by a
factor of 5 (HQREL=5) and is below the
1-hour AEGL–1 (HQAEGL–1=0.2). This
exposure estimate is below the AEGL–
1, and exceeds the workplace ceiling
level guideline for the formaldehyde
value developed by NIOSH 38 ‘‘for any
15 minute period in a work day’’
(NIOSH REL-ceiling value of 0.12 mg/
m3; HQNIOSH=2). The estimate is at the
value developed by the ACGIH 39 as
‘‘not to be exceeded at any time’’
(ACGIH TLV-ceiling value of 0.37 mg/
m3; HQACGIH=1). Additionally, the
estimated maximum acute exposure
exceeds the Air Quality Guideline value
that was developed by the World Health
Organization 40 for 30-minute exposures
(0.1 mg/m3; HQWHO=2.5).
All other HAP and facilities modeled
had worst-case acute HQ values less
than 1, indicating that they carry no
potential to pose acute concerns. The
maximum HQ based on an ERPG–1
dose-response value is 0.4 for
acetaldehyde. In characterizing the
potential for acute noncancer impacts of
concern, it is important to remember the
upward bias of these exposure estimates
(e.g., worst-case meteorology coinciding
with a person located at the point of
maximum concentration during the
hour) and to consider the results along
with the uncertainties related to the
emissions estimates and the screening
methodology. However, it is
acknowledged that the acute emission
multipliers ranged from 1.4 to 3 and
approached the annual hourly average
emission rate for the facilities within the
source category.
The total estimated cancer incidence
from these facilities based on actual
emissions levels is 0.01 excess cancer
cases per year, or 1 case in every 100
years. The cancer incidence is primarily
driven by emissions of acetaldehyde
and formaldehyde from papermaking
and kraft wastewater operations.41
There are 68 facilities with maximum
individual cancer risks of 1 in 1 million
or greater and two facilities with
maximum individual cancer risks of 10
in a million that represented the highest
81343
cancer risks for the source category. The
MIR of 10 in a million for the source
category was driven by emissions of
hexachloroethane.
As explained above, our analysis of
potential differences between actual
emissions levels and emissions
allowable under the pulp and paper
MACT standards indicate that MACTallowable emission levels are roughly
equal to the actual emission levels.42
The risk results from the inhalation risk
assessment indicate the maximum
lifetime individual cancer risks are the
same at 20 in a million, and the
maximum chronic noncancer TOSHI
value could be up to 0.6 at the MACTallowable emissions level.
2. Multipathway Risk Screening Results
The results of a multipathway
screening analysis showed that
emissions of POM, cadmium and
mercury were almost all below their
respective screening emission rates,
thereby indicating a negligible risk of
adverse health effects associated with
multipathway exposures. The only PB–
HAP to exceed the screening threshold
was POM, with emissions exceeding the
screening threshold by a factor of 2.
3. Facilitywide Risk Assessment Results
A facilitywide risk analysis was also
conducted based on actual emissions
levels. Table 4 displays the results of the
facilitywide risk assessment.43
TABLE 4—PULP AND PAPER FACILITYWIDE RISK ASSESSMENT RESULTS
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Number of facilities analyzed ..................................................................................................................................................................
Cancer Risk:
Estimated maximum facilitywide individual cancer risk (in 1 million) ..............................................................................................
Number of facilities with estimated facilitywide individual cancer risk of 10 in 1 million or more ...................................................
Number of pulp and papermaking operations contributing 50 percent or more to facilitywide individual cancer risk of 10 in 1
million or more ..............................................................................................................................................................................
Number of facilities with facilitywide individual cancer risk of 1 in 1 million or more ......................................................................
Number of pulp and papermaking operations contributing 50 percent or more to facilitywide individual cancer risk of 1 in 1 million or more ...................................................................................................................................................................................
Chronic Noncancer Risk:
Maximum facilitywide chronic noncancer TOSHI .............................................................................................................................
Number of facilities with facilitywide maximum noncancer TOSHI of 1 or more ............................................................................
Number of pulp and papermaking operations contributing 50 percent or more to facilitywide maximum noncancer TOSHI of 1
or more ..........................................................................................................................................................................................
37 U.S. EPA. (2009) Chapter 2.9 Chemical Specific
Reference Values for Formaldehyde in Graphical
Arrays of Chemical-Specific Health Effect Reference
Values for Inhalation Exposures (Final Report). U.S.
Environmental Protection Agency, Washington, DC,
EPA/600/R–09/061, and available on-line at
https://cfpub.epa.gov/ncea/cfm/
recordisplay.cfm?deid=211003.
38 National Institutes for Occupational Safety and
Health (NIOSH). Occupational Safety and Health
Guideline for Formaldehyde; https://www.cdc.gov/
niosh/docs/81-123/pdfs/0293.pdf.
39 ACGIH (2001) Formaldehyde. In
Documentation of the TLVs® and BEIs® with Other
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Worldwide Occupational Exposure Values. ACGIH,
1300 Kemper Meadow Drive, Cincinnati, OH 45240
(ISBN: 978–1–882417–74–2) and available on-line
at https://www.acgih.org.
40 WHO (2000). Chapter 5.8 Formaldehyde, in Air
Quality Guidelines for Europe, second edition.
World Health Organization Regional Publications,
European Series, No. 91. Copenhagen, Denmark.
Available on-line at https://www.euro.who.int/_data/
assets/pdf_file/0005/74732/E71922.pdf.
41 We note that the MIR for this source category
would not change if the CIIT URE for formaldehyde
had been used in the assessment; however, the total
cancer incidence would decrease by about 36
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171
30
7
2
99
57
2
4
0
percent. There is an ongoing IRIS reassessment for
formaldehyde and future RTR risk assessments will
use the cancer potency for formaldehyde that
results from that reassessment. As a result, the
current results many not match those of future
assessments.
42 For more information, see the memorandum in
the docket titled Inputs to the Pulp and Paper
Industry October 2011 Residual Risk Modeling.
43 For detailed facilityspecific results, see
Appendix 6 of the Draft Residual Risk Assessment
for Pulp and Paper in the docket for this
rulemaking.
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The maximum individual cancer
whole-facility risk from all HAP
emissions at any mill is estimated to be
30 in 1 million based on actual
emissions. Of the 171 mills included in
this analysis, seven have facilitywide
maximum individual cancer risks of 10
in 1 million or greater. At these mills,
pulp and papermaking operations
account for 30 percent of the total
facilitywide risk. There are 99 facilities
with facilitywide maximum individual
cancer risks of 1 in 1 million or greater.
Of these 99 mills, 57 have pulp and
papermaking operations that contribute
greater than 50 percent to the
facilitywide risks. The facilitywide
cancer risks at these 57 mills, and at the
7 mills with risks of 10 in a million or
more, are primarily driven by emissions
of arsenic compounds, chromium
compounds and nickel compounds from
boiler and lime kiln operations.
However, we note that there are
uncertainties in the amount and form of
chromium emitted from these mills. For
many of the mills, the emissions
inventory used for the risk assessment
included estimates for the two main
forms of chromium (i.e., hexavalent and
trivalent chromium). However, for other
mills, we only had estimates of total
chromium emitted. For those mills, we
applied a hexavalent chromium
speciation factor assigned by SCC for
this source category.44 Although,
hexavalent chromium is toxic and is a
known human carcinogen, trivalent
chromium is less toxic and is currently
‘‘not classified as to its human
carcinogenicity.’’ 45 Therefore, the
relative emissions of these two forms
can have a significant effect on the
cancer risk estimates.
The facilitywide maximum individual
chronic noncancer TOSHI is estimated
to be 2 based on actual emissions. Of the
171 mills included in this analysis, only
four mills have a HI value greater than
1, with all mills having an HI value less
than or equal to 2. The chronic
noncancer risks at these mills are
primarily driven by acrolein emissions
from industrial boilers and antimony
emissions from smelt dissolving tank
kraft process units, which are not
regulated under the Pulp and paper
source category.
44 See the memorandum in the docket titled,
Inputs to the Pulp and Paper Industry October 2011
Residual Risk Modeling.
45 EPA’s IRIS Weight-of-Evidence
Characterization for trivalent chromium https://
www.epa.gov/iris/subst/0028.htm#refinhal.
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B. What are our proposed decisions
regarding risk acceptability and ample
margin of safety?
1. Risk Acceptability
As noted in section III.B of this
preamble, we weigh all health risk
factors and measures in our risk
acceptability determination, including
the MIR; the number of persons in
various cancer and noncancer risk
ranges; cancer incidence; the maximum
noncancer HI; the maximum acute
noncancer HQ; the extent of noncancer
risks; the potential for adverse
environmental effects; distribution of
cancer and noncancer risks in the
exposed population; and risk estimation
uncertainty (54 FR 38044, September
14, 1989).
For the pulp and paper source
category, the risk analysis we performed
indicates that the cancer risks to the
individual most exposed could be up to
10 in 1 million due to actual or MACTallowable emissions. These risks are
considerably less than 100 in 1 million,
which is the presumptive upper limit of
risk acceptability. The risk analysis also
shows generally low cancer incidence (1
case every 100 years); no potential for
adverse environmental effects or human
health multipathway effects; no
potential for chronic noncancer impacts;
and, while a potential exists for some
acute inhalation impacts, they are likely
to be minimal.
Additional analysis of facilitywide
risks showed that there are five mills
with maximum facilitywide risks in
between a cancer risk of 10 in 1 million
and 30 in a million and four mills with
a maximum chronic noncancer TOSHI
between 1 and 2; it also showed that the
pulp and paper source category did not
drive these risks. The number of people
exposed to cancer risks of 1 in 1 million
or greater due to emissions from the
source category is relatively low
(76,000). Considering these factors and
the uncertainties discussed in section
III.B of this preamble, we propose that
the risks from the Pulp and paper source
category are acceptable.
2. Ample Margin of Safety
Under the ample margin of safety
analysis, we evaluate the cost and
feasibility of available control
technologies and other measures
(including the controls, measures and
costs reviewed under the technology
review) that could be applied in this
source category to further reduce the
risks due to emissions of HAP identified
in our risk assessment.
As noted in our discussion of the
technology review below in section
IV.C, no technologies (beyond those
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already in place) were identified for
reducing HAP emissions from pulp and
paper production processes.46 We are
proposing to amend the kraft
condensate standards to reflect
increased performance of existing
controls observed in the technology
review, resulting in an estimated HAP
reduction of approximately 4,000 tpy.
Incrementally increasing the stringency
of the kraft condensate standards is
expected to reduce risks from kraft
wastewater operations. As a result, we
conclude that the current standard,
before the amendments proposed here
are put in place, protects public health
with an ample margin of safety.
Though we did not identify any new
technologies to reduce risk from this
source category beyond incremental
improvements in the performance of
existing technology used to meet the
kraft condensate standards, we are
specifically requesting comment on
whether there are additional costeffective control measures that may be
able to reduce risks from the pulp and
paper subpart S source category. In
particular, we are requesting states to
identify any controls they have already
required for these facilities, any controls
they are currently considering or any
other controls of which they may be
aware.
C. What are the results and proposed
decisions based on our technology
review?
We evaluated developments in
practices, processes and control
technologies applicable to emission
sources subject to the pulp and paper
MACT. This included a search of the
RBLC, the Internet and our database
containing the 2011 Part I survey
responses. For chemical pulping and
bleaching, we have determined that
there have been no advances in
emission control measures since the
subpart S standard was originally
promulgated in 1998.47 For kraft
pulping process condensates, we have
determined that the technology has
sufficiently advanced since the 1998
MACT rule to warrant the development
of an updated standard. The 1998
MACT rule required kraft pulp mills to
either: (1) Recycle the condensates back
to equipment that meet the control
standards for pulping system vents
46 See the docket memoranda titled, Section
112(d)(6) Technology Review for Pulping and
Papermaking Processes and Summary of Pulp
Bleaching Technology Review.
47 Additional details on our technology review are
provided in docket memoranda titled, Section
112(d)(6) Technology Review for Pulping and
Papermaking Processes, and Summary of Pulp
Bleaching Technology Review.
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(LVHC, HVLC), (2) treat the condensates
to reduce or destroy the HAP by at least
92 percent by weight, (3) treat the
condensates to remove a specified
amount of HAPs (at least 10.2 lb/ODTP
at mills performing bleaching or 6.6 lb/
ODTP at mills without bleaching), or (4)
treat the condensates to meet a specified
HAP concentration at the control device
outlet (330 ppmw at mills performing
bleaching or 210 ppmw at mills without
bleaching). The three control strategies
expected to be used by most mills are
recycling the condensates, biological
treatment and steam stripping.
Our technology review of kraft
condensates did not yield any
information about new technologies that
could become the basis for regulatory
options. We then reviewed the 2011
pulp and paper ICR database. In our
review of the database, we found that
most kraft pulp mills chose the 92
percent control option for compliance
demonstration for kraft condensates
rather than recycling. Only five mills
use recycling, two mills use both
recycling and steam stripping, and four
mills use the aforementioned ppmw
option to control kraft condensates.
Consequently, the focus of our
technology review was on the control
efficiencies of wastewater treatment
systems and steam stripping.
We reviewed the 2011 pulp and paper
ICR database to determine if, under the
current control technologies, there were
mills demonstrating greater than the 92
percent minimum level of control (or
any equivalent demonstrations). We
found that all kraft pulp mills are
performing at a higher level than the 92
percent minimum level of control.
For regulatory options, we developed
an incremental scale of improvement
over the minimum 92 percent control,
lb/ODTP option
Percent control,
%
93
94
95
96
97
98
Mills
performing
bleaching
.....................................................................................
.....................................................................................
.....................................................................................
.....................................................................................
.....................................................................................
.....................................................................................
Finally, we estimated the costs and
HAP emissions reductions associated
with each percent control option. Total
annual costs for the options ranged from
$1 million to $34 million, and HAP
emissions reductions ranged from 2,000
to 12,000 tpy. Taking these costs and
emissions reductions into consideration,
we are proposing the 94 percent option
for controlling kraft condensates
emissions, which is estimated to cost $4
million per year, with an emissions
reduction of 4,000 tpy and a cost
effectiveness of $1,000 per ton of
HAP.48
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D. What other actions are we proposing?
1. Startup, Shutdown and Malfunction
The U.S. Court of Appeals for the
District of Columbia Circuit vacated
portions of two provisions in the EPA’s
CAA section 112 regulations governing
the emissions of HAP during periods of
SSM. Sierra Club v. EPA, 551 F.3d 1019
(DC Cir. 2008), cert. denied, 130 S. Ct.
48 Additional details on our kraft condensate
technology review and cost analysis are provided in
the memoranda, Summary of Kraft Condensate
Control Technology Review, and Costs and
Environmental and Energy Impacts for Subpart S
Risk and Technology Review, in the docket for this
proposed action.
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11.5
12.8
14.0
15.3
16.6
17.9
Mills
performing
bleaching
7.4
8.3
9.1
9.9
10.7
11.6
1735 (U.S. 2010). Specifically, the Court
vacated the SSM exemption contained
in 40 CFR 63.6(f)(1) and 40 CFR
63.6(h)(1), that are part of a regulation,
commonly referred to as the ‘‘General
Provisions Rule,’’ that the EPA
promulgated under CAA section 112(d).
When incorporated into CAA section
112(d) regulations for specific source
categories, these two provisions exempt
sources from the requirement to comply
with the otherwise applicable CAA
section 112(d) emission standard during
periods of SSM. In its decision, the
Sierra Club court held that CAA section
112 and section 302(k) are properly read
together to require continuous CAA
section 112-compliant standards. 552
F.3d at 1027–28.
There are several provisions in the
current regulations that include an
exemption for SSM events, akin to the
exemption in 40 CFR 63.6(f)(1) and 40
CFR 63.6(h)(1). The DC Circuit vacated
the SSM exemption in 40 CFR 63.6(f)(1)
and 40 CFR 63.6(h)(1), and we are
proposing to remove similar language in
this rule. In addition, we are proposing
to remove the parenthetical language
excluding periods of startup, shutdown
or malfunction from excess emissions
calculations contained within 40 CFR
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set up by percent increments from 93
percent to 98 percent. An estimated four
mills would be impacted under the 93
percent option, 15 mills under the 94
percent option, 28 mills under the 95
percent option, 41 mills under the 96
percent option, 54 mills under the 97
percent option and 66 under the 98
percent option.
We did not take the analysis beyond
98 percent because that level was
determined to be at the limit of control
efficiency for one the major control
techniques, steam stripping, and it was
equivalent to the control level required
for non-condensable gases ducted to
controls from LVHC and HVLC sources
in 40 CFR 63.443(d)(1). After setting up
the percent increments, we established
an equivalency between the different
percent control options and the lb/
ODTP and ppmw options:
ppmw option
Mills without
bleaching
Sfmt 4702
81345
Mills without
bleaching
289
248
206
165
124
83
184
158
131
105
79
53
Annual cost,
$million
$0.99
4.1
9.0
16
25
34
HAP
emissions
reduction,
tpy
2.0
4.1
6.1
8.2
10
12
63.443(e) and 40 CFR 63.459(b)(11)(ii) of
this rule, because this language is
inconsistent with Sierra Club v. EPA.
The EPA is further proposing to
eliminate the parenthetical language in
40 CFR 63.446(g) that includes startup,
shutdown and malfunction periods in
excess emissions calculations because
retaining such language may incorrectly
suggest that other excess emissions
provisions such as 40 CFR 63.443(e) that
lack such language allow exclusion of
such periods in excess emissions
calculations. In sum, retaining the
parenthetical concerning startup,
shutdown and malfunction periods in
40 CFR 63.443(g) is unnecessary and
may create confusion.
We are also proposing several
revisions to Table 1 (the General
Provisions Applicability table). For
example, we are proposing to eliminate
the incorporation of the General
Provisions’ requirement that the source
develop a SSM plan. We are further
proposing to eliminate or revise certain
recordkeeping and reporting that related
to the SSM exemption. The EPA has
attempted to ensure that we have not
included in the proposed regulatory
language any provisions that are
inappropriate, unnecessary or
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redundant in the absence of the SSM
exemption. We are specifically seeking
comment on whether there are any such
provisions that we have inadvertently
incorporated or overlooked.
Finally, we are requesting comment
on whether to remove, or modify, the
excess emissions provisions for LVHC,
HVLC and steam strippers in 40 CFR
63.443(e), 40 CFR 63.446(g), and 40 CFR
63.459(b)(11)(ii). The basis for these
provisions is discussed in the preamble
to the final rule at 63 FR 18529–18530,
April 15, 1998. The basis for these
excess emission allowances (discussed
in the preamble to the final rule at 63
FR 18529–18530) was to approximate
the level of backup control that exists at
the best-performing mills and the
associated periods of time when no
control device is available. For LVHC
systems, one percent of the operating
hours on a semi-annual basis was
determined to represent the best
performers; for HVLC systems four
percent was established to account for
downtime due to flow balancing
problems and unpredictable pressure
changes inherent in the HVLC system;
and for steam stripper systems ten
percent was established to account for
activities such as stripper tray damage
or plugging, efficiency losses in the
stripper due to contamination of
condensate with fiber or black liquor,
steam supply downtime, and
combustion control downtime. We
request comment on whether these
provisions should be removed or
modified in the final rule, as the
provisions create time periods during
which a source does not have to comply
with a CAA section 112-compliant
standard, which we believe is arguably
at odds with Sierra Club.
We specifically solicit comment on a
variety of issues and request that
commenters provide data and
information supporting their views. We
first request comment and information
on the circumstances under which such
provisions have been relied upon in the
past to remain in compliance with
subpart S, and whether such
circumstances meet the definitions of
startup, shutdown or malfunction (as
defined in 40 CFR 63.2), and if they do
not, why not. We also seek information
on the frequency with which these
provisions are used. The annual
emissions rates used in risk modeling
for today’s proposal incorporated
emissions that occur during excess
emissions periods and the EPA has
already collected information on the use
of backup controls through Part I of the
ICR. We are thus interested in
additional information that
distinguishes between routine releases
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for which a source may be using the
excess allowance provisions and
malfunction events. We request
information on: (1) The typical reasons
for the releases, including a description
of the nature and cause of the release,
(2) the frequency of the releases, (3) the
duration of such releases, (4) the
estimated amount of emissions that
occurs during such periods, (5) any
work practices employed during excess
emissions periods to reduce emissions,
and (6) any procedures currently used to
monitor such releases. Further, the EPA
is interested in knowing whether the
excess emissions periods are necessary
for technological reasons (e.g.,
equipment or operational), and the
amount of time needed to switch
between routine controls and any
available backup controls (and whether
venting is necessary during these times
for technological reasons).
As an alternative to removing the
excess allowance provisions, we request
comment on whether such provisions
should be revised by, for example, (1)
narrowing the provisions (such as
limiting the circumstances to which
they apply), (2) setting an alternative
numerical emission limit during these
periods, or (3) setting a work practice
standard during such periods consistent
with the requirements of CAA section
112(h). Accordingly, we are requesting
comments that would provide us
information to evaluate these options,
including sufficient supporting
emissions data or other information. We
also request comment on whether the
current standard should be applied over
a longer averaging period, and whether
a longer averaging period would obviate
the need for excess emissions periods.
To the extent that any person suggests
that a work practice is appropriate, they
will need to provide support for the
conclusion that work practices are
permissible under section 112(h)
because a numerical standard is ‘‘not
feasible’’ within the meaning of section
112(h)(2). This should include cost
information regarding monitoring,
testing and controlling of emissions
from the sources during these periods.
Finally, to the extent that any person
suggests that the excess emissions
periods should be retained in some
form, they should explain how the
revisions that they are suggesting are
consistent with the CAA.
In proposing the standards in this
rule, the EPA has taken into account
startup and shutdown periods and is not
proposing a different standard for those
periods. Nothing in the record suggests
that the operations (and attendant
emissions) are significantly different
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during startup or shutdown than during
normal operation.
Periods of startup, normal operations
and shutdown are all predictable and
routine aspects of a source’s operations.
However, by contrast, malfunction is
defined as a ‘‘sudden, infrequent, and
not reasonably preventable failure of air
pollution control and monitoring
equipment, process equipment or a
process to operate in a normal or usual
manner * * *’’ (40 CFR 63.2). The EPA
has determined that CAA section 112
does not require that emissions that
occur during periods of malfunction be
factored into development of CAA
section 112 standards. Under section
112, emissions standards for new
sources must be no less stringent than
the level ‘‘achieved’’ by the best
controlled similar source and for
existing sources generally must be no
less stringent than the average emission
limitation ‘‘achieved’’ by the best
performing 12 percent of sources in the
category. There is nothing in section 112
that directs the agency to consider
malfunctions in determining the level
‘‘achieved’’ by the best performing or
best controlled sources when setting
emission standards. Moreover, while the
EPA accounts for variability in setting
emissions standards consistent with the
section 112 case law, nothing in that
case law requires the agency to consider
malfunctions as part of that analysis.
Section 112 uses the concept of ‘‘best
controlled’’ and ‘‘best performing’’ unit
in defining the level of stringency that
section 112 performance standards must
meet. Applying the concept of ‘‘best
controlled’’ or ‘‘best performing’’ to a
unit that is malfunctioning presents
significant difficulties, as malfunctions
are sudden and unexpected events.
Further, accounting for malfunctions
would be difficult, if not impossible,
given the myriad different types of
malfunctions that can occur across all
sources in the category and given the
difficulties associated with predicting or
accounting for the frequency, degree
and duration of various malfunctions
that might occur. As such, the
performance of units that are
malfunctioning is not ‘‘reasonably’’
foreseeable. See, e.g., Sierra Club v.
EPA, 167 F. 3d 658, 662 (DC Cir. 1999)
(The EPA typically has wide latitude in
determining the extent of data-gathering
necessary to solve a problem. We
generally defer to an agency’s decision
to proceed on the basis of imperfect
scientific information, rather than to
‘‘invest the resources to conduct the
perfect study.’’). See also, Weyerhaeuser
v. Costle, 590 F.2d 1011, 1058 (DC Cir.
1978) (‘‘In the nature of things, no
general limit, individual permit, or even
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any upset provision can anticipate all
upset situations. After a certain point,
the transgression of regulatory limits
caused by ‘uncontrollable acts of third
parties,’ such as strikes, sabotage,
operator intoxication or insanity, and a
variety of other eventualities, must be a
matter for the administrative exercise of
case-by-case enforcement discretion, not
for specification in advance by
regulation.’’). In addition, the goal of a
best controlled or best performing
source is to operate in such a way as to
avoid malfunctions of the source, and
accounting for malfunctions could lead
to standards that are significantly less
stringent than levels that are achieved
by a well-performing nonmalfunctioning source. The EPA’s
approach to malfunctions is consistent
with section 112 and is a reasonable
interpretation of the statute.
In the event that a source fails to
comply with the applicable CAA section
112(d) standards as a result of a
malfunction event, the EPA would
determine an appropriate response
based on, among other things, the good
faith efforts of the source to minimize
emissions during malfunction periods,
including preventative and corrective
actions, as well as root cause analyses
to ascertain and rectify excess
emissions. The EPA would also
consider whether the source’s failure to
comply with the CAA section 112(d)
standard was, in fact, ‘‘sudden,
infrequent, not reasonably preventable’’
and was not instead ‘‘caused in part by
poor maintenance or careless
operation.’’ 40 CFR 63.2 (definition of
malfunction).
Finally, the EPA recognizes that even
equipment that is properly designed and
maintained can sometimes fail and that
such failure can sometimes cause an
exceedance of the relevant emission
standard. (See, e.g., State
Implementation Plans: Policy Regarding
Excessive Emissions During
Malfunctions, Startup, and Shutdown
(Sept. 20, 1999); Policy on Excess
Emissions During Startup, Shutdown,
Maintenance, and Malfunctions (Feb.
15, 1983)). The EPA is therefore
proposing to add to the rule an
affirmative defense to civil penalties for
exceedances of emission limits that are
caused by malfunctions. See § 63.456 for
this proposed addition (and see § 63.441
for a definition of ‘‘affirmative defense’’
that means, in the context of an
enforcement proceeding, a response or
defense put forward by a defendant,
regarding which the defendant has the
burden of proof and the merits of which
are independently and objectively
evaluated in a judicial or administrative
proceeding.). We also are proposing
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other regulatory provisions to specify
the elements that are necessary to
establish this affirmative defense; the
source must prove by a preponderance
of the evidence that it has met all of the
elements set forth in § 63.456. (See 40
CFR 22.24). The criteria ensure that the
affirmative defense is available only
where the event that causes an
exceedance of the emission limit meets
the narrow definition of malfunction in
40 CFR 63.2 (sudden, infrequent, not
reasonable preventable and not caused
by poor maintenance and or careless
operation). For example, to successfully
assert the affirmative defense, the source
must prove by a preponderance of the
evidence that excess emissions ‘‘[w]ere
caused by a sudden, infrequent, and
unavoidable failure of air pollution
control and monitoring equipment,
process equipment, or a process to
operate in a normal or usual manner
* * *.’’ The criteria also are designed to
ensure that steps are taken to correct the
malfunction, to minimize emissions in
accordance with § 63.456 and to prevent
future malfunctions. For example, the
source must prove by a preponderance
of the evidence that ‘‘[r]epairs were
made as expeditiously as possible when
the applicable emission limitations were
being exceeded * * *’’ and that ‘‘[a]ll
possible steps were taken to minimize
the impact of the excess emissions on
ambient air quality, the environment
and human health * * *.’’ In any
judicial or administrative proceeding,
the Administrator may challenge the
assertion of the affirmative defense and,
if the respondent has not met its burden
of proving all of the requirements in the
affirmative defense, appropriate
penalties may be assessed in accordance
with section 113 of the CAA (see also 40
CFR 22.27).
Specifically, we are proposing the
following changes to the rule related to
SSM:
(1) Revise 40 CFR 63.443(e), 63.446(g), and
63.459(b)(11)(ii) to eliminate reference to
periods of SSM;
(2) Revise 40 CFR 63.453(q) to incorporate
the general duty from 40 CFR 63.6(e)(1)(i) to
minimize emissions;
(3) Add 40 CFR 63.454(g), and 40 CFR
63.455(g) to require reporting and
recordkeeping requirements associated with
periods of malfunction;
(4) Add 40 CFR 63.456 (formerly reserved)
to include an affirmative defense to civil
penalties for exceedances of emissions limits
caused by malfunctions, as well as criteria for
establishing the affirmative defense;
(5) Add 40 CFR 63.457(o) to specify the
conditions for performance tests; and
(6) Revise Table 1 to specify that 40 CFR
63.6 (e)(1)(i) and (ii), 63.6(e)(3), 63.6(f)(1); 40
CFR 63.7(e)(1), 40 CFR 63.8(c)(1)(i) and (iii),
and the last sentence of 63.8(d)(3); 40 CFR
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81347
63.10(b)(2)(i),(ii), (iv), and (v); 40 CFR
63.10(c)(10), (11), and (15); and, 40 CFR
63.10(d)(5) of the General Provisions do not
apply.
We have attempted to ensure that we
have not included in the proposed
regulatory language any provisions that
are inappropriate, unnecessary or
redundant in the absence of the SSM
exemption. We are specifically seeking
comment on whether there are any such
provisions that we have inadvertently
incorporated or overlooked.
2. Repeat Testing
As part of an ongoing effort to
improve compliance with various
federal air emission regulations, we
reviewed the testing and monitoring
requirement of subpart S and are
proposing the following change.
We are proposing to require repeat air
emissions performance testing once
every 5 years for facilities complying
with the standards for kraft, soda and
semi-chemical pulping vent gases
(§ 63.443(a)); sulfite processes
(§ 63.444); and bleaching systems
(§ 63.445). Repeat performance tests are
already required by permitting
authorities for some facilities.49 Further,
we believe that requiring periodic repeat
performance tests will help to ensure
that control systems are properly
maintained over time, thereby reducing
the potential for acute emissions
episodes.50
With today’s proposal, repeat air
emissions testing would be required for
mills complying with the kraft
condensates standards in § 63.446 using
a steam stripper (or other equipment
serving the same function) since such
equipment is, by definition, part of the
LVHC system.
Quarterly sampling for four HAPs
(acetaldehyde, methanol, MEK and
propionaldehyde) is currently required
for biological treatment systems to
demonstrate compliance with the kraft
condensates standards in § 63.446(e)(2).
We believe this sampling sufficiently
demonstrates compliance with the
revised emissions standard we are
proposing for kraft condensates.
However, we are interested in receiving
comment on the sampling and reporting
methods used for these quarterly tests.
We note that MEK was removed from
the HAP list in 2005.51 However, the
subpart S equations were derived
considering inclusion of MEK. We
49 Located
in 11 states.
information on the cost associated with the
proposed repeat testing requirement, see the
memorandum in the docket titled, Costs and
Environmental and Energy Impacts for Subpart S
Risk and Technology Review.
51 See 70 FR 75047, December 19, 2005.
50 For
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request comment on the appropriateness
of re-deriving these equations to
eliminate MEK for the final rule.
We are not proposing repeat air
emissions testing for facilities
complying with the CCA standards due
to the complexity of this compliance
approach (e.g., comparison to baseline
emissions calculations) and the fact that
it often involves both air and/or liquid
sampling depending on the CCA
technology being used. Nevertheless, we
are requesting comment on whether
repeat air emissions testing is
appropriate (or overly burdensome) for
the CCA.
3. Electronic Reporting
The EPA must have performance test
data to conduct effective reviews of
CAA sections 112 and 129 standards, as
well as for many other purposes
including compliance determinations,
emissions factor development and
annual emissions rate determinations.
In conducting these required reviews,
the EPA has found it ineffective and
time consuming, not only for us, but
also for regulatory agencies and source
owners and operators, to locate, collect
and submit performance test data
because of varied locations for data
storage and varied data storage methods.
In recent years, though, stack testing
firms have typically collected
performance test data in electronic
format, making it possible to move to an
electronic data submittal system that
would increase the ease and efficiency
of data submittal and improve data
accessibility.
Through this proposal, the EPA is
presenting a step to increase the ease
and efficiency of data submittal and
improve data accessibility. Specifically,
the EPA is proposing that owners and
operators of pulp and paper facilities
submit electronic copies of required
performance test reports to the EPA’s
WebFIRE database. The WebFIRE
database was constructed to store
performance test data for use in
developing emissions factors. A
description of the WebFIRE database is
available at https://cfpub.epa.gov/
oarweb/index.cfm?action=fire.main.
As proposed above, data entry would
be through an electronic emissions test
report structure called the ERT. The
ERT would be able to transmit the
electronic report through the EPA’s CDX
network for storage in the WebFIRE
database making submittal of data very
straightforward and easy. A description
of the ERT can be found at https://
www.epa.gov/ttn/chief/ert/ert_tool.html.
The proposal to submit performance
test data electronically to the EPA
would apply only to those performance
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tests conducted using test methods that
will be supported by the ERT. The ERT
contains a specific electronic data entry
form for most of the commonly used
EPA reference methods. A listing of the
pollutants and test methods supported
by the ERT is available at https://
www.epa.gov/ttn/chief/ert/ert_tool.html.
We believe that industry would benefit
from this proposed approach to
electronic data submittal. Having these
data, the EPA would be able to develop
improved emissions factors, make fewer
information requests and promulgate
better regulations.
One major advantage of the proposed
submittal of performance test data
through the ERT is a standardized
method to compile and store much of
the documentation required to be
reported by this rule. Another advantage
is that the ERT clearly states what
testing information would be required.
Another important proposed benefit of
submitting these data to the EPA at the
time the source test is conducted is that
it should substantially reduce the effort
involved in data collection activities in
the future. When the EPA has
performance test data in hand, there
will likely be fewer or less substantial
data collection requests in conjunction
with prospective required residual risk
assessments or technology reviews. This
would result in a reduced burden on
both affected facilities (in terms of
reduced manpower to respond to data
collection requests) and the EPA (in
terms of preparing and distributing data
collection requests and assessing the
results).
State, local and tribal agencies could
also benefit from more streamlined and
accurate review of electronic data
submitted to them. The ERT would
allow for an electronic review process
rather than a manual data assessment,
making review and evaluation of the
source provided data and calculations
easier and more efficient. Finally,
another benefit of the proposed data
submittal to WebFIRE electronically is
that these data would greatly improve
the overall quality of existing and new
emissions factors by supplementing the
pool of emissions test data for
establishing emissions factors and by
ensuring that the factors are more
representative of current industry
operational procedures. A common
complaint heard from industry and
regulators is that emissions factors are
outdated or not representative of a
particular source category. With timely
receipt and incorporation of data from
most performance tests, the EPA would
be able to ensure that emissions factors,
when updated, represent the most
current range of operational practices. In
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summary, in addition to supporting
regulation development, control strategy
development and other air pollution
control activities, having an electronic
database populated with performance
test data would save industry, state,
local, tribal agencies and the EPA
significant time, money and effort while
also improving the quality of emissions
inventories and, as a result, air quality
regulations.
Records must be maintained in a form
suitable and readily available for
expeditious review, according to
§ 63.10(b)(1). Electronic recordkeeping
and reporting is available for many
records, and is the form considered
most suitable for expeditious review if
available. Electronic recordkeeping and
reporting is encouraged in this proposal,
and some records and reports are
required to be kept in electronic format.
Records required to be maintained
electronically include the output of
continuous monitors and the output of
the bag leak detection systems.
Additionally, standard operating
procedures for the bag leak detection
system and fugitive emissions control
are required to be submitted to the
Administrator for approval in electronic
format.
4. Other
The following lists additional minor
changes to the subpart S NESHAP and
minor changes to the part 63 General
Provisions that we are proposing. This
list includes proposed rule changes that
address editorial and other corrections.
(1) Revise 40 CFR 63.457(b)(1) to specify
part 60, appendix A–1 for Method 1 or 1A;
(2) Revise 40 CFR 63.457(b)(3) to specify
part 60, appendix A–1 for Method 2, 2A, 2C,
or 2D;
(3) Revise 40 CFR 63.457(b)(5)(i) to include
four additional test methods—Method 320 of
part 63, appendix A; Method 18 of part 60,
appendix A–6; ASTM D6420–99; and ASTM
D6348–03—for measuring methanol
emissions from pulp and paper processes;
(4) Revise 40 CFR 63.457(b)(5)(ii) to specify
part 60, appendix A–8 for Method 26A;
(5) Revise 40 CFR 63.457(d) to specify part
60, appendix A–7 for Method 21; and
(6) Revise 40 CFR 63.457(k)(1) to specify
part 60, appendix A–2 for Method 3A or 3B,
and include ASME PTC 19.10—Part 10 as an
alternative to Method 3B;
(7) Revise 40 CFR 63.457(c)(3)(ii) to replace
NCASI Method DI/MEOH–94.02 with the
more recent version of this method, NCASI
Method DI/MEOH–94.03;
(8) Add 40 CFR 63.14(f)(5) to incorporate
by reference NCASI Method DI/MEOH–
94.03; and
(9) Revise 40 CFR 63.14(i)(1) to incorporate
by reference ANSI/ASME PTC 19.10–1981.
(10) Revise 40 CFR 63.14(b)(28) and (54) to
incorporate by reference ASTM D6420–99
and ASTM D6348–03, respectively.
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E. Compliance Dates
We are proposing that existing
facilities must comply with all of the
requirements in this action (other than
affirmative defense provisions and
electronic reporting, which are effective
upon promulgation of the final rule) no
later than 3 years after the effective date
of this rule. All new or reconstructed
facilities must comply with all
requirements in this rule upon startup.
V. Summary of Cost, Environmental
and Economic Impacts
A. What are the affected sources?
The affected source for kraft, soda,
sulfite or semi-chemical pulping
processes is the total of all HAP
emission points in the pulping and
bleaching systems. The affected source
for mechanical, secondary or non-wood
pulping processes is the total of all HAP
emission points in the bleaching system.
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B. What are the air quality impacts?
Under the proposed amendments, an
estimated 15 mills would have to
upgrade their steam strippers or
biological treatment systems to comply
with the more stringent kraft
condensates standard. The current
proposal is estimated to reduce HAP
emissions by approximately 4,000 tpy.
The proposed amendments would
require an estimated 114 mills to
conduct repeat testing for pulping and
bleaching operations and all 171 major
sources in the category to operate
without the SSM exemption. We were
unable to quantify the specific
emissions reductions associated with
repeat emissions testing or eliminating
the SSM exemption and excess
emissions allowance. However, repeat
testing would provide incentive for
facilities to maintain their control
systems and make periodic adjustments
to ensure peak performance, thereby
reducing emissions and the potential for
periodic episodes of acute risk.
Eliminating the SSM exemption would
provide an incentive for facilities to
minimize emissions during periods of
SSM.
C. What are the cost impacts?
Under the proposed amendments,
pulp and paper mills are expected to
incur costs to upgrade their steam
strippers or biological treatment systems
to comply with the more stringent kraft
condensates standard. These mills
would also incur costs to conduct repeat
testing and record malfunctions in
support of the new affirmative defense
in the rule. The total nationwide annual
costs associated with these new
requirements is $6.2 million.
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D. What are the economic impacts?
The EPA performed an EIA of the
proposed rule. The EIA, which
documents the data sources and
methods used and provides detailed
results, can be found in the docket for
this proposed action. This section
provides an overview of key results.
The EPA performed a series of singlemarket partial-equilibrium analyses of
national pulp and paper product
markets to estimate the economic
consequences of the proposal. The
models predict how the regulatory
program might affect prices and
quantities for 10 paper and paperboard
products that, aggregated, constitute the
entire production of the papermaking
industry. The EPA also conducted an
economic welfare analysis that
estimated the consumer and producer
surplus changes associated with the
regulatory program. The welfare
analysis identifies how the regulatory
costs are distributed across two broad
classes of stakeholders: consumers and
producers.
The market analysis found that the
proposal is likely to induce minimal
changes in the average national price of
paper and paperboard products. Paper
and paperboard product prices are
predicted to increase less than 0.01
percent on average, while production
levels decrease less than 0.01 percent on
average, as a result of the proposal. The
partial equilibrium models predict that
consumers will see reductions in
economic welfare of about $3.3 million
as the result of higher prices and
reduced consumption. Although
producers’ welfare losses are mitigated
to some degree by slightly higher prices,
market conditions limit their ability to
pass on all of the compliance costs. As
a result, producers are also predicted to
experience a loss in economic welfare of
about $2.9 million.
The EPA performed a screening
analysis for impacts on small businesses
by comparing estimated annualized
engineering compliance costs at the
company-level to company sales. The
screening analysis found that the ratio
of compliance cost to company revenue
falls below 1 percent for the three small
companies that are likely to be affected
by the proposal. Based on this analysis,
the EPA presumes there is no SISNOSE
arising from the proposed NESHAP
amendments.
Additionally, the EPA estimated the
annual labor required to comply with
the requirements of the proposal. To do
this, the EPA first estimated the labor
required for emission control equipment
operation and maintenance, then
converted this number to FTEs by
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81349
dividing by 2,080 (40 hours per week
multiplied by 52 weeks). The annual
labor requirement to comply with the
proposal is estimated at about five fulltime-equivalent employees. The EPA
notes that this type of FTE estimate
cannot be used to make assumptions
about the specific number of people
involved or whether new jobs are
created for new employees.
While a series of partial equilibrium
models was used to analyze the
economic impacts of this proposal, the
EPA notes that it is currently developing
the ISIS model for the United States
pulp and paper industry. When
completed, the ISIS model for the pulp
and paper industry will be a dynamic
engineering-economic model that
facilitates analysis of emissions
reduction strategies for multiple
pollutants, while taking into account
plant-level economic and technical
factors, such as the type of mill,
associated capacity, location, cost of
production, applicable controls and
costs. By considering various emissions
reduction strategies, the model, when
completed, will provide information on
optimal industry operation and
determine the most cost-effective
controls to meet the demand for pulp
and paper products and the emissions
reduction requirements for a given time
period of interest.
E. What are the benefits?
The proposed rule is expected to
result in a reduction of approximately
4,000 tpy of HAP. We have not
quantified the monetary benefits
associated with these reductions.
VI. Request for Comments
We are soliciting comments on all
aspects of this proposed action. In
addition to general comments on this
proposed action, we are also interested
in any additional data that may help to
reduce the uncertainties inherent in the
risk assessments and other analyses. We
are specifically interested in receiving
corrections to the site-specific emissions
profiles used for risk modeling. Such
data should include supporting
documentation in sufficient detail to
allow characterization of the quality and
representativeness of the data or
information. Section VII of this
preamble provides more information on
submitting data.
VII. Submitting Data Corrections
The site-specific emissions profiles
used in the source category risk analyses
are available for download on the RTR
web page at: https://www.epa.gov/ttn/
atw/rrisk/rtrpg.html. The data files
include detailed information for each
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HAP emissions release point for each
facility included in the source category.
If you believe that the data are not
representative or are inaccurate, please
identify the data in question, provide
your reason for concern and provide any
‘‘improved’’ data that you have, if
available. When you submit data, we
request that you provide documentation
of the basis for the revised values to
support your suggested changes. To
submit comments on the data
downloaded from the RTR web page,
complete the following steps:
1. Within this downloaded file, enter
suggested revisions to the data fields
appropriate for that information. The
data fields that may be revised include
the following:
Data element
Definition
Control Measure ...................
Control Measure Comment ..
Delete ...................................
Delete Comment ..................
Emissions Calculation Method Code For Revised
Emissions.
Emissions Process Group ....
Fugitive Angle ......................
Are control measures in place? (yes or no).
Select control measure from list provided, and briefly describe the control measure.
Indicate here if the facility or record should be deleted.
Describes the reason for deletion.
Code description of the method used to derive emissions. For example, CEMS, material balance, stack test, etc.
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Fugitive Length .....................
Fugitive Width ......................
Malfunction Emissions .........
North American Datum ........
Process Comment ................
REVISED Address ...............
REVISED City ......................
REVISED County Name ......
REVISED Emissions Release Point Type.
REVISED End Date .............
REVISED Exit Gas Flow
Rate.
REVISED Exit Gas Temperature.
REVISED Exit Gas Velocity
REVISED Facility Category
Code.
REVISED Facility Name ......
REVISED Facility Registry
Identifier.
REVISED HAP Emissions
Performance Level Code.
REVISED Latitude ................
REVISED Longitude .............
REVISED MACT Code ........
REVISED Pollutant Code .....
REVISED Routine Emissions
REVISED SCC Code ...........
REVISED Stack Diameter ....
REVISED Stack Height ........
REVISED Start Date ............
REVISED State ....................
REVISED Tribal Code ..........
REVISED Zip Code ..............
Shutdown Emissions ............
Stack Comment ....................
Startup Emissions ................
Year Closed .........................
Enter the general type of emissions process associated with the specified emissions point.
Enter release angle (clockwise from true North); orientation of the y-dimension relative to true North, measured
positive for clockwise starting at 0 degrees (maximum 89 degrees).
Enter dimension of the source in the east-west (x-) direction, commonly referred to as length (ft).
Enter dimension of the source in the north-south (y-) direction, commonly referred to as width (ft).
Enter total annual emissions due to malfunctions (tpy).
Enter datum for latitude/longitude coordinates (NAD27 or NAD83); if left blank, NAD83 is assumed.
Enter general comments about process sources of emissions.
Enter revised physical street address for MACT facility here.
Enter revised city name here.
Enter revised county name here.
Enter revised Emissions Release Point Type here.
Enter revised End Date here.
Enter revised Exit Gas Flowrate here (ft3/sec).
Enter revised Exit Gas Temperature here (°F).
Enter revised Exit Gas Velocity here (ft/sec).
Enter revised Facility Category Code here, which indicates whether facility is a major or area source.
Enter revised Facility Name here.
Enter revised Facility Registry Identifier here, which is an ID assigned by the EPA Facility Registry System.
Enter revised HAP Emissions Performance Level here.
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
Enter
revised Latitude here (decimal degrees).
revised Longitude here (decimal degrees).
revised MACT Code here.
revised Pollutant Code here.
revised routine emissions value here (tpy).
revised SCC Code here.
revised Stack Diameter here (ft).
revised Stack Height here (ft).
revised Start Date here.
revised State here.
revised Tribal Code here.
revised Zip Code here.
total annual emissions due to shutdown events (tpy).
general comments about emissions release points.
total annual emissions due to startup events (tpy).
date facility stopped operations.
2. Fill in the commenter information
fields for each suggested revision (i.e.,
commenter name, commenter
organization, commenter email address,
commenter phone number and revision
comments).
3. Gather documentation for any
suggested emissions revisions (e.g.,
performance test reports, material
balance calculations).
4. Send the entire downloaded file
with suggested revisions in Microsoft®
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Access format and all accompanying
documentation to Docket ID Number
EPA–HQ–OAR–2007–0544 (through one
of the methods described in the
ADDRESSES section of this preamble)..
5. If you are providing comments on
a facility, you need only submit one file
for that facility, which should contain
all suggested changes for all sources at
that facility. We request that all data
revision comments be submitted in the
form of updated Microsoft® Access files,
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which are provided on the RTR web
page at: https://www.epa.gov/ttn/atw/
rrisk/rtrpg.html. (Note: If you wish to
compare your Pulp and paper ICR Part
II submittal to the dataset available on
the RTR web page, then you may find
it useful to refer to the memorandum in
the docket titled, ‘‘Inputs to the Pulp
and Paper Industry October 2011
Residual Risk Modeling,’’ since this
memorandum describes how the Part II
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data were standardized for regulatory
review.)
VIII. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), this action is a
‘‘significant regulatory action’’ because
it raises novel legal and policy issues.
Accordingly, the EPA submitted this
action to OMB for review under
Executive Order 12866 and 13563 (76
FR 3821, January 21, 2011), and any
changes made in response to OMB
recommendations have been
documented in the docket for this
action.
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B. Paperwork Reduction Act
The information collection
requirements in this proposed rule have
been submitted for approval to OMB
under the PRA, 44 U.S.C. 3501 et seq.
The ICR document prepared by the EPA
has been assigned EPA ICR number
2452.01. The information collection
requirements are not enforceable until
OMB approves them. The information
requirements are based on notification,
recordkeeping and reporting
requirements in the NESHAP General
Provisions (40 CFR part 63, subpart A),
which are mandatory for all operators
subject to national emissions standards.
These recordkeeping and reporting
requirements are specifically authorized
by CAA section 114 (42 U.S.C. 7414).
All information submitted to the EPA
pursuant to the recordkeeping and
reporting requirements for which a
claim of confidentiality is made is
safeguarded according to agency
policies set forth in 40 CFR part 2,
subpart B.
We are proposing new paperwork
requirements to the pulp and paper
source category in the form of repeat
testing for selected process equipment,
as described in 40 CFR 63.457(a)(2) and
recordkeeping of malfunctions, as
described in 40 CFR 63.454(g)
(conducted in support of the affirmative
defense provisions, as described in 40
CFR 63.456). More specifically, we are
proposing the addition of stack testing
every 5 years for total HAP for chemical
pulping operations and bleaching
operations at pulp and paper mills.
For this proposed rule, the EPA is
adding affirmative defense to the
estimate of burden in the ICR. To
provide the public with an estimate of
the relative magnitude of the burden
associated with an assertion of the
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affirmative defense position adopted by
a source, the EPA has provided
administrative adjustments to this ICR
to show what the notification,
recordkeeping and reporting
requirements associated with the
assertion of the affirmative defense
might entail. The EPA’s estimate for the
required notification, reports and
records for any individual incident,
including the root cause analysis, totals
$3,258 and is based on the time and
effort required of a source to review
relevant data, interview plant
employees and document the events
surrounding a malfunction that has
caused an exceedance of an emissions
limit. The estimate also includes time to
produce and retain the record and
reports for submission to the EPA. The
EPA provides this illustrative estimate
of this burden because these costs are
only incurred if there has been a
violation and a source chooses to take
advantage of the affirmative defense.
Given the variety of circumstances
under which malfunctions could occur,
as well as differences among sources’
operation and maintenance practices,
we cannot reliably predict the severity
and frequency of malfunction-related
excess emissions events for a particular
source. It is important to note that the
EPA has no basis currently for
estimating the number of malfunctions
that would qualify for an affirmative
defense. Current historical records
would be an inappropriate basis, as
source owners or operators previously
operated their facilities in recognition
that they were exempt from the
requirement to comply with emissions
standards during malfunctions. Of the
number of excess emissions events
reported by source operators, only a
small number would be expected to
result from a malfunction (based on the
definition above), and only a subset of
excess emissions caused by
malfunctions would result in the source
choosing to assert the affirmative
defense. Thus we believe the number of
instances in which source operators
might be expected to avail themselves of
the affirmative defense will be
extremely small. For this reason, we
estimate no more than 2 or 3 such
occurrences for all sources subject to
subpart S over the 3-year period covered
by this ICR. We expect to gather
information on such events in the future
and will revise this estimate as better
information becomes available.
The estimated recordkeeping and
reporting burden associated with
subpart S after the effective date of the
proposed rule is estimated to be 52,300
labor hours at a cost of $4.94 million per
year, and total non-labor capital and
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81351
O&M costs of $841,000 per year. This
estimate includes reporting costs, such
as reading and understanding the rule
requirements, conducting required
activities (e.g., stack testing,
inspections), and preparing notifications
and compliance reports and
recordkeeping costs associated with
malfunctions, monitoring and
inspections. The total burden for the
federal government is estimated to be
6,870 hours per year at a total labor cost
of $310,000 per year. Burden is defined
at 5 CFR 1320.3(b).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9. When
this ICR is approved by OMB, the
agency will publish a technical
amendment to 40 CFR part 9 in the
Federal Register to display the OMB
control numbers for the approved
information collection requirements
contained in the final rule.
To comment on the agency’s need for
this information, the accuracy of the
provided burden estimates and any
suggested methods for minimizing
respondent burden, the EPA has
established a public docket for this rule
which includes this ICR, under Docket
ID Number EPA–HQ–OAR–2007–0544.
Submit any comments related to the ICR
to the EPA and OMB. See ADDRESSES
section at the beginning of this notice
for where to submit comments to the
EPA. Send comments to OMB at the
Office of Information and Regulatory
Affairs, Office of Management and
Budget, 725 17th Street NW.,
Washington, DC 20503, Attention: Desk
Office for the EPA. Since OMB is
required to make a decision concerning
the ICR between 30 and 60 days after
December 27, 2011, a comment to OMB
is best assured of having its full effect
if OMB receives it by January 26, 2012.
The final rule will respond to any OMB
or public comments on the information
collection requirements contained in
this proposal.
C. Regulatory Flexibility Act
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the Administrative Procedure
Act, or any other statute, unless the
agency certifies that the rule will not
have a significant economic impact on
a substantial number of small entities.
Small entities include small businesses,
small organizations and small
governmental jurisdictions.
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For purposes of assessing the impacts
of this proposed rule on small entities,
small entity is defined as: (1) A small
business as defined by the SBA’s
regulations at 13 CFR 121.201; (2) a
small governmental jurisdiction that is a
government of a city, county, town,
school district or special district with a
population of less than 50,000; and (3)
a small organization that is any not-forprofit enterprise which is independently
owned and operated and is not
dominant in its field. For this source
category, which has the general NAICS
code 322 (i.e., Paper Manufacturing), the
SBA small business size standard is 500
to 750 employees (depending on the
specific NAICS code) according to the
SBA small business standards
definitions. We have estimated the cost
impacts of the proposed rule and have
determined that the impacts do not
constitute a significant economic impact
on a substantial number of small
entities.
After considering the economic
impacts of this proposed rule on small
entities, I certify that this action will not
have a significant economic impact on
a substantial number of small entities.
(See the EIA in the docket for this
proposed rule.) Only three of the
companies affected are considered small
entities per the definition provided in
this section. We estimate that this
proposed action will not have a
significant economic impact on those
three companies. The impact of this
proposed action will be an annualized
compliance cost of less than 1 percent
of each company’s revenues.
Although this proposed rule will not
have a significant economic impact on
a substantial number of small entities,
the EPA nonetheless has tried to reduce
the impact of this rule on small entities.
The proposed repeat testing requirement
was established in a way that minimizes
the costs for testing and reporting while
still providing the agency the necessary
information needed to ensure
continuous compliance with the
proposed standards. The proposed
malfunction recordkeeping requirement
was designed to provide all pulp and
paper companies, including small
entities, with a means of supporting an
affirmative defense in the event of an
exceedance occurring during a
malfunction.
We continue to be interested in the
potential impacts of the proposed rule
on small entities and welcome
comments on issues related to such
impacts.
D. Unfunded Mandates Reform Act
This proposed rule does not contain
a federal mandate that may result in
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expenditures of $100 million or more
for state, local and tribal governments,
in the aggregate or the private sector in
any 1 year. This proposed rule is not
expected to impact state, local or tribal
governments. The nationwide annual
cost of this proposed rule for affected
sources is $6.2 million. Thus, this rule
is not subject to the requirements of
sections 202 and 205 of the UMRA.
This rule is also not subject to the
requirements of section 203 of UMRA
because it contains no regulatory
requirements that might significantly or
uniquely affect small governments. This
rule will not apply to such governments
and will not impose any obligations
upon them.
E. Executive Order 13132: Federalism
This proposed rule does not have
federalism implications. It will not have
substantial direct effects on the states,
on the relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. None of the
facilities subject to this action are
owned or operated by state
governments, and, nothing in this
proposal will supersede state
regulations. The burden to the
respondents and the states is less than
$6.2 million for the entire source
category. Thus, Executive Order 13132
does not apply to this proposed rule.
In the spirit of Executive Order 13132,
and consistent with the EPA policy to
promote communications between the
EPA and state and local governments,
the EPA specifically solicits comment
on this proposed rule from state and
local officials.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This proposed rule does not have
tribal implications, as specified in
Executive Order 13175 (65 FR 67249,
November 9, 2000). It will not have
substantial direct effect 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, as
specified in Executive Order 13175.
Thus, Executive Order 13175 does not
apply to this action. However, the EPA
did outreach and consultation on this
rule. The EPA presented this
information to the tribes prior to
proposal of this rule via a call with the
National Tribal Air Association. In
addition, the EPA presented the
information on the sources and the
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industry at the National Tribal Forum in
Spokane Washington. The EPA also
offered consultation by letters sent to all
tribal leaders. We held that consultation
with the Nez Perce, Forest County
Potowatomi and Leech Lake Band of
Ojibewa on October 6, 2011.
The EPA specifically solicits
additional comment on this proposed
action from tribal officials.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
This proposed rule is not subject to
Executive Order 13045 (62 FR 19885,
April 23, 1997) because it is not
economically significant as defined in
Executive Order 12866, and because the
agency does not believe the
environmental health risks or safety
risks addressed by this action present a
disproportionate risk to children. This
action’s health and risk assessments are
contained in sections III and IV of this
preamble.
H. Executive Order 13211: Actions
Concerning Regulations That
Significantly Affect Energy Supply,
Distribution or Use
This action is not a ‘‘significant
energy action’’ as defined under
Executive Order 13211 (66 FR 28355,
May 22, 2001), because it is not likely
to have a significant adverse effect on
the supply, distribution or use of
energy. This action will not create any
new requirements for sources in the
energy supply, distribution or use
sectors.
I. National Technology Transfer and
Advancement Act
Section 12(d) of the NTTAA, Public
Law No. 104–113, (15 U.S.C. 272 note),
directs the EPA to use VCS in its
regulatory activities, unless to do so
would be inconsistent with applicable
law or otherwise impractical. Voluntary
consensus standards are technical
standards (e.g., materials specifications,
test methods, sampling procedures and
business practices) that are developed or
adopted by VCS bodies. The NTTAA
directs the EPA to provide Congress,
through OMB, explanations when the
agency decides not to use available and
applicable VCS.
This proposed rulemaking involves
technical standards. The EPA proposes
to use three VCS in this proposed rule.
One VCS, ASME PTC 19.10–1981, ‘‘Flue
and Exhaust Gas Analyses,’’ is cited in
this proposed rule for its manual
method of measuring the content of the
exhaust gas as an acceptable alternative
to EPA Method 3B of appendix A–2.
This standard is available at https://
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www.asme.org or by mail at the
American Society of Mechanical
Engineers (ASME), P.O. Box 2900,
Fairfield, NJ 07007–2900; or at Global
Engineering Documents, Sales
Department, 15 Inverness Way East,
Englewood, CO 80112.
The VCS, ASTM D6420–99 (2010),
‘‘Test Method for Determination of
Gaseous Organic Compounds by Direct
Interface Gas Chromatography/Mass
Spectrometry’’ is cited as an acceptable
alternative to EPA Method 18. Also,
ASTM D6348–03 (2010), ‘‘Test Method
for Determination of Gaseous
Compounds by Extractive Direct
Interface Fourier Transform (FTIR)
Spectroscopy,’’ was determined to be an
acceptable alternative to EPA Method
320. The EPA Methods 18 and 320 are
proposed to be added as alternatives to
EPA Method 308 for measurement of
methanol emissions. These methods are
available for purchase from ASTM, 100
Barr Harbor Drive, Post Office Box C700,
West Conshohocken, PA 19428–2959; or
ProQuest, 300 North Zeeb Road, Ann
Arbor, MI 48106.
While the EPA has identified another
14 VCS as being potentially applicable
to this proposed rule, we have decided
not to use these VCS in this rulemaking.
The use of these VCS would be
impractical because they do not meet
the objectives of the standards cited in
this rule. See the docket for this
proposed rule for the reasons for these
determinations.
Under 40 CFR 63.7(e)(2)(ii) and (f)
and 63.8(f) of the NESHAP General
Provisions, a source may apply to the
EPA for permission to use alternative
test methods or alternative monitoring
requirements in place of any required
testing methods, performance
specifications, or procedures in the final
rule and any amendments.
The EPA welcomes comments on this
aspect of the proposed rulemaking and,
specifically, invites the public to
identify potentially applicable VCS and
to explain why such standards should
be used in this regulation.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
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policies, and activities on minority
populations and low income
populations in the United States.
EPA has determined that this
proposed rule will not have
disproportionately high and adverse
human health or environmental effects
on minority, low income, indigenous
populations because it increases the
level of environmental protection for all
affected populations without having any
disproportionately high and adverse
human health or environmental effects
on any population, including any
minority, low income, or indigenous
populations.
These proposed standards will
improve public health and welfare, now
and in the future, by reducing HAP
emissions contributing to environmental
and human health impacts. These
reductions in HAP associated with the
rule are expected to benefit all
populations.
Additionally, the agency has reviewed
this rule to determine if there is an
overrepresentation of minority, low
income, or indigenous populations near
the sources such that they may face
disproportionate exposure from
pollutants that could be mitigated by
this rulemaking. Although this analysis
gives some indication of populations
that may be exposed to levels of
pollution that cause concern, it does not
identify the demographic characteristics
of the most highly affected individuals
or communities.
The demographic data show that
while most demographic categories are
below, or within, 2 percentage points of
national averages, the African-American
population exceeds the national average
by 3 percentage points (15 percent
versus 12 percent), or +25 percent. The
facility-level demographic analysis
results are presented in the November
2011 memorandum titled Review of
Environmental Justice Impacts: Pulp
and Paper, a copy of which is available
in the docket for this action (EPA–HQ–
OAR–2007–0544).
The analysis of demographic data
used proximity-to-a-source as a
surrogate for exposure to identify those
populations considered to be living near
affected sources, such that they have
notable exposures to current emissions
from these sources. The demographic
data for this analysis were extracted
from the 2000 census data, which were
provided to the EPA by the United
States Census Bureau. Distributions by
race are based on demographic
information at the census block level,
and all other demographic groups are
based on the extrapolation of census
block group level data to the census
block level. The socio-demographic
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parameters used in the analysis
included the following categories:
Racial (White, African American, Native
American, Other or Multiracial, and All
Other Races); Ethnicity (Hispanic); and
Other (Number of people below the
poverty line, Number of people with
ages between 0 and 18, Number of
people with ages greater than or equal
to 65, Number of people with no high
school diploma).
In determining the aggregate
demographic makeup of the
communities near affected sources, the
EPA focused on those census blocks
within 3 miles of affected sources and
determined the demographic
composition (e.g., race, income, etc.) of
these census blocks and compared them
to the corresponding compositions
nationally. The radius of 3 miles (or
approximately 5 km) is consistent with
other demographic analyses focused on
areas around potential sources.52 53 54 55
In addition, air quality modeling
experience has shown that the area
within 3 miles of an individual source
of emissions can generally be
considered the area with the highest
ambient air levels of the primary
pollutants being emitted for most
sources, both in absolute terms and
relative to the contribution of other
sources (assuming there are other
sources in the area, as is typical in
urban areas). While facility processes
and fugitive emissions may have more
localized impacts, the EPA
acknowledges that because of various
stack heights, there is the potential for
dispersion beyond 3 miles. To the
extent that any minority, low income, or
indigenous subpopulation is
disproportionately impacted by the
current emissions as a result of the
proximity of their homes to these
sources, that subpopulation also stands
to see increased environmental and
health benefit from the emissions
reductions called for by this rule.
List of Subjects in 40 CFR Part 63
Environmental protection, Air
pollution control, Hazardous
52 U.S. GAO (Government Accountability Office).
Demographics of People Living Near Waste
Facilities. Washington, DC: Government Printing
Office; 1995.
53 Mohai P, Saha R. ‘‘Reassessing Racial and
Socio-economic Disparities in Environmental
Justice Research.’’ Demography. 2006;43(2): 383–
399.
54 Mennis J. ‘‘Using Geographic Information
Systems to Create and Analyze Statistical Surfaces
of Populations and Risk for Environmental Justice
Analysis.’’ Social Science Quarterly, 2002;83(1):
281–297.
55 Bullard RD, Mohai P, Wright B, Saha R, et al.
Toxic Waste and Race at Twenty 1987–2007. United
Church of Christ. March, 2007.
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substances, Reporting and
recordkeeping requirements.
Dated: December 15, 2011.
Lisa P. Jackson,
Administrator.
For the reasons stated in the
preamble, the Environmental Protection
Agency proposes to amend Title 40,
chapter I of the Code of Federal
Regulations as follows:
Subpart S—[Amended]
PART 63—[AMENDED]
3. Section 63.441 is amended by
adding a definition for ‘‘affirmative
defense’’ to read as follows:
1. The authority citation for part 63
continues to read as follows:
Authority: 42 U.S.C. 7401 et seq.
§ 63.441
Subpart A—[Amended]
Incorporations by reference.
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(b) * * *
(28) ASTM D6420–99 (Reapproved
2004), Standards Test Method for
Determination of Gaseous Organic
Compounds by Direct Interface Gas
Chromatography-Mass Spectrometry,
IBR approved for §§ 60.485(g)(5),
60.485a(g)(5), 63.457(b)(5)(i),
63.772(a)(1)(ii), 63.2354(b)(3)(i),
63.2354(b)(3)(ii), 63.2354(b)(3)(ii)(A),
and 63.2351(b)(3)(ii)(B).
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(54) ASTM D6348–03, Standard Test
Method for Determination of Gaseous
Compounds by Extractive Direct
Interface Fourier Transform Infrared
(FTIR) Spectroscopy, incorporation by
reference (IBR) approved for
§ 63.457(b)(5)(i) of subpart S,
§ 63.1349(b)(4)(iii) of subpart LLL, and
table 4 to subpart DDDD of this part as
specified in the subpart.
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(f) * * *
(5) NCASI Method DI/MEOH–94.03,
Methanol in Process Liquids and
Wastewaters by GC/FID, May 2000,
NCASI, Research Triangle Park, NC, IBR
approved for §§ 63.457(c)(3)(ii),
63.459(b)(5)(iv)(A),
63.459(b)(5)(iv)(A)(2), and
63.459(b)(8)(iii) of subpart S of this part.
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(i) * * *
(1) ANSI/ASME PTC 19.10–1981,
‘‘Flue and Exhaust Gas Analyses [Part
10, Instruments and Apparatus],’’ IBR
approved for §§ 63.309(k)(1)(iii),
63.457(k)(1), 63.865(b), 63.3166(a)(3),
63.3360(e)(1)(iii), 63.3545(a)(3),
63.3555(a)(3), 63.4166(a)(3),
63.4362(a)(3), 63.4766(a)(3),
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Definitions.
*
2. Section 63.14 is amended by
adding paragraph (f)(5) and revising
paragraphs (b)(28), (b)(54) and (i)(1) to
read as follows:
§ 63.14
63.4965(a)(3), 63.5160(d)(1)(iii),
63.9307(c)(2), 63.9323(a)(3),
63.11148(e)(3)(iii), 63.11155(e)(3),
63.11162(f)(3)(iii) and (f)(4),
63.11163(g)(1)(iii) and (g)(2),
63.11410(j)(1)(iii), 63.11551(a)(2)(i)(C),
table 5 to subpart DDDDD of this part,
table 1 to subpart ZZZZZ of this part,
and table 4 to subpart JJJJJJ of this part.
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Jkt 226001
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Affirmative defense means, in the
context of an enforcement proceeding, a
response or defense put forward by a
defendant, regarding which the
defendant has the burden of proof, and
the merits of which are independently
and objectively evaluated in a judicial
or administrative proceeding.
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4. Section 63.443 is amended by
revising paragraph (e) introductory text
to read as follows:
§ 63.443 Standards for the pulping system
at kraft, soda, and semi-chemical
processes.
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(e) Periods of excess emissions
reported under § 63.455 shall not be a
violation of § 63.443(c) and (d) provided
that the time of excess emissions
divided by the total process operating
time in a semi-annual reporting period
does not exceed the following levels:
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5. Section 63.446 is amended as
follows:
a. By revising paragraph (e)(3);
b. By revising paragraph (e)(4);
c. By revising paragraph (e)(5); and
d. By revising paragraph (g).
§ 63.446 Standards for kraft pulping
process condensates.
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(e) * * *
(3) Treat the pulping process
condensates to reduce or destroy the
total HAPs by at least 92 percent or
more by weight on or before [DATE 3
YEARS FROM DATE OF PUBLICATION
OF FINAL RULE IN THE FEDERAL
REGISTER]. After [DATE 3 YEARS
FROM DATE OF PUBLICATION OF
FINAL RULE IN THE FEDERAL
REGISTER], treat pulping process
condensates to reduce or destroy the
total HAPs by at least 94 percent or
more by weight; or
(4) At mills that do not perform
bleaching, on or before [DATE 3 YEARS
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FROM DATE OF PUBLICATION OF
FINAL RULE IN THE FEDERAL
REGISTER] treat the pulping process
condensates to remove 3.3 kilograms or
more of total HAP per megagram (6.6
pounds per ton) of ODP, or achieve a
total HAP concentration of 210 parts per
million or less by weight at the outlet of
the control device. After [DATE 3
YEARS FROM DATE OF PUBLICATION
OF FINAL RULE IN THE FEDERAL
REGISTER], treat the pulping process
condensates to remove 4.2 kilograms or
more of total HAP per megagram (8.3
pounds per ton) of ODP, or achieve a
total HAP concentration of 158 parts per
million or less by weight at the outlet of
the control device; or
(5) At mills that perform bleaching, on
or before [DATE 3 YEARS FROM DATE
OF PUBLICATION OF FINAL RULE IN
THE FEDERAL REGISTER] treat the
pulping process condensates to remove
5.1 kilograms or more of total HAP per
megagram (10.2 pounds per ton) of ODP,
or achieve a total HAP concentration of
330 parts per million or less by weight
at the outlet of the control device. After
[DATE 3 YEARS FROM DATE OF
PUBLICATION OF FINAL RULE IN
THE FEDERAL REGISTER], treat the
pulping process condensates to remove
6.4 kilograms or more of total HAP per
megagram (12.8 pounds per ton) of ODP,
or achieve a total HAP concentration of
248 parts per million or less by weight
at the outlet of the control device.
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(g) For each control device (e.g. steam
stripper system or other equipment
serving the same function) used to treat
pulping process condensates to comply
with the requirements specified in
paragraphs (e)(3) through (e)(5) of this
section, periods of excess emissions
reported under § 63.455 shall not be a
violation of paragraphs (d), (e)(3)
through (e)(5), and (f) of this section
provided that the time of excess
emissions divided by the total process
operating time in a semi-annual
reporting period does not exceed 10
percent. The 10 percent excess
emissions allowance does not apply to
treatment of pulping process
condensates according to paragraph
(e)(2) of this section (e.g. the biological
wastewater treatment system used to
treat multiple (primarily noncondensate) wastewater streams to
comply with the Clean Water Act).
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6. Section 63.453 is amended by
adding paragraph (q) to read as follows:
§ 63.453
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Federal Register / Vol. 76, No. 248 / Tuesday, December 27, 2011 / Proposed Rules
(q) At all times, the owner or operator
must operate and maintain any affected
source, including associated air
pollution control equipment and
monitoring equipment, in a manner
consistent with safety and good air
pollution control practices for
minimizing emissions. Determination of
whether such operation and
maintenance procedures are being used
will be based on information available
to the Administrator which may
include, but is not limited to,
monitoring results, review of operation
and maintenance procedures, review of
operation and maintenance records, and
inspection of the source.
7. Section 63.454 is amended by
revising paragraph (a) and adding
paragraph (g) to read as follows:
§ 63.454
Recordkeeping requirements.
(a) The owner or operator of each
affected source subject to the
requirements of this subpart shall
comply with the recordkeeping
requirements of § 63.10, as shown in
table 1 of this subpart, and the
requirements specified in paragraphs (b)
through (g) of this section for the
monitoring parameters specified in
§ 63.453.
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(g) Recordkeeping of malfunctions.
The owner or operator must maintain
the following records of malfunctions:
(1) Records of the occurrence and
duration of each malfunction of
operation (i.e., process equipment) or
the air pollution control and monitoring
equipment.
(2) Records of actions taken during
periods of malfunction to minimize
emissions in accordance with
§ 63.453(q), including corrective actions
to restore malfunctioning process and
air pollution control and monitoring
equipment to its normal or usual
manner of operation.
8. Section 63.455 is amended by
adding paragraphs (g) and (h) to read as
follows:
§ 63.455
Reporting requirements.
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(g) Malfunction reporting
requirements. If a malfunction occurred
during the reporting period, the report
must include the number, duration, and
a brief description for each type of
malfunction which occurred during the
reporting period and which caused or
may have caused any applicable
emission limitation to be exceeded. The
report must also include a description of
actions taken by an owner or operator
during a malfunction of an affected
source to minimize emissions in
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accordance with § 63.453(q), including
actions taken to correct a malfunction.
(h) You must submit performance test
reports as specified in paragraphs (h)(1)
through (4).
(1) The owner or operator of an
affected source shall report the results of
the performance test before the close of
business on the 60th day following the
completion of the performance test,
unless approved otherwise in writing by
the Administrator. A performance test is
‘‘completed’’ when field sample
collection is terminated. Unless
otherwise approved by the
Administrator in writing, results of a
performance test shall include the
analysis of samples, determination of
emissions, and raw data. A complete
test report must include the purpose of
the test; a brief process description; a
complete unit description, including a
description of feed streams and control
devices; sampling site description;
pollutants measured; description of
sampling and analysis procedures and
any modifications to standard
procedures; quality assurance
procedures; record of operating
conditions, including operating
parameters for which limits are being
set, during the test; record of
preparation of standards; record of
calibrations; raw data sheets for field
sampling; raw data sheets for field and
laboratory analyses; chain-of-custody
documentation; explanation of
laboratory data qualifiers; example
calculations of all applicable stack gas
parameters, emission rates, percent
reduction rates, and analytical results,
as applicable; and any other information
required by the test method and the
Administrator.
(2) As of January 1, 2012 and within
60 days after the date of completing
each performance test, you must submit
performance test data, except opacity
data, electronically to EPA’s Central
Data Exchange (CDX) by using the
Electronic Reporting Tool (ERT) (see
https://www.epa.gov/ttn/chief/ert/
ert_tool.html) and also report the results
of the performance test to the
appropriate permitting authority in the
form and-or format specified by the
permitting authority. Only data
collected using test methods compatible
with ERT are subject to this requirement
to be submitted electronically to EPA’s
CDX.
(3) Within 60 days after the date of
completing each CEMS performance
evaluation test, as defined in § 63.2 and
required by this subpart, you must
submit the relative accuracy test audit
data electronically into EPA’s CDX by
using the ERT as mentioned in
paragraph (h)(2) of this section and also
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81355
report the results of the performance test
to the appropriate permitting authority
in the form and-or format specified by
the permitting authority. Only data
collected using test methods compatible
with ERT are subject to this requirement
to be submitted electronically to EPA’s
CDX.
(4) All reports required by this
subpart not subject to the requirements
in paragraphs (h)(2) and (3) of this
section must be sent to the
Administrator at the appropriate
address listed in § 63.13. The
Administrator or the delegated authority
may request a report in any form
suitable for the specific case (e.g., by
electronic media such as Excel
spreadsheet, on CD or hard copy). The
Administrator retains the right to
require submittal of reports subject to
paragraphs (h)(2) and (3) of this section
in paper format.
9. Section 63.456 is added to read as
follows:
§ 63.456 Affirmative Defense for
Exceedance of Emission Limit During
Malfunction.
In response to an action to enforce the
standards set forth in paragraphs
§§ 63.443(c) and (d), 63.444(b) and (c),
63.445(b) and (c), 63.446(c), (d), and (e),
63.447(b) or § 63.450(d) the owner or
operator may assert an affirmative
defense to a claim for civil penalties for
exceedances of such standards that are
caused by malfunction, as defined at 40
CFR 63.2. Appropriate penalties may be
assessed, however, if the owner or
operator fails to meet the burden of
proving all of the requirements in the
affirmative defense. The affirmative
defense shall not be available for claims
for injunctive relief.
(a) To establish the affirmative
defense in any action to enforce such a
limit, the owner or operator must timely
meet the notification requirements in
paragraph (b) of this section, and must
prove by a preponderance of evidence
that:
(1) The excess emissions:
(i) Were caused by a sudden,
infrequent, and unavoidable failure of
air pollution control and monitoring
equipment, process equipment, or a
process to operate in a normal or usual
manner, and
(ii) Could not have been prevented
through careful planning, proper design
or better operation and maintenance
practices; and
(iii) Did not stem from any activity or
event that could have been foreseen and
avoided, or planned for; and
(iv) Were not part of a recurring
pattern indicative of inadequate design,
operation, or maintenance; and
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Federal Register / Vol. 76, No. 248 / Tuesday, December 27, 2011 / Proposed Rules
(2) Repairs were made as
expeditiously as possible when the
applicable emission limitations were
being exceeded. Off-shift and overtime
labor were used, to the extent
practicable to make these repairs; and
(3) The frequency, amount and
duration of the excess emissions
(including any bypass) were minimized
to the maximum extent practicable
during periods of such emissions; and
(4) If the excess emissions resulted
from a bypass of control equipment or
a process, then the bypass was
unavoidable to prevent loss of life,
personal injury, or severe property
damage; and
(5) All possible steps were taken to
minimize the impact of the excess
emissions on ambient air quality, the
environment and human health; and
(6) All emissions monitoring and
control systems were kept in operation
if at all possible, consistent with safety
and good air pollution control practices;
and
(7) All of the actions in response to
the excess emissions were documented
by properly signed, contemporaneous
operating logs; and
(8) At all times, the affected source
was operated in a manner consistent
with good practices for minimizing
emissions; and
(9) A written root cause analysis has
been prepared, the purpose of which is
to determine, correct, and eliminate the
primary causes of the malfunction and
the excess emissions resulting from the
malfunction event at issue. The analysis
shall also specify, using best monitoring
methods and engineering judgment, the
amount of excess emissions that were
the result of the malfunction.
(b) Notification. The owner or
operator of the affected source
experiencing an exceedance of its
emission limit(s) during a malfunction
shall notify the Administrator by
telephone or facsimile (FAX)
transmission as soon as possible, but no
later than two business days after the
initial occurrence of the malfunction, if
it wishes to avail itself of an affirmative
defense to civil penalties for that
malfunction. The owner or operator
seeking to assert an affirmative defense
shall also submit a written report to the
Administrator within 45 days of the
initial occurrence of the exceedance of
the standard in paragraphs §§ 63.443(c)
and (d), 63.444(b) and (c), 63.445(b) and
(c), 63.446(c), (d), and (e), 63.447(b) or
§ 63.450(d) to demonstrate, with all
necessary supporting documentation,
that it has met the requirements set forth
in paragraph (a) of this section. The
owner or operator may seek an
extension of this deadline for up to 30
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additional days by submitting a written
request to the Administrator before the
expiration of the 45 day period. Until a
request for an extension has been
approved by the Administrator, the
owner or operator is subject to the
requirement to submit such report
within 45 days of the initial occurrence
of the exceedance.
10. Section 63.457 is amended as
follows:
a. By revising paragraph (a);
b. By revising paragraphs (b)(1), (b)(3),
(b)(4), (b)(5)(i), and (b)(5)(ii);
c. By revising paragraph (c)(3)(ii);
d. By revising paragraph (d)(1);
e. By revising paragraph (k)(1); and
f. By adding paragraph (o).
§ 63.457
Test methods and procedures.
(a) Performance tests. Initial and
repeat performance tests are required for
the emissions sources specified in
paragraphs (a)(1) and (2) on this section,
except for emission sources controlled
by a combustion device that is designed
and operated as specified in
§ 63.443(d)(3) or (d)(4).
(1) Conduct an initial performance
test for all emission sources subject to
the limitations in §§ 63.443, 63.444,
63.445, 63.446, and 63.447.
(2) Conduct repeat performance tests
at five year intervals for all emission
sources subject to the limitations in
§§ 63.443, 63.444, and 63.445.
(b) * * *
(1) Method 1 or 1A of part 60,
appendix A–1, as appropriate, shall be
used for selection of the sampling site
as follows:
*
*
*
*
*
(3) The vent gas volumetric flow rate
shall be determined using Method 2,
2A, 2C, or 2D of part 60, appendix A–
1, as appropriate.
(4) The moisture content of the vent
gas shall be measured using Method 4
of part 60, appendix A–3.
(5) * * *
(i) Method 308 in Appendix A of this
part; Method 320 in Appendix A of this
part; Method 18 in appendix A–6 of part
60; ASTM D6420–99 (incorporated by
reference in § 63.14(b)(28) of subpart A
of this part); or ASTM D6348–03
(incorporated by reference in
§ 63.14(b)(54) of subpart A of this part)
shall be used to determine the methanol
concentration. If ASTM D6348–03 is
used the conditions specified in
paragraphs (b)(5)(i)(A) though
(b)(5)(i)(B) of this section must be met.
(A) The test plan preparation and
implementation in the Annexes to
ASTM D6348–03, Sections A1 through
A8 are required.
(B) In ASTM 6348–03 Annex A5
(Analyte Spiking Technique), the
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Frm 00030
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Sfmt 4702
percent (%) R must be determined for
each target analyte (Equation A5.5 of
ASTM 6348–03). In order for the test
data to be acceptable for a compound,
%R must be between 70 and 130
percent. If the %R value does not meet
this criterion for a target compound, the
test data is not acceptable for that
compound and the test must be repeated
for that analyte following adjustment of
the sampling or analytical procedure
before the retest. The %R value for each
compound must be reported in the test
report, and all field measurements must
be corrected with the calculated %R
value for that compound using the
following equation: Reported Result =
Measured Concentration in the Stack ×
100)/%R.
(ii) Except for the modifications
specified in paragraphs (b)(5)(ii)(A)
through (b)(5)(ii)(K) of this section,
Method 26A of part 60, appendix A–8
shall be used to determine chlorine
concentration in the vent stream.
*
*
*
*
*
(c) * * *
(3) * * *
(ii) For determining methanol
concentrations, NCASI Method DI/
MEOH–94.03, Methanol in Process
Liquids and Wastewaters by GC/FID,
May 2000, NCASI, Research Triangle
Park, NC. This test method is
incorporated by reference in
§ 63.14(f)(5) of subpart A of this part.
*
*
*
*
*
(d) * * *
(1) Method 21, of part 60, appendix
A–7; and
*
*
*
*
*
(k) * * *
(1) The emission rate correction factor
and excess air integrated sampling and
analysis procedures of Methods 3A or
3B of part 60, appendix A–2 shall be
used to determine the oxygen
concentration. The samples shall be
taken at the same time that the HAP
samples are taken. As an alternative to
Method 3B, ASME PTC 19.10–1981–
Part 10 may be used (incorporated by
reference, see § 63.14(i)(1)).
*
*
*
*
*
(o) Performance tests shall be
conducted under such conditions as the
Administrator specifies to the owner or
operator based on representative
performance of the affected source for
the period being tested. Upon request,
the owner or operator shall make
available to the Administrator such
records as may be necessary to
determine the conditions of
performance tests.
11. Section 63.459 is amended by
revising paragraph (b)(11)(ii) to read as
follows:
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§ 63.459
Alternative standards.
*
*
*
*
*
(b) * * *
(11) * * *
(ii) Periods of excess emissions shall
not constitute a violation provided the
time of excess emissions divided by the
total process operating time in a semiannual reporting period does not exceed
one percent. All periods of excess
81357
emission shall be reported, and shall
include:
*
*
*
*
*
12. Table 1 to subpart S of part 63 is
revised to read as follows:
TABLE 1 TO SUBPART S OF PART 63—GENERAL PROVISIONS APPLICABILITY TO SUBPART S a
Applies to subpart S
63.1(a)(1)–(3) .....
63.1(a)(4) ...........
63.1(a)(5) ...........
63.1(a)(6)–(8) .....
63.1(a)(9) ...........
63.1(a)(10) .........
63.1(a)(11)–(14)
63.1(b)(1) ...........
63.1(b)(2)–(3) .....
63.1(c)(1)–(2) .....
63.1(c)(3) ............
63.1(c)(4)–(5) .....
63.1(d) ................
63.1(e) ................
63.2 ....................
63.3 ....................
63.4(a)(1) ...........
63.4(a)(3).
63.4(a)(4) ...........
63.4(a)(5) ...........
63.4(b) ................
63.4(c) ................
63.5(a) ................
63.5(b)(1) ...........
63.5(b)(2) ...........
63.5(b)(3) ...........
63.5(b)(4)–(6) .....
63.5(c) ................
63.5(d) ................
63.5(e) ................
63.5(f) .................
63.6(a) ................
63.6(b) ................
63.6(c) ................
63.6(d) ................
63.6(e)(1)(i) ........
63.6(e)(1)(ii) .......
63.6(e)(1)(iii) .......
63.6(e)(2) ...........
63.6(e)(3) ...........
63.6(f)(1) ............
63.6(f)(2) ............
63.6(f)(3) ............
63.6(g) ................
63.6(h) ................
63.6(i) .................
63.6(j) .................
63.7 ....................
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Reference
Yes.
Yes ..........................................
No ...........................................
Yes.
No ...........................................
No ...........................................
Yes.
No ...........................................
Yes.
Yes.
No ...........................................
Yes.
No ...........................................
Yes.
Yes.
Yes.
Yes.
63.8(a)(1) ...........
63.8(a)(2) ...........
63.8(a)(3) ...........
63.8(a)(4) ...........
63.8(b)(1) ...........
63.8(b)(2) ...........
63.8(b)(3) ...........
63.8(c)(1)(i) ........
63.8(c)(1)(ii) ........
63.8(c)(1)(iii) .......
63.8(c)(2) ............
63.8(c)(3) ............
63.8(c)(4) ............
63.8(c)(5) ............
63.8(c)(6) ............
63.8(c)(7) ............
Yes.
Yes.
No ...........................................
Yes.
Yes.
No ...........................................
Yes.
No ...........................................
Yes.
No.
Yes.
Yes.
No ...........................................
No ...........................................
Yes.
Yes.
VerDate Mar<15>2010
No ...........................................
Yes.
Yes.
Yes.
Yes.
Yes.
No ...........................................
Yes.
Yes.
No ...........................................
Yes.
Yes.
Yes.
Yes.
No ...........................................
No ...........................................
No ...........................................
No ...........................................
No.
Yes.
No ...........................................
No.
No.
Yes.
Yes.
Yes.
No ...........................................
Yes.
Yes.
Yes, except for 63.7(e)(1). ......
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Comment
Subpart S (this table) specifies applicability of each paragraph in subpart A to subpart S.
Section reserved.
Section reserved.
Subpart S and other cross-referenced subparts specify calendar or operating day.
Subpart S specifies its own applicability.
Section reserved.
Section reserved.
Section reserved.
Section reserved.
Section reserved.
Subpart S specifies compliance dates for sources subject to subpart S.
Subpart S specifies compliance dates for sources subject to subpart S.
Section reserved.
See § 63.453(q) for general duty requirement.
Section reserved.
Pertains to continuous opacity monitors that are not part of this standard.
Section 63.7(e)(1) is replaced with § 63.457(o) which specifies performance testing conditions under Subpart S.
Section reserved.
Subpart S specifies locations to conduct monitoring.
See § 63.453(q) for general duty requirement (which includes monitoring equipment).
Subpart S allows site specific determination of monitoring frequency in § 63.453(n)(4).
Pertains to continuous opacity monitors that are not part of this standard.
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81358
Federal Register / Vol. 76, No. 248 / Tuesday, December 27, 2011 / Proposed Rules
TABLE 1 TO SUBPART S OF PART 63—GENERAL PROVISIONS APPLICABILITY TO SUBPART S a—Continued
Reference
Applies to subpart S
63.8(c)(8) ............
63.8(d) ................
63.8(e) ................
63.8(f)(1)–(5) ......
63.8(f)(6) ............
63.8(g) ................
63.9(a) ................
63.9(b) ................
63.9(c) ................
63.9(d) ................
63.9(e) ................
63.9(f) .................
63.9(g)(1) ...........
63.9(g)(2) ...........
63.9(g)(3) ...........
63.9(h) ................
63.9(i) .................
63.9(j) .................
63.10(a) ..............
63.10(b)(1) .........
63.10(b)(2)(i) ......
63.10(b)(2)(ii) .....
63.10(b)(2)(iii) .....
63.10(b)(2)(iv) ....
63.10(b)(2)(v) .....
63.10(b)(2)(vi) ....
63.10(b)(2)(vii)–
(ix).
63.10(b)(3) .........
63.10(c)(1)–(7) ...
63.10(c)(8) ..........
63.10(c)(9) ..........
63.10(c)(10)–(11)
63.10(c)(12)–(14)
63.10(c)(15) ........
63.10(d)(1) .........
63.10(d)(2) .........
63.10(d)(3) .........
63.10(d)(4) .........
63.10(d)(5) .........
63.10(e)(1) .........
63.10(e)(2)(i) ......
63.10(e)(2)(ii) .....
63.10(e)(3) .........
63.10(e)(4) .........
63.10(f) ...............
63.11–63.15 .......
Comment
Yes.
Yes, except for last sentence,
SSM plans are not required.
which refers to an SSM plan.
Yes.
Yes.
No ........................................... Subpart S does not specify relative accuracy test for CEMs.
Yes.
Yes.
Yes .......................................... Initial notifications must be submitted within one year after the source becomes subject to
the relevant standard.
Yes.
No ........................................... Special compliance requirements are only applicable to kraft mills.
Yes.
No ........................................... Pertains to continuous opacity monitors that are not part of this standard.
Yes.
No ........................................... Pertains to continuous opacity monitors that are not part of this standard.
No ........................................... Subpart S does not specify relative accuracy tests, therefore no notification is required for
an alternative.
Yes.
Yes.
Yes.
Yes.
Yes.
No.
No ........................................... See § 63.454(g) for recordkeeping of (1) occurrence and duration and (2) actions taken during malfunction.
Yes.
No.
No.
Yes.
Yes.
Yes.
Yes.
Yes.
No ...........................................
No ...........................................
Yes.
No.
Yes.
Yes.
No ...........................................
Yes.
No ...........................................
Yes.
Yes.
No ...........................................
Yes.
No ...........................................
Yes.
Yes.
Section reserved.
See § 63.454(g) for malfunction recordkeeping requirements.
Pertains to continuous opacity monitors that are not part of this standard.
See § 63.455(g) for malfunction reporting requirements.
Pertains to continuous opacity monitors that are not part of this standard.
Pertains to continuous opacity monitors that are not part of this standard.
a Wherever subpart A specifies ‘‘postmark’’ dates, submittals may be sent by methods other than the U.S. Mail (e.g., by fax or courier). Submittals shall be sent by the specified dates, but a postmark is not required.
[FR Doc. 2011–32843 Filed 12–23–11; 8:45 am]
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Agencies
[Federal Register Volume 76, Number 248 (Tuesday, December 27, 2011)]
[Proposed Rules]
[Pages 81328-81358]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-32843]
[[Page 81327]]
Vol. 76
Tuesday,
No. 248
December 27, 2011
Part VIII
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Part 63
National Emission Standards for Hazardous Air Pollutants From the Pulp
and Paper Industry; Proposed Rule
Federal Register / Vol. 76 , No. 248 / Tuesday, December 27, 2011 /
Proposed Rules
[[Page 81328]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 63
[EPA-HQ-OAR-2007-0544; FRL-9609-8]
RIN 2060-AQ41
National Emission Standards for Hazardous Air Pollutants From the
Pulp and Paper Industry
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The EPA is proposing amendments to the national emission
standards for hazardous air pollutants for the pulp and paper industry
to address the results of the residual risk and technology review that
the EPA is required to conduct under sections 112(d)(6) and (f)(2) of
the Clean Air Act. These proposed amendments include revisions to the
kraft pulping process condensates standards; a requirement for 5-year
repeat emissions testing for selected process equipment; revisions to
provisions addressing periods of startup, shutdown and malfunction;
additional test methods for measuring methanol; and technical and
editorial changes.
DATES: Comments. Comments must be received on or before February 27,
2012. Under the Paperwork Reduction Act, comments on the information
collection provisions are best assured of having full effect if the
Office of Management and Budget receives a copy of your comments on or
before January 26, 2012.
Public Hearing. If anyone contacts the EPA requesting to speak at a
public hearing by January 6, 2012, a public hearing will be held on
January 11, 2012.
ADDRESSES: Submit your comments, identified by Docket ID Number EPA-HQ-
OAR-2007-0544, by one of the following methods:
Federal eRulemaking Portal: https://www.regulations.gov.
Follow the online instructions for submitting comments.
Agency Web site: https://www.epa.gov/oar/docket.html.
Follow the instructions for submitting comments on the EPA Air and
Radiation Docket Web site.
Email: a-and-r-docket@epa.gov. Include EPA-HQ-OAR-2007-
0544 in the subject line of the message.
Fax: Fax your comments to: (202) 566-9744, Attention
Docket ID Number EPA-HQ-OAR-2007-0544.
Mail: Send your comments to: EPA Docket Center (EPA/DC),
Environmental Protection Agency, Mailcode: 2822T, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, Attention: Docket ID Number EPA-HQ-OAR-
2007-0544. Please include a total of two copies. In addition, please
mail a copy of your comments on the information collection provisions
to the Office of Information and Regulatory Affairs, Office of
Management and Budget (OMB), Attn: Desk Officer for EPA, 725 17th
Street NW., Washington, DC 20503.
Hand Delivery or Courier: In person or by courier, deliver
comments to the EPA Docket Center, EPA West (Air Docket), Room 3334,
1301 Constitution Ave. NW., Washington, DC 20460, Attention: Docket ID
Number EPA-HQ-OAR-2007-0544. Such deliveries are only accepted during
the Docket's normal hours of operation (8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal holidays), and special arrangements
should be made for deliveries of boxed information. Please include two
copies.
Instructions. Direct your comments to Docket ID Number EPA-HQ-OAR-
2007-0544. The EPA policy is that all comments received will be
included in the public docket without change and may be made available
online at https://www.regulations.gov, including any personal
information provided, unless the comment includes information claimed
to be confidential business information or other information whose
disclosure is restricted by statute. Do not submit information that you
consider to be confidential business information or otherwise protected
through https://www.regulations.gov or email. The https://www.regulations.gov Web site is an ``anonymous access'' system, which
means the EPA will not know your identity or contact information unless
you provide it in the body of your comment. If you send an email
comment directly to the EPA without going through https://www.regulations.gov, your email address will be automatically captured
and included as part of the comment that is placed in the public docket
and made available on the Internet. If you submit an electronic
comment, the EPA recommends that you include your name and other
contact information in the body of your comment and with any disk or
CD-ROM you submit. If the EPA cannot read your comment due to technical
difficulties and cannot contact you for clarification, the EPA may not
be able to consider your comment. Electronic files should avoid the use
of special characters, any form of encryption and be free of any
defects or viruses. For additional information about the EPA public
docket, visit the EPA Docket Center homepage at https://www.epa.gov/epahome/dockets.htm.
Docket. The EPA has established a docket for this rulemaking under
Docket ID Number EPA-HQ-OAR-2007-0544. All documents in the docket are
listed in the https://www.regulations.gov index. Although listed in the
index, some information is not publicly available (e.g., confidential
business information or other information whose disclosure is
restricted by statute). Certain other material, such as copyrighted
material, will be publicly available only in hard copy. Publicly
available docket materials are available either electronically in
https://www.regulations.gov or in hard copy at the EPA Docket Center,
EPA West, Room 3334, 1301 Constitution Ave., NW., Washington, DC. The
Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday through
Friday, excluding legal holidays. The telephone number for the Public
Reading Room is (202) 566-1744, and the telephone number for the EPA
Docket Center is (202) 566-1742.
Public Hearing. If a public hearing is held, it will begin at 10
a.m. on January 11, 2012 and will be held at the EPA campus in Research
Triangle Park, North Carolina, or at an alternate facility nearby.
Persons interested in presenting oral testimony or inquiring as to
whether a public hearing is to be held should contact Ms. Joan Rogers,
Office of Air Quality Planning and Standards, Sector Policies and
Programs Division, Natural Resources Group (E143-03), U.S.
Environmental Protection Agency, Research Triangle Park, North Carolina
27711; telephone number: (919) 541-4487.
FOR FURTHER INFORMATION CONTACT: For questions about this proposed
action, contact Mr. John Bradfield, Office of Air Quality Planning and
Standards, (E143-03), Environmental Protection Agency, Research
Triangle Park, North Carolina 27711; telephone number: (919) 541-3062;
fax number: (919) 541-3470; and email address: bradfield.john@epa.gov.
For specific information regarding the risk modeling methodology,
contact Mr. James Hirtz, Health and Environmental Impacts Division
(C539-02), Office of Air Quality Planning and Standards, U.S.
Environmental Protection Agency, Research Triangle Park, North Carolina
27711; telephone number: (919) 541-0881; fax number: (919) 541-0840;
and email address: hirtz.james@epa.gov. For information about the
applicability of the national emission standards for hazardous air
pollutants to a particular entity, contact the appropriate person
listed in Table 1 to this preamble.
[[Page 81329]]
Table 1--List of EPA Contacts for the NESHAP Addressed in This Proposed
Action
------------------------------------------------------------------------
NESHAP for: OECA Contact \1\ OAQPS Contacts \2\
------------------------------------------------------------------------
Pulp and Paper.................. Sara Ayres (202) John Bradfield
564-5391 (919) 541-3062
ayres.sara@epa.go bradfield.john@ep
v.. a.gov.
------------------------------------------------------------------------
\1\ EPA's Office of Enforcement and Compliance Assurance.
\2\ EPA's Office of Air Quality Planning and Standards.
SUPPLEMENTARY INFORMATION:
Preamble Acronyms and Abbreviations
Several acronyms and terms used to describe industrial processes,
data inventories and risk modeling are included in this preamble. While
this may not be an exhaustive list, to ease the reading of this
preamble and for reference purposes, the following terms and acronyms
are defined here:
ACGIH American Conference of Governmental Industrial Hygienists
ADAF Age-Dependent Adjustment Factors
AEGL Acute Exposure Guideline Levels
AERMOD Air dispersion model used by the HEM-3 model
ASME American Society of Mechanical Engineers
ATSDR Agency for Toxic Substances and Disease Registry
BACT Best Available Control Technology
BBDR Biologically-Based Dose-Response
CAA Clean Air Act
CalEPA California Environmental Protection Agency
CBI Confidential Business Information
CCA Clean Condensate Alternative
CD ROM Compact Disk Read Only Memory
CDX Central Data Exchange
CEEL Community Emergency Exposure Levels
CEMS Continuous Emissions Monitoring System
CFR Code of Federal Regulations
CIIT Chemical Industry Institute of Toxicology
EIA Economic Impact Analysis
EJ Environmental Justice
EPA Environmental Protection Agency
ERPG Emergency Response Planning Guidelines
ERT Electronic Reporting Tool
ft Feet
ft\3\ Cubic Feet
FTE Full-Time Equivalents
HAP Hazardous Air Pollutants
HEM-3 Human Exposure Model version 3
HI Hazard Index
HON Hazardous Organic National Emissions Standards for Hazardous Air
Pollutants
HQ Hazard Quotient
hr Hour
HVLC High Volume Low Concentration
ICR Information Collection Request
IRIS Integrated Risk Information System
ISIS Industrial Sectors Integrated Solution Model
km Kilometer
LAER Lowest Achievable Emission Rate
lb Pounds
LVHC Low Volume High Concentration
m\3\ Cubic Meters
MACT Maximum Achievable Control Technology
MACT Code Code within the NEI used to identify processes included in
a source category
MEK Methyl Ethyl Ketone
mg Milligrams
MIR Maximum Individual Risk
MRL Minimal Risk Level
NAC/AEGL National Advisory Committee for Acute Exposure Guideline
Levels for Hazardous Substances
NAICS North American Industry Classification System
NAS National Academy of Sciences
NATA National Air Toxics Assessment
NCASI National Council for Air and Stream Improvement
NEI National Emissions Inventory
NESHAP National Emissions Standards for Hazardous Air Pollutants
NIOSH National Institutes for Occupational Safety and Health
NRC National Research Council
NSPS New Source Performance Standard
NTTAA National Technology Transfer and Advancement Act of 1995
O&M Operation and Maintenance
OAQPS EPA's Office of Air Quality Planning and Standards
ODTP Oven-Dried Tons of Pulp
OECA EPA's Office of Enforcement and Compliance Assurance
OMB Office of Management and Budget
PB-HAP Hazardous air pollutants known to be persistent and bio-
accumulative in the environment
POM Polycyclic Organic Matter
ppm Parts Per Million
ppmw Parts Per Million by Weight
PRA Paperwork Reduction Act
QA Quality Assurance
QC Quality Control
RACT Reasonably Available Control Technology
RBLC RACT/BACT/LAER Clearinghouse
REL Reference Exposure Level
RFA Regulatory Flexibility Act
RfC Reference Concentration
RfD Reference Dose
RTR Residual Risk and Technology Review
SAB Science Advisory Board
SBA Small Business Administration
SCC Source Classification Code
Sec Second
SISNOSE Significant Impact on a Substantial Number of Small Entities
SOP Standard Operating Procedures
SSM Startup, Shutdown, and Malfunction
TOSHI Target Organ-Specific Hazard Index
TPY Tons Per Year
TRI Toxics Release Inventory
TRIM Total Risk Integrated Modeling System
TRIM.FaTE Fate, Transport and Environmental Exposure module of EPA's
Total Risk Integrated Modeling System
TTN Technology Transfer Network
UF Uncertainty Factor
UMRA Unfunded Mandates Reform Act of 1995
URE Unit Risk Estimate
VCS Voluntary Consensus Standards
VOC Volatile Organic Compound
WWW Worldwide Web
[mu]g Micrograms
Organization of This Document
The information in this preamble is organized as follows:
I. General Information
A. What is the statutory authority for this action?
B. Does this action apply to me?
C. Where can I get a copy of this document and other related
information?
D. What should I consider as I prepare my comments for the EPA?
II. Background
A. What is this source category and how did the MACT standard
regulate its HAP emissions?
B. What data collection activities were conducted to support
this action?
III. Analyses Performed
A. How did we estimate risks posed by the source category?
B. How did we consider the risk results in making decisions for
this proposal?
C. How did we perform the technology review?
D. What other issues are we addressing in this proposal?
IV. Analytical Results and Proposed Decisions
A. What are the results of the risk assessments?
B. What are our proposed decisions regarding risk acceptability
and ample margin of safety?
C. What are the results and proposed decisions based on our
technology review?
D. What other actions are we proposing?
E. Compliance Dates
V. Summary of Cost, Environmental and Economic Impacts
A. What are the affected sources?
B. What are the air quality impacts?
C. What are the cost impacts?
D. What are the economic impacts?
E. What are the benefits?
VI. Request for Comments
VII. Submitting Data Corrections
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
[[Page 81330]]
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions Concerning Regulations That
Significantly Affect Energy Supply, Distribution or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
I. General Information
A. What is the statutory authority for this action?
Section 112 of the CAA establishes a two-stage regulatory process
to address emissions of HAP from stationary sources. In the first
stage, after the EPA has identified categories of sources emitting one
or more of the HAP listed in CAA section 112(b), CAA section 112(d)
calls for us to promulgate NESHAP for those sources. ``Major sources''
are those that emit or have the potential to emit 10 tpy or more of a
single HAP or 25 tpy or more of any combination of HAP. For major
sources, these technology-based standards must reflect the maximum
degree of emissions reductions of HAP achievable (after considering
cost, energy requirements and nonair quality health and environmental
impacts) and are commonly referred to as MACT standards.
Maximum achievable control technology standards must require the
maximum degree of emissions reduction through the application of
measures, processes, methods, systems or techniques, including, but not
limited to, measures that: (A) Reduce the volume of or eliminate
pollutants through process changes, substitution of materials or other
modifications; (B) enclose systems or processes to eliminate emissions;
(C) capture or treat pollutants when released from a process, stack,
storage or fugitive emissions point; (D) are design, equipment, work
practice or operational standards (including requirements for operator
training or certification); or (E) are a combination of the above (CAA
section 112(d)(2)(A)-(E)). The MACT standards may take the form of
design, equipment, work practice or operational standards where the EPA
first determines either that: (A) A pollutant cannot be emitted through
a conveyance designed and constructed to emit or capture the
pollutants, or that any requirement for, or use of, such a conveyance
would be inconsistent with law; or (B) the application of measurement
methodology to a particular class of sources is not practicable due to
technological and economic limitations (CAA sections 112(h)(1)-(2)).
The MACT ``floor'' is the minimum control level allowed for MACT
standards promulgated under CAA section 112(d)(3) and may not be based
on cost considerations. For new sources, the MACT floor cannot be less
stringent than the emission control that is achieved in practice by the
best-controlled similar source. The MACT floors for existing sources
can be less stringent than floors for new sources, but they cannot be
less stringent than the average emissions limitation achieved by the
best-performing 12 percent of existing sources in the category or
subcategory (or the best-performing five sources for categories or
subcategories with fewer than 30 sources). In developing MACT
standards, we must also consider control options that are more
stringent than the floor. We may establish standards more stringent
than the floor based on the consideration of the cost of achieving the
emissions reductions, any nonair quality health and environmental
impacts and energy requirements.
The EPA is then required to review these technology-based standards
and to revise them ``as necessary (taking into account developments in
practices, processes, and control technologies)'' no less frequently
than every 8 years, under CAA section 112(d)(6). In conducting this
review, the EPA is not obliged to completely recalculate the prior MACT
determination and, in particular, is not obligated to recalculate the
MACT floors. NRDC v. EPA, 529 F.3d 1077, 1084 (DC Cir., 2008).
The second stage in standard-setting focuses on reducing any
remaining ``residual'' risk according to CAA section 112(f). This
provision requires, first, that the EPA prepare a Report to Congress
discussing (among other things) methods of calculating the risks posed
(or potentially posed) by sources after implementation of the MACT
standards, the public health significance of those risks, and the EPA's
recommendations as to legislation regarding such remaining risk. The
EPA prepared and submitted this report (Residual Risk Report to
Congress, EPA-453/R-99-001) in March 1999. Congress did not act in
response to the report, thereby triggering the EPA's obligation under
CAA section 112(f)(2) to analyze and address residual risk.
Section 112(f)(2) of the CAA requires us to determine, for source
categories subject to certain MACT standards, whether those emissions
standards provide an ample margin of safety to protect public health.
If the MACT standards apply to a source category emitting a HAP that is
``classified as a known, probable, or possible human carcinogen do not
reduce lifetime excess cancer risks to the individual most exposed to
emissions from a source in the category or subcategory to less than one
in one million,'' the EPA must promulgate residual risk standards for
the source category (or subcategory) as necessary to provide an ample
margin of safety to protect public health (CAA section 112(f)(2)(A)).
This requirement is procedural. It mandates that the EPA establish CAA
section 112(f) residual risk standards if certain risk thresholds are
not satisfied but does not determine the level of those standards. NRDC
v. EPA, 529 F. 3d at 1083. The second sentence of CAA section 112(f)(2)
sets out the substantive requirements for residual risk standards:
Protection of public health with an ample margin of safety based on the
EPA's interpretation of this standard in effect at the time of the CAA
amendments. Id. This refers to the Benzene NESHAP, described in the
next paragraph. The EPA may adopt residual risk standards equal to
existing MACT standards (or to standards adopted after the technology
review required by CAA section 112(d)(6)) if the EPA determines that
the existing standards are sufficiently protective, even if (for
example) excess cancer risks to a most exposed individual are not
reduced to less than 1 in 1 million. Id. at 1083, (``If EPA determines
that the existing technology-based standards provide an `ample margin
of safety,' then the Agency is free to readopt those standards during
the residual risk rulemaking''). Section 112(f)(2) of the CAA further
authorizes the EPA to adopt more stringent standards, if necessary,
``to prevent, taking into consideration costs, energy, safety and other
relevant factors, an adverse environmental effect.'' \1\
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\1\ ``Adverse environmental effect'' is defined in CAA section
112(a)(7) as any significant and widespread adverse effect, which
may be reasonably anticipated to wildlife, aquatic life, or natural
resources, including adverse impacts on populations of endangered or
threatened species or significant degradation of environmental
qualities over broad areas.
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As just noted, CAA section 112(f)(2) expressly preserves our use of
the two-step process for developing standards to address any residual
risk and our
[[Page 81331]]
interpretation of ``ample margin of safety'' developed in the National
Emission Standards for Hazardous Air Pollutants: Benzene Emissions from
Maleic Anhydride Plants, Ethylbenzene/Styrene Plants, Benzene Storage
Vessels, Benzene Equipment Leaks, and Coke By-Product Recovery Plants
(Benzene NESHAP) (54 FR 38044, September 14, 1989). The first step in
this process is the determination of acceptable risk. The second step
provides for an ample margin of safety to protect public health, which
is the level at which the standards are set (unless a more stringent
standard is required to prevent, taking into consideration costs,
energy, safety and other relevant factors, an adverse environmental
effect).
The terms ``individual most exposed,'' ``acceptable level,'' and
``ample margin of safety'' are not specifically defined in the CAA.
However, CAA section 112(f)(2)(B) preserves the EPA's interpretation
set out in the Benzene NESHAP, and the Court in NRDC v. EPA concluded
that the EPA's interpretation of CAA section 112(f)(2) is a reasonable
one. See NRDC v. EPA, 529 F.3d at 1083 (D. C. Cir. 2008), which says
``[S]ubsection 112(f)(2)(B) expressly incorporates EPA's interpretation
of the Clean Air Act from the Benzene standard, complete with a
citation to the Federal Register.'' See also, A Legislative History of
the Clean Air Act Amendments of 1990, volume 1, p. 877 (Senate debate
on Conference Report). We also notified Congress in the Residual Risk
Report to Congress that we intended to use the Benzene NESHAP approach
in making CAA section 112(f) residual risk determinations (EPA-453/R-
99-001, p. ES-11).
In the Benzene NESHAP, we stated as an overall objective:
* * * in protecting public health with an ample margin of safety, we
strive to provide maximum feasible protection against risks to
health from hazardous air pollutants by: (1) protecting the greatest
number of persons possible to an individual lifetime risk level no
higher than approximately 1 in 1 million; and (2) limiting to no
higher than approximately 1 in 10 thousand [i.e., 100 in 1 million]
the estimated risk that a person living near a facility would have
if he or she were exposed to the maximum pollutant concentrations
for 70 years.
The agency also stated that, ``The EPA also considers incidence
(the number of persons estimated to suffer cancer or other serious
health effects as a result of exposure to a pollutant) to be an
important measure of the health risk to the exposed population.
Incidence measures the extent of health risks to the exposed population
as a whole, by providing an estimate of the occurrence of cancer or
other serious health effects in the exposed population.'' The agency
went on to conclude that ``estimated incidence would be weighed along
with other health risk information in judging acceptability.'' As
explained more fully in our Residual Risk Report to Congress, the EPA
does not define ``rigid line[s] of acceptability,'' but rather
considers broad objectives to be weighed with a series of other health
measures and factors (EPA-453/R-99-001, p. ES-11). The determination of
what represents an ``acceptable'' risk is based on a judgment of ``what
risks are acceptable in the world in which we live'' (Residual Risk
Report to Congress, p. 178, quoting the D.C. Circuit's en banc Vinyl
Chloride decision at 824 F.2d 1165) recognizing that our world is not
risk-free.
In the Benzene NESHAP, we stated that ``EPA will generally presume
that if the risk to [the maximum exposed] individual is no higher than
approximately 1 in 10 thousand, that risk level is considered
acceptable.'' 54 FR 38045. We discussed the maximum individual lifetime
cancer risk as being ``the estimated risk that a person living near a
plant would have if he or she were exposed to the maximum pollutant
concentrations for 70 years.'' Id. We explained that this measure of
risk ``is an estimate of the upper bound of risk based on conservative
assumptions, such as continuous exposure for 24 hours per day for 70
years.'' Id. We acknowledge that maximum individual lifetime cancer
risk ``does not necessarily reflect the true risk, but displays a
conservative risk level which is an upper-bound that is unlikely to be
exceeded.'' Id.
Understanding that there are both benefits and limitations to using
maximum individual lifetime cancer risk as a metric for determining
acceptability, we acknowledged in the 1989 Benzene NESHAP that
``consideration of maximum individual risk * * * must take into account
the strengths and weaknesses of this measure of risk.'' Id.
Consequently, the presumptive risk level of 100 in 1 million (1 in 10
thousand) provides a benchmark for judging the acceptability of maximum
individual lifetime cancer risk, but does not constitute a rigid line
for making that determination. Id. Further, in the Benzene NESHAP, we
noted that, ``Particular attention will also be accorded to the weight
of evidence presented in the risk assessment of potential
carcinogenicity or other health effects of a pollutant. While the same
numerical risk may be estimated for an exposure to a pollutant judged
to be a known human carcinogen, and to a pollutant considered a
possible human carcinogen based on limited animal test data, the same
weight cannot be accorded to both estimates. In considering the
potential public health effects of the two pollutants, the Agency's
judgment on acceptability, including the MIR, will be influenced by the
greater weight of evidence for the known human carcinogen.'' Id. at
38046.
The agency also explained in the 1989 Benzene NESHAP the following:
``In establishing a presumption for MIR [maximum individual cancer
risk], rather than a rigid line for acceptability, the Agency intends
to weigh it with a series of other health measures and factors. These
include the overall incidence of cancer or other serious health effects
within the exposed population, the numbers of persons exposed within
each individual lifetime risk range and associated incidence within,
typically, a 50 km exposure radius around facilities, the science
policy assumptions and estimation uncertainties associated with the
risk measures, weight of the scientific evidence for human health
effects, other quantified or unquantified health effects, effects due
to co-location of facilities, and co-emission of pollutants.'' Id.
In some cases, these health measures and factors taken together may
provide a more realistic description of the magnitude of risk in the
exposed population than that provided by maximum individual lifetime
cancer risk alone. As explained in the Benzene NESHAP, ``[e]ven though
the risks judged ``acceptable'' by the EPA in the first step of the
Vinyl Chloride inquiry are already low, the second step of the inquiry,
determining an ``ample margin of safety,'' again includes consideration
of all of the health factors, and whether to reduce the risks even
further.'' Beyond that information, additional factors relating to the
appropriate level of control will also be considered, including costs
and economic impacts of controls, technological feasibility,
uncertainties, and any other relevant factors. Considering all of these
factors, the Agency will establish the standard at a level that
provides an ample margin of safety to protect the public health as
required by section 112.''
In NRDC v. EPA, 529 F.3d 1077, 1082 (D.C. Cir. 2008), the Court of
Appeals held that section 112(f)(2) ``incorporates EPA's
`interpretation' of the Clean Air Act from the Benzene Standard, and
the text of this provision draws no distinction between carcinogens and
non-carcinogens.'' Additionally, the
[[Page 81332]]
Court held there is nothing on the face of the statute that limits the
agency's section 112(f) assessment of risk to carcinogens. Id. at 1081-
82. In the NRDC case, the petitioners argued, among other things, that
section 112(f)(2)(B) applied only to non-carcinogens. The D.C. Circuit
rejected this position, holding that the text of that provision ``draws
no distinction between carcinogens and non-carcinogens,'' Id., and that
Congress' incorporation of the Benzene standard applies equally to
carcinogens and non-carcinogens.
In the ample margin of safety decision process, the agency again
considers all of the health risks and other health information
considered in the first step. Beyond that information, additional
factors relating to the appropriate level of control will also be
considered, including costs and economic impacts of controls,
technological feasibility, uncertainties and any other relevant
factors. Considering all of these factors, the agency will establish
the standard at a level that provides an ample margin of safety to
protect the public health, as required by CAA section 112(f). 54 FR
38046.
B. Does this action apply to me?
The regulated industrial source category that is the subject of
this proposal is listed in Table 2 of this preamble. Table 2 of this
preamble is not intended to be exhaustive, but rather provides a guide
for readers regarding the entities likely to be affected by this
proposed action. This standard, and any changes considered in this
rulemaking, would be directly applicable to affected sources. Federal,
state, local and tribal government entities are not affected by this
proposed action. As defined in the Source Category Listing Report
published by the EPA in 1992, the pulp and paper production source
category includes any facility engaged in the production of pulp and/or
paper. This category includes, but is not limited to, integrated mills
(where pulp and paper or paperboard are manufactured on-site), non-
integrated mills (where either pulp or paper/paperboard are
manufactured on-site, but not both), and secondary fiber mills (where
waste paper is used as the primary raw material). Examples of pulping
methods include kraft, soda, sulfite, semi-chemical and mechanical.
Table 2--NESHAP and Industrial Source Categories Affected By This
Proposed Action
------------------------------------------------------------------------
NAICS code MACT code
Source category NESHAP \1\ \2\
------------------------------------------------------------------------
Pulp and Paper............... Pulp and Paper. 322 1626-1
------------------------------------------------------------------------
\1\ North American Industry Classification System.
\2\ Maximum Achievable Control Technology.
C. Where can I get a copy of this document and other related
information?
In addition to being available in the docket, an electronic copy of
this proposal will also be available on the WWW through the EPA's TNN.
Following signature by the EPA Administrator, a copy of this proposed
action will be posted on the TTN's policy and guidance page for newly
proposed or promulgated rules at the following address: https://www.epa.gov/ttn/atw/rrisk/rtrpg.html. The TTN provides information and
technology exchange in various areas of air pollution control.
Additional information is available on the RTR Web page at https://www.epa.gov/ttn/atw/rrisk/rtrpg.html. This information includes source
category descriptions and detailed emissions estimates and other data
that were used as inputs to the risk assessments.
D. What should I consider as I prepare my comments for the EPA?
Submitting CBI. Do not submit information containing CBI to the EPA
through https://www.regulations.gov or email. Clearly mark the part or
all of the information that you claim to be CBI. For CBI information on
a disk or CD ROM that you mail to the EPA, mark the outside of the disk
or CD ROM as CBI and then identify electronically within the disk or CD
ROM the specific information that is claimed as CBI. In addition to one
complete version of the comment that includes information claimed as
CBI, a copy of the comment that does not contain the information
claimed as CBI must be submitted for inclusion in the public docket. If
you submit a CD ROM or disk that does not contain CBI, mark the outside
of the disk or CD ROM clearly that it does not contain CBI. Information
not marked as CBI will be included in the public docket and the EPA's
electronic public docket without prior notice. Information marked as
CBI will not be disclosed except in accordance with procedures set
forth in 40 CFR part 2. Send or deliver information identified as CBI
only to the following address: Roberto Morales, OAQPS Document Control
Officer (C404-02), Office of Air Quality Planning and Standards, U.S.
Environmental Protection Agency, Research Triangle Park, North Carolina
27711, Attention Docket ID Number EPA-HQ-OAR-2007-0544.
II. Background
A. What is this source category and how did the MACT standard regulate
its HAP emissions?
The pulp and paper production source category includes any facility
engaged in the production of pulp and/or paper. This category includes,
but is not limited to, integrated mills (where pulp and paper or
paperboard are manufactured on-site), non-integrated mills (where
paper/paperboard or pulp are manufactured, but not both), and secondary
fiber mills (where waste paper is used as the primary raw material).
The pulp and paper production process includes operations such as
pulping, bleaching, chemical recovery and papermaking. Different
pulping processes are used, including chemical processes (kraft, soda,
sulfite and semi-chemical) and mechanical, secondary fiber or non-wood
processes.
The NESHAP from the pulp and paper Industry (or MACT rule) was
promulgated on April 15, 1998 (63 FR 18504) and codified at 40 CFR part
63, subpart S. As promulgated in 1998, the subpart S MACT standard
applies to major sources of HAP emissions from the pulp production
areas (e.g., pulping system vents, pulping process condensates) at
chemical, mechanical, secondary fiber and non-wood pulp mills;
bleaching operations; and papermaking systems. A separate NESHAP (40
CFR part 63, subpart MM) applicable to chemical recovery processes at
kraft, soda, sulfite and stand-alone semi-chemical pulp mills was
promulgated on January 12, 2001 (66 FR 3180). However, only subpart S
is undergoing the RTR that is the subject of this proposal.
This is the first in a series of rules being developed for the pulp
and paper
[[Page 81333]]
industrial sector. This proposal includes both a risk assessment and a
technology review of the emission sources in subpart S, as well as a
risk assessment of the whole facility. The whole facility risk
assessment includes emissions from the other sources in the pulp and
paper industrial sector: boilers covered under subpart DDDDD, chemical
recovery systems covered under subpart MM, various sources covered
under the NSPS for kraft pulp mills (40 CFR part 60, subpart BB), and
other applicable MACT emission sources. In the future, we will also
conduct a RTR for the subpart MM category, as well as a review of the
kraft pulp mills NSPS, subpart BB. When we conduct the RTR for the
subpart MM rule, subpart S emission sources will be included in the
facilitywide risk assessment.
According to results of the EPA's 2011 pulp and paper ICR, there
are a total of 171 major sources in the United States including:
111 major sources that carry out chemical wood pulping
(kraft, sulfite, soda or semi-chemical);
33 major sources that carry out mechanical, groundwood,
secondary fiber and non-wood pulping (without chemical wood pulping);
94 major sources that perform bleaching; and
156 major sources that manufacture paper or paperboard
products.
Facilities in the category perform at least one of several pulp and
papermaking operations (e.g., chemical pulping, bleaching and
papermaking; pulping and unbleached papermaking; etc.).
Subpart S includes numerical emission limits for pulping system
vents, pulping process condensates and bleaching system vents. The
control systems used by most mills to meet the subpart S emission
limits are as follows:
Pulping system vents--thermal oxidizers, power boilers,
lime kilns and recovery furnaces.
Pulping process condensates--steam strippers, biological
treatment and recycling to pulping equipment that is controlled by the
pulping vent standards.
Bleaching system vents--caustic scrubbers (for chlorinated
HAPs, other than chloroform) and process modifications to eliminate the
use of chlorine and hypochlorite.
Facilities that only purchase pre-consumer paper or paperboard
stock products and convert them into other products (i.e., converting
operations) are not part of the subpart S source category and are not
affected by today's action.
B. What data collection activities were conducted to support this
action?
In February 2011, the EPA issued an ICR, pursuant to CAA section
114, to United States pulp and paper manufacturers to gather
information needed to conduct the regulatory reviews required under CAA
sections 112(d)(6) and (f)(2). The ICR was divided into three parts,
with each part due on a different date. Part I requested available
information regarding subpart S process equipment, control devices,
pulp and paper production, bleaching and other aspects of facility
operations, to support the subpart S technology review and a later
review of the kraft pulp mills NSPS under 40 CFR part 60, subpart BB.
Part II requested updated inventory data for all pulp and paper
emission sources, to support the residual risk assessment for the pulp
and paper sector (including subparts S and MM) and to both supplement
and update the NEI for the source category. Part III requested
available information on subpart MM chemical recovery combustion
equipment, control devices, etc., to support a later subpart MM
technology review (which will include a source category and a
facilitywide risk assessment) and a subpart BB NSPS review. Responses
to all three parts of the ICR have been received and data from the
first two parts of the ICR have been compiled. The response rate for
the subpart S ICR was 100 percent.\2\
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\2\ Part II of the ICR will be available for download on the RTR
Web page at: https://www.epa.gov/ttn/atw/rrisk/rtrpg.html.
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III. Analyses Performed
In this section, we describe the analyses performed to support the
proposed decisions for the RTR for this source category.
A. How did we estimate risks posed by the source category?
The EPA conducted risk assessments that provided estimates of (1)
the MIR posed by the HAP emissions from the 171 pulp and paper mills in
the source category, (2) the distribution of cancer and noncancer risks
within the exposed populations, (3) the total cancer incidence, (4)
estimates of the maximum TOSHI for chronic exposures to HAP with the
potential to cause chronic noncancer health effects, (5) worst-case
screening estimates of HQ for acute exposures to HAP with the potential
to cause noncancer health effects, and (6) an evaluation of the
potential for adverse environmental effects. The risk assessments
consisted of seven primary steps, as discussed below.\3\ The methods
used to assess risks (as described in the seven primary steps below)
are consistent with those peer-reviewed by a panel of the EPA's SAB in
2009 and described in their peer review report issued in 2010; they are
also consistent with the key recommendations contained in that report.
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\3\ The docket for this rulemaking contains the following
document which provides more information on the risk assessment
inputs and models: Draft Residual Risk Assessment for Pulp and Paper
Source Category.A27DE2.
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1. Establishing the Nature and Magnitude of Actual Emissions and
Identifying the Emissions Release Characteristics
As discussed in section II.B of this preamble, we used data from
Part II of the pulp and paper ICR as the basis for the risk assessment.
Part II of the ICR, which concluded in June 2011, targeted facilities
that are major sources of HAP emissions and involved an update of pre-
populated NEI data spreadsheets (or creation of new NEI datasets). The
NEI is a database that contains information about sources that emit
criteria air pollutants, their precursors and HAP. The NEI database
includes estimates of actual annual air pollutant emissions from point
and volume sources; emission release characteristic data such as
emission release height, temperature, diameter, velocity and flow rate;
and location latitude/longitude coordinates.
The actual annual emissions data in the NEI database were based on
data from actual emissions tests and estimates of actual emissions
(based on emission factors) provided by subpart S sources surveyed in
Part II of the ICR. We received a comprehensive set of emissions test
data and emissions estimates that enabled us to conduct risk modeling
of detectable HAP emissions for all major source facilities in the pulp
and paper category.
Two substantial QA efforts were conducted on the Part II data in
order to create the modeling files needed for the residual risk
assessment, which included: (1) QA of the updated inventory
spreadsheets submitted by each mill prior to import into the compiled
database; and (2) QA and standardization of the compiled database.
We reviewed the NEI datasets to ensure that the major pulp and
paper processes and pollutants were included and properly identified,
to ensure that emissions from the various processes were allocated to
the correct source category (e.g., MACT code 1626-1), and to identify
emissions and other data anomalies that could affect risk
[[Page 81334]]
estimates. We also standardized the various codes (e.g., SCCs,
pollutant codes), eliminated duplicate records and checked geographic
coordinates. We reviewed emissions release parameters for data gaps and
errors, assigned the proper default parameters where necessary,
segregated the emission points into logical emission process groups and
ensured that fugitive release dimensions were specified or given
default values where necessary. We made changes based on available
information, including updated information voluntarily submitted by
pulp and paper mills.\4\
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\4\ For more information, see the memorandum in the docket
titled, Inputs to the Pulp and Paper Industry October 2011 Residual
Risk Modeling.
---------------------------------------------------------------------------
We assigned emissions process groups to distinguish between
processes with related SCCs. For mills with VOC emissions data but no
HAP emissions data, we developed HAP-to-VOC ratios to estimate HAP
emissions, using HAP and VOC emission factors provided by NCASI.\5\
However, as noted above, most emissions factors were based on actual
tests or actual tests conducted at similar sources (see NCASI Technical
Bulletin No. 973).\6\ Additionally, the largest HAP emission compound
in the category, methanol, at approximately 86 percent of the HAP in
the category, is required to be quantified in each compliance test
referenced in the standard. Consequently, the greatest proportion of
HAP emissions at each facility are based on emission factors derived
from actual source specific tests.
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\5\ Ibid.
\6\ A. Someshwar, NCASI. Compilation of ``Air Toxic'' and Total
Hydrocarbon Emissions Data for Pulp and Paper Mill Sources--A Second
Update. Technical Bulletin No. 973. February 2010.
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For purposes of risk modeling, we reviewed emissions data for
chromium, mercury, POM and glycol ether in order to properly speciate
emissions. Chromium emissions were speciated as hexavalent chromium
(chromium VI) and trivalent chromium (chromium III).\7\ Mercury
emissions were speciated as particulate divalent mercury, gaseous
divalent mercury and elemental gaseous mercury.\8\ Total POM emissions
were speciated differently for each emission unit type (e.g., gas- or
oil-fired paper machine dryers) based on the most common POM compounds
emitted from that unit (e.g., phenanthrene, fluorene, pyrene,
fluoranthene and/or 2-methylnaphthalene). We speciated all total glycol
ether records as 1,2-dimethoxyethane, since this pollutant represents
99 percent of all emissions reported under the glycol ether compounds
category from pulp and paper emission sources.\9\ Acrolein emissions
were removed from the subpart S modeling file due to uncertainty in the
emissions estimates.\10\
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\7\ For more information, see the memorandum in the docket
titled, Inputs to the Pulp and Paper Industry October 2011 Residual
Risk Modeling.
\8\ Ibid.
\9\ Ibid.
\10\ Ibid.
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In addition, we reviewed facilitywide data included in the NEI
dataset from the EPA's TRI to ensure that combustion-related dioxin/
furan emissions were apportioned to the proper MACT code (0107 or 1626-
2). As expected, there were no dioxin/furan emissions data for subpart
S sources (MACT code 1626-1).\11\
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\11\ Ibid.A27DE2.
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The Part II NEI emissions dataset for the pulp and paper (subpart
S) source category shows 45,000 tpy of total HAP emissions from the 171
mills in the dataset. Methanol, acetaldehyde, cresol/cresylic acid
(mixed isomers), phenol, chloroform, formaldehyde, hydrochloric acid,
biphenyl, hexachloroethane, xylenes, propionaldehyde and 1,2,4-
trichlorobenzene account for the majority of the HAP emissions reported
for pulp and paper production (approximately 43,900 tpy, or 97
percent). The remaining 3 percent of the HAP, reported in lesser
quantities, include acetophenone, benzene, cumene, carbon disulfide,
chlorine, methyl isobutyl ketone, methylene chloride (dichloromethane),
naphthalene, styrene, tetrachloroethylene (perchloroethylene), toluene,
trichloroethylene and 56 others. Methanol, which accounts for about 86
percent of the total HAP mass emissions, is the HAP emitted by the
largest number of facilities, with methanol reported for 166 out of 171
mills in the dataset (or 97 percent). Emissions of the following PB-HAP
were identified in the emissions inventory for the pulp and paper
(subpart S) source category: cadmium compounds, lead compounds, mercury
compounds and POM. As a standard practice in conducting risk
assessments for source categories, the EPA conducts a two-step process:
(1) Are PB-HAPs being emitted; and (2) are they being released above
screening thresholds? If these releases are significantly above the
screening thresholds and the EPA has detailed information on the
releases and the site, a complete multipathway analysis of the site
will be conducted to estimate pathway risks for the source category.
Further information about the analysis performed for this category
follows in section III.B.4 of this preamble.
2. Establishing the Relationship Between Actual Emissions and MACT-
Allowable Emissions Levels
The available emissions data in the Part II NEI emissions dataset
include estimates of the mass of HAP actually emitted during the 2009
time period covered under the survey. These ``actual'' emissions levels
are often lower than the emissions levels that a facility might be
allowed to emit and still comply with the MACT standards. The emissions
levels allowed to be emitted by the MACT standards are referred to as
the ``MACT-allowable'' emissions levels. These represent the highest
emissions levels that could be emitted by the facility without
violating the MACT standards.
We discussed the use of both MACT-allowable and actual emissions in
the final Coke Oven Batteries residual risk rule (70 FR 19998-19999,
April 15, 2005) and in the proposed and final HON residual risk rules
(71 FR 34428, June 14, 2006, and 71 FR 76609, December 21, 2006,
respectively). In those previous actions, we noted that assessing the
risks at the MACT-allowable level is inherently reasonable since these
risks reflect the maximum level at which sources could emit while still
complying with the MACT standards. However, we also explained that it
is reasonable to consider actual emissions, where such data are
available, in both steps of the risk analysis, in accordance with the
Benzene NESHAP (54 FR 38044, September 14, 1989). It is reasonable to
consider actual emissions because sources typically seek to perform
better than required by emissions standards to provide an operational
cushion to accommodate the variability in manufacturing processes and
control device performance. Facilities' actual emissions may also be
significantly lower than MACT-allowable emissions for other reasons
such as state requirements, better performance of control devices than
required by the MACT standards or reduced production.
As described earlier in this section, actual emissions were based
on the Part II NEI emissions dataset. To estimate emissions at the
MACT-allowable level, we developed a ratio of MACT-allowable to actual
emissions for each source type for the facilities in the source
category. This ratio is based on the level of control required by the
subpart S MACT standards compared to the level of reported actual
emissions and available information from the Part I survey on the level
of control achieved by the emissions controls in use. For example, if
survey data indicated that
[[Page 81335]]
an emission point type was being controlled by 92 percent, while the
MACT standard required only 87 percent control, we would estimate that
MACT-allowable emissions from that emission point type could be as much
as 1.6 times higher (13 percent allowable emissions compared with 8
percent actually emitted), and the ratio of MACT-allowable to actual
would be 1.6:1 for this emission point type.\12\
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\12\ Ibid.
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After developing these ratios for each emission point type in this
source category, we next applied these ratios on an emission process
unit basis to the Part II actual emissions data to obtain risk
estimates based on MACT-allowable emissions.\13\
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\13\ Ibid.
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3. Conducting Dispersion Modeling, Determining Inhalation Exposures and
Estimating Individual and Population Inhalation Risks
Both long-term and short-term inhalation exposure concentrations
and health risks from the source category addressed in this proposal
were estimated using the HEM-3 human exposure model. The HEM-3 performs
three of the primary risk assessment activities listed above: (1)
Conducting dispersion modeling to estimate the concentrations of HAP in
ambient air, (2) estimating long-term and short-term inhalation
exposures to individuals residing within 50 km of the modeled sources,
and (3) estimating individual and population-level inhalation risks
using the exposure estimates and quantitative dose-response
information.
The dispersion model used by HEM-3 is AERMOD, which is one of the
EPA's preferred models for assessing pollutant concentrations from
industrial facilities.\14\ To perform the dispersion modeling and to
develop the preliminary risk estimates, HEM-3 draws on three data
libraries. The first is a library of meteorological data, which is used
for dispersion calculations. This library includes 1 year of hourly
surface and upper air observations for 130 meteorological stations,
selected to provide coverage of the United States and Puerto Rico. A
second library of United States Census Bureau census block \15\
internal point locations and populations provides the basis of human
exposure calculations based on the year 2000 U.S. Census. In addition,
for each census block, the census library includes the elevation and
controlling hill height which are also used in dispersion calculations.
A third library of pollutant unit risk factors and other health
benchmarks is used to estimate health risks. These risk factors and
health benchmarks are the latest values recommended by the EPA for HAP
and other toxic air pollutants. These values are available at https://www.epa.gov/ttn/atw/toxsource/summary.html and are discussed in more
detail later in this section.
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\14\ U.S. EPA. Revision to the Guideline on Air Quality Models:
Adoption of a Preferred General Purpose (Flat and Complex Terrain)
Dispersion Model and Other Revisions (70 FR 68218, November 9,
2005).
\15\ A census block is generally the smallest geographic area
for which census statistics are tabulated.
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In developing the risk assessment for chronic exposures, we used
the estimated annual average ambient air concentration of each of the
HAP emitted by each source for which we have emissions data in the
source category. The air concentrations at each nearby census block
centroid were primarily used as a surrogate for the chronic inhalation
exposure concentration for all the people who reside in that census
block. There were two exceptions to this. In those cases where we
identified census block centroids which were located on-site, these
centroids were re-assigned to a nearby residential location. In those
cases where nearby census blocks were abnormally large, additional
residential receptors were placed within those census blocks at
observable residences to ensure an adequate representation of chronic
risks to the nearby residences. We calculated the MIR for each facility
as the cancer risk associated with a continuous lifetime (24 hours per
day, 7 days per week and 52 weeks per year for a 70-year period)
exposure to the maximum concentration at the centroid of an inhabited
census block. Individual cancer risks were calculated by multiplying
the estimated lifetime exposure to the ambient concentration of each of
the HAP (in micrograms per cubic meter) by its URE, which is an upper
bound estimate of an individual's probability of contracting cancer
over a lifetime of exposure to a concentration of 1 microgram of the
pollutant per cubic meter of air. In general, for residual risk
assessments, we use URE values from the EPA's IRIS.\16\ For
carcinogenic pollutants without the EPA IRIS values, we look to other
reputable sources of cancer dose-response values, often using CalEPA
URE values, where available. In cases where new, scientifically
credible dose-response values have been developed in a manner
consistent with EPA guidelines and have undergone a peer review process
similar to that used by the EPA, we may use such dose-response values
in place of, or in addition to, other values, if appropriate.
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\16\ The IRIS information is available at https://www.epa.gov/IRIS.
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In 2004, the EPA determined that the CIIT cancer dose-response
value for formaldehyde (5.5 x 10-9 per [mu]g/m\3\) was based
on better science than the IRIS dose-response value (1.3 x
10-5 per [mu]g/m\3\), and we switched from using the IRIS
value to the CIIT value in risk assessments supporting regulatory
actions. Based on subsequent published research, however, the EPA
changed its determination regarding the CIIT model, and, in 2010, the
EPA returned to using the 1991 IRIS value. The NAS completed its review
of the EPA's draft assessment in April of 2011 (https://www.nap.edu/catalog.php?record id=13142), and the EPA has been working on revising
the formaldehyde assessment. The EPA will follow the NAS Report
recommendations and will present results obtained by implementing the
BBDR model for formaldehyde. The EPA will compare these estimates with
those currently presented in the External Review draft of the
assessment and will discuss their strengths and weaknesses. As
recommended by the NAS committee, appropriate sensitivity and
uncertainty analyses will be an integral component of implementing the
BBDR model. The draft IRIS assessment will be revised in response to
the NAS peer review and public comments and the final assessment will
be posted on the IRIS database. In the interim, we will present
findings using the 1991 IRIS value as a primary estimate and may also
consider other information as the science evolves.
We note here that POM, a carcinogenic HAP with a mutagenic mode of
action, is emitted by some of the facilities in this category.\17\ For
this compound,\18\ the ADAF described in the EPA's Supplemental
Guidance for Assessing Susceptibility from Early-Life Exposure to
Carcinogens \19\ were applied. This adjustment has the effect of
increasing the estimated lifetime risks for this pollutant by a factor
of 1.6. In addition, although only a small fraction
[[Page 81336]]
of the total POM emissions were not reported as individual compounds,
the EPA expresses carcinogenic potency for compounds in this group in
terms of benzo[a]pyrene equivalence, based on evidence that
carcinogenic POM has the same mutagenic mechanism of action as does
benzo[a]pyrene. For this reason, the EPA's Science Policy Council \20\
recommends applying the Supplemental Guidance to all carcinogenic
polycyclic aromatic hydrocarbons for which risk estimates are based on
relative potency. Accordingly, we have applied the ADAF to the
benzo[a]pyrene equivalent portion of all POM mixtures.
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\17\ U.S. EPA, 2006. Performing risk assessments that include
carcinogens described in the Supplemental Guidance as having a
mutagenic mode of action. Science Policy Council Cancer Guidelines
Implementation Work Group Communication II: Memo from W.H. Farland,
dated June 14, 2006.
\18\ See the Risk Assessment for Source Categories document
available in the docket for a list of HAP with a mutagenic mode of
action.
\19\ U.S. EPA, 2005. Supplemental Guidance for Assessing Early-
Life Exposure to Carcinogens. EPA/630/R-03/003F. https://www.epa.gov/ttn/atw/childrens_supplement_final.pdf.
\20\ U.S. EPA, 2006. Science Policy Council Cancer Guidelines
Implementation Workgroup Communication II: Memo from W.H. Farland,
dated June 14, 2006.
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Incremental individual lifetime cancer risks associated with
emissions from the source category were estimated as the sum of the
risks for each of the carcinogenic HAP (including those classified as
carcinogenic to humans, likely to be carcinogenic to humans and
suggestive evidence of carcinogenic potential \21\) emitted by the
modeled source. Cancer incidence and the distribution of individual
cancer risks for the population within 50 km of the source were also
estimated for the source category as part of these assessments by
summing individual risks. A distance of 50 km is consistent with both
the analysis supporting the 1989 Benzene NESHAP (54 FR 38044) and the
limitations of Gaussian dispersion models, including AERMOD.
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\21\ These classifications also coincide with the terms ``known
carcinogen, probable carcinogen, and possible carcinogen,''
respectively, which are the terms advocated in the EPA's previous
Guidelines for Carcinogen Risk Assessment, published in 1986 (51 FR
33992, September 24, 1986). Summing the risks of these individual
compounds to obtain the cumulative cancer risks is an approach that
was recommended by the EPA's SAB in their 2002 peer review of EPA's
NATA titled, NATA--Evaluating the National-scale Air Toxics
Assessment 1996 Data--an SAB Advisory, available at: https://
yosemite.epa.gov/sab/sabproduct.nsf/
214C6E915BB04E14852570CA007A682C/$File/ecadv02001.pdf.
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To assess risk of noncancer health effects from chronic exposures,
we summed the HQ for each of the HAP that affects a common target organ
system to obtain the HI for that target organ system (or TOSHI). The HQ
is the estimated exposure divided by the chronic reference value, which
is either the EPA RfC, defined as ``an estimate (with uncertainty
spanning perhaps an order of magnitude) of a continuous inhalation
exposure to the human population (including sensitive subgroups) that
is likely to be without an appreciable risk of deleterious effects
during a lifetime,'' or, in cases where a RfC is not available, the
ATSDR chronic MRL or the CalEPA Chronic REL. The REL is defined as
``the concentration level at or below which no adverse health effects
are anticipated for a specified exposure duration.'' As noted above, in
cases where new, scien