Federal Plan Requirements for Hospital/Medical/Infectious Waste Incinerators Constructed on or Before December 1, 2008 and Standards of Performance for New Stationary Sources, 24272-24299 [2012-9093]
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24272
Federal Register / Vol. 77, No. 78 / Monday, April 23, 2012 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 60 and 62
[EPA–HQ–OAR–2011–0405 and EPA–HQ–
OAR–2006–0534; FRL–9660–1]
RIN 2060–AR11
Federal Plan Requirements for
Hospital/Medical/Infectious Waste
Incinerators Constructed on or Before
December 1, 2008 and Standards of
Performance for New Stationary
Sources
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
On October 6, 2009, the EPA
adopted amendments to the September
15, 1997, new source performance
standards and emissions guidelines for
hospital/medical/infectious waste
incinerators. The amendments were
developed in response to the March 2,
1999, remand of the 1997 hospital/
medical/infectious waste incinerators
regulations by the U.S. Court of Appeals
for the District of Columbia Circuit (the
Court), which requested further
explanation of the EPA’s reasoning in
determining the minimum regulatory
emission standards for new and existing
hospital/medical/infectious waste
incinerators. Today’s action proposes
amendments to the hospital/medical/
infectious waste incinerators federal
plan to implement the amended
emission guidelines adopted on October
6, 2009, for those states that do not have
an approved revised/new state plan
implementing the emission guidelines,
as amended, in place by October 6,
2011. Today’s action also proposes to
amend the new source performance
standards to better reflect our original
intent in the October 6, 2009, final rule
in eliminating an exemption during
startup, shutdown and malfunction
periods from the requirement to comply
with standards at all times.
DATES: Comments. Comments must be
received on or before June 7, 2012.
Because of the need to revise the
hospital/medical/infectious waste
incinerators (HMIWI) federal plan in a
timely manner, the EPA does not expect
to grant requests for extensions beyond
this date.
Public Hearing. If anyone contacts the
EPA by May 3, 2012 requesting to speak
at a public hearing, the EPA will hold
a public hearing on May 8, 2012.
ADDRESSES: Submit your comments on
the federal plan requirements proposed
rule, identified by Docket ID No. EPA–
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SUMMARY:
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HQ–OAR–2011–0405, by one of the
following methods:
• www.regulations.gov: Follow the
online instructions for submitting
comments.
• Email: Send your comments via
electronic mail to a-and-rDocketa@epa.gov, Attention Docket ID
No. EPA–HQ–OAR–2011–0405.
• Facsimile: Fax your comments to
(202) 566–9744, Attention Docket ID No.
EPA–HQ–OAR–2011–0405.
• Mail: Send your comments to: EPA
Docket Center (EPA/DC), Environmental
Protection Agency, Mailcode: 6102T,
1200 Pennsylvania Ave. NW.,
Washington, DC 20460, Attention
Docket ID No. EPA–HQ–OAR–2011–
0405. Please include a total of two
copies. We request that a separate copy
also be sent to the contact person
identified below (see FOR FURTHER
INFORMATION CONTACT).
• Hand Delivery: Deliver your
comments to: EPA Docket Center (EPA/
DC), EPA West Building, Room 3334,
1301 Constitution Ave. NW.,
Washington, DC 20004, Attention
Docket ID No. EPA–HQ–OAR–2011–
0405. Such deliveries are accepted only
during the 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.
Submit your comments on the new
source performance standards (NSPS)
final rule amendments, identified by
Docket ID No. EPA–HQ–OAR–2006–
0534, by one of the following methods:
• www.regulations.gov: Follow the
online instructions for submitting
comments.
• Email: Send your comments via
electronic mail to a-and-rDocket@epa.gov, Attention Docket ID
No. EPA–HQ–OAR–2006–0534.
• Facsimile: Fax your comments to
(202) 566–9744, Attention Docket ID No.
EPA–HQ–OAR–2006–0534.
• Mail: Send your comments to: EPA
Docket Center (EPA/DC), Environmental
Protection Agency, Mailcode: 6102T,
1200 Pennsylvania Ave. NW.,
Washington, DC 20460, Attention
Docket ID No. EPA–HQ–OAR–2006–
0534. Please include a total of two
copies. We request that a separate copy
also be sent to the contact person
identified below (see FOR FURTHER
INFORMATION CONTACT).
• Hand Delivery: Deliver your
comments to: EPA Docket Center (EPA/
DC), EPA West Building, Room 3334,
1301 Constitution Ave. NW.,
Washington, DC 20004, Attention
Docket ID No. EPA–HQ–OAR–2006–
0534. Such deliveries are accepted only
during the normal hours of operation
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(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.
Instructions: Direct your comments on
the federal plan requirements proposed
rule to Docket ID No. EPA–HQ–OAR–
2011–0405. Direct your comments on
the NSPS final rule amendments to
Docket ID No. EPA–HQ–OAR–2006–
0534. The EPA’s policy is that all
comments received will be included in
the public docket and may be made
available online at www.regulations.gov,
including any personal information
provided, unless the comment includes
information claimed to be confidential
business information (CBI) or other
information whose disclosure is
restricted by statute. Do not submit
information that you consider to be CBI
or otherwise protected through
www.regulations.gov or email. The
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 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.
Public Hearing: If a public hearing is
held, it will be held at the EPA’s
Campus located at 109 T.W. Alexander
Drive in Research Triangle Park, NC, or
an alternate site nearby. Contact Ms.
Joan Rogers at (919) 541–4487, to
request a hearing, to request to speak at
a public hearing, to determine if a
hearing will be held or to determine the
hearing location. If no one contacts the
EPA requesting to speak at a public
hearing concerning this proposed rule
by May 3, 2012, the hearing will be
cancelled without further notice.
Docket: The EPA has established a
docket for this action under Docket ID
No. EPA–HQ–OAR–2011–0405 and
Legacy Docket ID No. A–98–24. The
EPA has established a docket for the
HMIWI rules under Docket ID No. EPA–
HQ–OAR–2006–0534 and Legacy
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Docket ID No. A–91–61. All documents
in the docket are listed in the
www.regulations.gov index. Although
listed in the index, some information is
not publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy form. Publicly available docket
materials are available either
electronically at www.regulations.gov or
in hard copy at the EPA Docket Center
EPA/DC, 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.
FOR FURTHER INFORMATION CONTACT: Ms.
Amy Hambrick, Fuels and Incineration
Group, Sector Policies and Programs
Division (E143–05), Environmental
Protection Agency, Research Triangle
Park, North Carolina 27711; telephone
number: (919) 541–0964; fax number:
(919) 541–3470; email address:
hambrick.amy@epa.gov.
SUPPLEMENTARY INFORMATION:
Organization of This Document
The following outline is provided to
aid in locating information in this
preamble.
I. General Information
A. Does the proposed action apply to me?
B. What should I consider as I prepare my
comments?
II. Background Information
A. What is the regulatory development
background for this proposed rule?
B. What is the purpose of this proposed
rule?
C. What is the status of state plan
submittals?
III. Affected Facilities
A. What is a HMIWI?
B. Does the federal plan apply to me?
C. How do I determine if my HMIWI is
covered by an approved and effective
state plan?
IV. Elements of the HMIWI Federal Plan
A. Legal Authority and Enforcement
Mechanism
B. Inventory of Affected HMIWI
C. Inventory of Emissions
D. Emissions Limits
E. Compliance Schedules
F. Waste Management Plan Requirements
G. Testing, Monitoring, Recordkeeping and
Reporting Requirements
H. Operator Training and Qualification
Requirements
I. Record of Public Hearings
J. Progress Reports
V. Summary of Proposed Amendments to
HMIWI Federal Plan
A. What are the proposed amendments to
applicability?
B. What are the proposed amendments to
the emissions limits?
C. What are the proposed amendments to
the waste management plan
requirements?
D. What are the proposed amendments to
the inspection requirements?
E. What are the proposed amendments to
the performance testing and monitoring
requirements?
F. What are the proposed amendments to
the recordkeeping and reporting
requirements?
G. What are the proposed amendments to
the compliance schedule?
H. What are the other proposed
amendments?
VI. Summary of Proposed Amendments to
HMIWI New Source Performance
Standards
A. What are the proposed amendments to
the emissions limits?
VII. HMIWI That Have or Will Shutdown
A. Units That Plan To Close Rather Than
Comply
B. Inoperable Units
C. HMIWI That Have Shutdown
VIII. Implementation of the Federal Plan and
Delegation
A. Background of Authority
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B. Delegation of the Federal Plan and
Retained Authorities
C. Mechanisms for Transferring Authority
D. Implementing Authority
IX. Title V Operating Permits
A. Title V and Delegation of a Federal Plan
X. Statutory and Executive Order Reviews
A. Executive Orders 12866 and 13563:
Regulatory Planning and Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act
(UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution or Use
I. National Technology Transfer and
Advancement Act (NTTAA)
J. Executive Order 12898: Federal Actions
To Address Environmental Justice (EJ) in
Minority Populations and Low-Income
Populations
A redline version of the federal plan
regulatory language that incorporates
the changes in this action is available in
the docket.
I. General Information
A. Does the proposed action apply to
me?
Regulated Entities. If you own or
operate an existing HMIWI and are not
already subject to an EPA-approved and
effective state plan implementing the
October 6, 2009, revised emission
guidelines (EG), you may be covered by
this proposed action. Existing HMIWI
are those that commenced construction
on or before December 1, 2008, or
commenced modification on or before
April 6, 2010. Regulated categories and
entities include those listed in the
following table.
Category
NAICS * code
Examples of regulated entities
Industry ............................................
622110, 622310, 325411, 325412,
562213, 611310.
Federal Government .......................
622110, 541710, 928110 ..............
State/local/tribal Government ..........
622110, 562213, 611310 ..............
Private hospitals, other health care facilities, commercial research
laboratories, commercial waste disposal companies, private universities.
Federal hospitals, other health care facilities, public health service,
armed services.
State/local hospitals, other health care facilities, state/local waste disposal services, state universities.
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* North American Industry Classification System.
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely to be
affected by the proposed action. To
determine whether your facility would
be affected by the proposed action, you
should examine the applicability
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criteria in § 62.14400 of subpart HHH. If
you have any questions regarding the
applicability of the proposed action to a
particular entity, contact the person
listed in the preceding FOR FURTHER
INFORMATION CONTACT section.
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B. What should I consider as I prepare
my comments?
1. Submitting CBI
Do not submit information that you
consider to be CBI electronically
through www.regulations.gov or email.
Send or deliver information identified
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as CBI to only the following address:
Ms. Amy Hambrick, c/o OAQPS
Document Control Officer (Room C404–
02), U.S. EPA, Research Triangle Park,
NC 27711, Attention Docket ID No.
EPA–HQ–OAR–2011–0405. Clearly
mark the part or all of the information
that you claim to be CBI. For CBI 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. Information marked as
CBI will not be disclosed except in
accordance with procedures set forth in
40 CFR part 2.
If you have any questions about CBI
or the procedures for claiming CBI,
please consult the person identified in
the FOR FURTHER INFORMATION CONTACT
section.
2. Tips for Preparing Your Comments
When submitting comments,
remember to:
a. Identify the rulemaking by docket
number and other identifying
information (subject heading, Federal
Register date and page number).
b. Follow directions. The EPA may
ask you to respond to specific questions
or organize comments by referencing a
Code of Federal Regulations (CFR) part
or section number.
c. Explain why you agree or disagree;
suggest alternatives and substitute
language for your requested changes.
d. Describe any assumptions and
provide any technical information and/
or data that you used.
e. If you estimate potential costs or
burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced.
f. Provide specific examples to
illustrate your concerns and suggest
alternatives.
g. Explain your views as clearly as
possible, avoiding the use of profanity
or personal threats.
h. Make sure to submit your
comments by the comment period
deadline identified in the preceding
section titled DATES.
3. Docket
The docket number for the proposed
action regarding the HMIWI federal plan
(40 CFR part 62, subpart HHH) is Docket
ID No. EPA–HQ–OAR–2011–0405.
The docket number for the proposed
action regarding the NSPS (40 CFR part
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60, subpart Ec) is Docket ID No. EPA–
HQ–2006–0534.
4. Worldwide Web (WWW)
In addition to being available in the
docket, an electronic copy of the
proposed action and final rule
amendments is available on the WWW
through the Technology Transfer
Network Web site (TTN Web).
Following signature, the EPA posted a
copy of the proposed action and final
rule amendments on the TTN’s policy
and guidance page for newly proposed
or promulgated rules at www.epa.gov/
ttn/oarpg. The TTN provides
information and technology exchange in
various areas of air pollution control.
II. Background Information
A. What is the regulatory development
background for this proposed rule?
Section 129 of the Clean Air Act
(CAA) requires the EPA to develop
NSPS and EG for ‘‘units combusting
hospital waste, medical waste and
infectious waste.’’ On September 15,
1997, the EPA promulgated NSPS for
new HMIWI, codified at 40 CFR part 60
subpart Ec, and EG for existing HMIWI,
codified at 40 CFR part 60 subpart Ce.
(See 62 FR 48348.) The NSPS and EG
were designed to reduce air pollution
emitted from these HMIWI, including
cadmium (Cd), carbon monoxide (CO),
dioxins/furans (total, or 2,3,7,8Tetrachlorodibenzo-p-Dioxin toxic
equivalent (TEQ)), hydrogen chloride
(HCl), lead (Pb), mercury (Hg), nitrogen
oxides (NOX), opacity, particulate
matter (PM) and sulfur dioxide (SO2).
The 1997 NSPS applied to HMIWI for
which construction began after June 20,
1996, and required compliance within 6
months after startup or by March 16,
1998, whichever date was later. The
1997 EG applied to HMIWI for which
construction began on or before June 20,
1996, and required compliance no later
than September 15, 2002.
On March 2, 1999, in Sierra Club v.
EPA, 167 F.3d 658 (DC Cir. 1999), the
U.S. Court of Appeals for the DC Circuit
remanded the rule to the EPA for further
explanation regarding how the EPA
derived the maximum achievable
control technology (MACT) emissions
standards for HMIWI. The Court did not
vacate the regulations and the
regulations remained in effect during
the remand.
On July 6, 1999, the EPA proposed the
federal plan requirements for HMIWI
units constructed on or before June 20,
1996 (64 FR 36426). The federal plan
covered existing HMIWI located in
states that did not have an approved
state plan. Furthermore, the federal plan
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would implement and enforce the EG in
Indian country until tribes receive
approval to administer their own
programs. On August 15, 2000, the EPA
promulgated the federal plan
requirements for HMIWI units
constructed on or before June 20, 1996
(65 FR 49868). The 1997 HMIWI rules
were fully implemented by September
2002.
On February 6, 2007, the EPA
proposed a response to the HMIWI
remand. (See 72 FR 5510.) The proposed
response would have revised some of
the emissions limits in the NSPS and
EG. In addition to responding to the
Court’s remand, the EPA also proposed
its first 5-year review of the HMIWI
standards. Every 5 years after adopting
a MACT standard under section 129,
CAA section 129(a)(5) requires the EPA
to review and, if appropriate, revise the
incinerator standards.
On December 1, 2008, the EPA
reproposed its response to the Court’s
remand and 5-year review (73 FR
72962). The EPA’s decision to repropose
its response to the remand was based on
a number of factors, including further
rulings by the Court that were issued
after the 2007 proposal was published.
In addition, public comments regarding
the 2007 proposal raised issues that,
upon further consideration, the EPA
believed would best be addressed
through a reproposal. In response to
public comments on the 2008
reproposal, the EPA further revised the
standards and, on October 6, 2009,
published final revisions to the
September 1997 NSPS and EG to
respond to the remand and satisfy the
5-year review requirement under CAA
section 129(a)(5) (74 FR 51367). On
April 4, 2011, the EPA promulgated
amendments to the NSPS and EG,
correcting inadvertent drafting errors in
the NOX and SO2 emissions limits for
large HMIWI in the NSPS, which did
not correspond to our description of our
standard-setting process, correcting
erroneous cross-references in the
reporting and recordkeeping
requirements in the NSPS, clarifying
that compliance with the EG must be
expeditious if a compliance extension is
granted, correcting the inadvertent
omission of delegation of authority
provisions in the EG, correcting errors
in the units’ description for several
emissions limits in the EG and NSPS
and removing extraneous text from the
HCl emissions limit for large HMIWI in
the EG (76 FR 18407).
B. What is the purpose of this proposed
rule?
Section 129 of the CAA relies upon
states as the preferred implementers of
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EG for existing HMIWI. To make the
HMIWI EG enforceable, states with
existing HMIWI are to submit to the
EPA within 1 year following
promulgation of the EG state plans that
implement and enforce the amended
EG. For states that do not have an EPAapproved and effective plan, the EPA
must develop and implement a federal
plan within 2 years following
promulgation of the EG. The federal
plan is an interim measure to ensure
that emissions standards are
implemented until states assume their
role as the preferred implementers of
the EG. States without any existing
HMIWI are directed to submit to the
Administrator a letter of negative
declaration certifying that there are no
HMIWI in the state. No plan is required
for states that do not have any HMIWI.
Hospital/medical/infectious waste
incinerators located in states that
mistakenly submit a letter of negative
declaration would be subject to the
federal plan until a state plan becomes
approved and effective covering those
HMIWI.
State plans to implement the EG
adopted on September 15, 1997, are
already in place and the EPA adopted a
HMIWI federal plan on August 15, 2000,
(65 FR 49868) to implement the
September 15, 1997, EG for those
HMIWI not covered by an approved
state plan. Revised or new state plans to
implement the amended EG adopted on
October 6, 2009, are currently
undergoing EPA review. The deadline
for submitting revised/new state plans
for EPA review was October 6, 2010.
Today’s action proposes amendments
to the HMIWI federal plan to implement
the amended EG adopted on October 6,
2009, for those states that did not have
an approved revised/new state plan in
place by October 6, 2011. Sections 111
and 129 of the CAA and 40 CFR 60.27(c)
and (d) require the EPA to develop,
implement and enforce a federal plan to
cover existing HMIWI located in states
that do not have an approved plan
within 2 years after promulgation of the
EG (by October 6, 2011). The EPA is
proposing amendments to the HMIWI
federal plan now so that a promulgated
federal plan will go into place for any
such states, thus ensuring
implementation and enforcement of the
amended HMIWI EG.
The amended EG adopted on October
6, 2009, required improvements in
performance for 50 of the then operating
57 units.1 Incineration of hospital/
medical/infectious waste causes the
release of a wide array of air pollutants,
some of which exist in the waste feed
material and are released unchanged
during combustion, and some of which
are generated as a result of the
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combustion process itself. EPA
estimated that a total emissions
reduction of 393,000 pounds per year of
the regulated pollutants, of which acid
gases (i.e., hydrogen chloride and sulfur
dioxide) comprise about 62 percent,
particulate matter about 0.8 percent,
carbon monoxide about 0.3 percent,
nitrogen oxides about 37 percent, and
metals (i.e., lead, cadmium, and
mercury) and dioxins/furans about 0.2
percent. EPA also estimated that air
pollution control devices that would be
installed to comply with the 2009 rule
would also effectively reduce emissions
of pollutants such as polycyclic organic
matter (POM) and polychlorinated
biphenyls (PCBs). The 2009 final rule’s
revised waste management plan
provisions encourage segregation of
types of waste that lead to such
emissions, such as chlorinated plastics
and PCB-containing wastes.
C. What is the status of state plan
submittals?
Sections 111(d) and 129(b)(3) of the
CAA, as amended, 42 U.S.C. 7411(d)
and 7429(b)(3), authorize the EPA to
develop and implement a federal plan
for HMIWI located in states with no
approved and effective state plan. The
status of the state plans are outlined in
the below table.
STATUS OF STATE PLANS
Status
States
I. States with EPA–Approved State Plans ...............................................
II. Anticipated States to Submit Negative Declarations to the EPA ........
Florida.
New York; Puerto Rico; Pennsylvania; Mississippi; New Mexico-City of
Albuquerque; Oklahoma; South Dakota; District of Columbia.
Maine; Massachusetts; Vermont; Delaware; Virginia; Jefferson County
(Birmingham), Alabama; Kentucky; Jefferson County (Louisville),
Kentucky; Forsyth County (Winston-Salem), North Carolina; Buncombe County (Asheville), North Carolina; South Carolina; Philadelphia County; New Hampshire; Rhode Island.
North Dakota.
Maryland; West Virginia.
Pennsylvania; Alabama; Huntsville, Alabama; North Carolina; Mecklenburg County (Charlotte), North Carolina; Georgia; Tennessee; Illinois;
Indiana; Arkansas; Louisiana; Texas; Iowa; Kansas; Missouri; Nebraska; Colorado; Montana; Arizona; Maricopa County, Arizona;
Pima County, Arizona; Pinal County, Arizona; California; Hawaii; Nevada; American Samoa; Guam; Alaska; Idaho; Oregon; Washington.
Connecticut; New Jersey; Virgin Islands; Allegheny County, Pennsylvania; Michigan; Minnesota; Ohio; Wisconsin.
III. Negative Declaration Submitted/EPA Approved .................................
IV. Final State Plans Submitted to the EPA ............................................
V. Draft States Plans Submitted to the EPA ............................................
VI. States for which the EPA has not received a draft or final plan or
negative declaration.
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VII. Anticipated States to Accept Delegation of Federal Plan .................
The preamble of the final federal plan
will list states that have an EPAapproved plan in effect on the date the
final federal plan is signed by the EPA
Administrator. As Regional Offices
approve state plans, they will also, in
the same action, amend the appropriate
subpart of 40 CFR part 62 to codify their
approvals.
The EPA will maintain a list of
revised/new state plan submittals and
approvals on the TTN Air Toxics Web
site at https://www.epa.gov/ttn/atw/129/
hmiwi/rihmiwi.html. The list will help
HMIWI owners or operators determine
whether their HMIWI is affected by a
state plan or the federal plan.
Hospital/medical/infectious waste
incinerator owners and operators can
also contact the EPA Regional Office for
the state in which their HMIWI is
1 See 74 FR 51371–51375, 51396–51399, and
51399–51400 to reference the regulatory
background, summary of final rule changes, and
impacts of the amended EG adopted on October 6,
2009.
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located to determine whether there is an
approved and effective revised/new
state plan in place. The following table
lists the names, email addresses and
telephone numbers of the EPA Regional
Office contacts and the states and
protectorates that they cover.
REGIONAL OFFICE CONTACTS
Region
Regional contact
Phone
States and protectorates
Region I ....
Ian Cohen, cohen.ian@epa.gov .......................................
(617) 918–1655 ..................
Region II ...
Ted Gardella, gardella.anthony@epa.gov ........................
(212) 637–3892 ..................
Region III ..
Mike Gordon, gordon.mike@epa.gov ...............................
(215) 814–2039 ..................
Region IV
Donnette Sturdivant, sturdivant.donnette@epa.gov .........
Daniel Garver, garver.daniel@epa.gov .............................
Sturdivant: (404) 562–9431
Garver: (404) 562–9839 .....
Region V ..
Margaret Sieffert, sieffert.margaret@epa.gov ...................
(312) 353–1151 ..................
Region VI
Steve Thompson, thompson.steve@epa.gov ...................
(214) 665–2769 ..................
Region VII
Region VIII
Lisa Hanlon, hanlon.lisa@epa.gov ...................................
Christopher Razzazian, razzazian.christopher@epa.gov
(913) 551–7599 ..................
(303) 312–6648 ..................
Region IX
Joseph Lapka, lapka.joseph@epa.gov .............................
(415) 947–4226 ..................
Region X ..
Heather Valdez, valdez.heather@epa.gov .......................
(206) 553–6220 ..................
Connecticut, Massachusetts, Maine, New
Hampshire, Rhode Island, Vermont.
New York, New Jersey, Puerto Rico, Virgin Islands.
Virginia, Delaware, District of Columbia,
Maryland, Pennsylvania, West Virginia.
Florida, Georgia, North Carolina,
Alabama, Kentucky, Mississippi, South
Carolina, Tennessee.
Minnesota, Wisconsin, Illinois, Indiana,
Michigan, Ohio.
Arkansas, Louisiana, New Mexico, Oklahoma, Texas.
Iowa, Kansas, Missouri, Nebraska.
Colorado, Montana, North Dakota, South
Dakota, Utah, Wyoming.
Arizona, California, Hawaii, Nevada,
American Samoa, Guam, Northern
Mariana Islands.
Alaska, Idaho, Oregon, Washington.
III. Affected Facilities
A. What is a HMIWI?
The term ‘‘HMIWI’’ means any device
that combusts any amount of hospital
waste and/or medical/infectious waste,
as defined in 40 CFR part 62, subpart
HHH. Six types of combustion units,
which are listed in § 62.14400 of subpart
HHH, are conditionally exempt from
specific provisions of the currently
promulgated 2000 federal plan and
would continue to be so under today’s
proposed amended federal plan.
rmajette on DSK2TPTVN1PROD with PROPOSALS2
B. Does the federal plan apply to me?
The amended federal plan would
apply to you if you are the owner or
operator of a combustion device that
combusts hospital waste and/or
medical/infectious waste (as defined in
subpart HHH) and the device is not
covered by an approved and effective
state plan as of October 6, 2011. The
federal plan would cover your HMIWI
until the EPA approves a state plan that
covers your HMIWI and that plan
becomes effective.
If you began the construction of your
HMIWI on or before December 1, 2008,
or began modification of your HMIWI
on or before April 6, 2010, it would be
considered an existing HMIWI and
could be subject to the federal plan. If
you began the construction of your
HMIWI after December 1, 2008, or began
modification of your HMIWI after April
6, 2010, it would be considered a new
HMIWI and would be subject to the
NSPS.
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Your existing HMIWI would be
subject to this federal plan, if on the
effective date of the amended federal
plan, the EPA has not approved the
revised/new state plan implementing
the amended EG that covers your unit
or the EPA-approved state plan has not
become effective. The specific
applicability of the currently
promulgated federal plan is described in
40 CFR 62.14400 through 62.14403 of
subpart HHH, and would continue to
apply, as amended, under the proposed
revised federal plan. The amended
federal plan would become effective 30
days after final promulgation of these
amendments.
Once an approved revised/new state
plan is in effect, the amended federal
plan would no longer apply to HMIWI
covered by such plan. An approved
state plan is a plan developed by a state
that the EPA has reviewed and
approved based on the requirements in
40 CFR part 60, subpart B, to implement
and enforce 40 CFR part 60, subpart Ce.
The state plan is effective on the date
specified in the notice published in the
Federal Register announcing the EPA’s
approval of the plan.
The EPA’s promulgation of an
amended HMIWI federal plan will not
preclude states from submitting a plan.
If a state submits a plan after the
promulgation of amendments to the
HMIWI federal plan, the EPA will
review and approve or disapprove the
state plan. If the EPA approves a plan,
then the amended HMIWI federal plan
would no longer apply to HMIWI
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covered by the state plan as of the
effective date of the state plan. If a
HMIWI were overlooked by a state and
the state submitted a negative
declaration letter, or if an individual
HMIWI were not covered by an
approved and effective state plan, the
HMIWI would be subject to this
amended federal plan.
C. How do I determine if my HMIWI is
covered by an approved and effective
state plan?
Part 62 of Title 40 of the CFR
identifies the status of approval and
promulgation of section 111(d) and
section 129 state plans for designated
facilities in each state. However, part 62
is updated only once per year. Thus, if
part 62 does not indicate that your state
has an approved and effective plan, you
should contact your state environmental
agency’s air director or your EPA
Regional Office (see table in section II.C
of this preamble) to determine if
approval occurred since publication of
the most recent version of part 62.
IV. Elements of the Current HMIWI
Federal Plan
The EPA is not proposing
amendments to several elements of the
existing federal plan. For other
elements, we are proposing
amendments, to reflect the amended EG.
The basic elements of the federal plan
include: (1) Identification of legal
authority and mechanisms for
implementation; (2) inventory of
HMIWI; (3) emissions inventory; (4)
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emissions limits; (5) compliance
schedules; (6) public hearing; (7) testing,
monitoring, recordkeeping and
reporting; (8) waste management plan;
(9) operator training and qualification;
and (10) progress reporting. See 40 CFR
part 62 subparts HHH and sections 111
and 129 of the CAA. For each element
discussed below, we explain to what
extent we are proposing to amend the
current federal plan requirements.
A. Legal Authority and Enforcement
Mechanism
Section 301(a) of the CAA provides
the EPA with broad authority to write
regulations that carry out the functions
of the CAA. Sections 111(d) and
129(b)(3) of the CAA direct the EPA to
develop a federal plan for states that do
not submit approvable state plans.
Sections 111 and 129 of the CAA
provide the EPA with the authority to
implement and enforce the federal plan
in cases where the state fails to submit
a satisfactory state plan. Section
129(b)(3) of the CAA requires the EPA
to develop, implement and enforce a
federal plan within 2 years after the date
the relevant EG are promulgated (by
October 6, 2011, for the 2009 HMIWI
EG). Compliance with the EG cannot be
later than 5 years after the relevant EG
are promulgated (by October 6, 2014, for
the 2009 HMIWI EG). Today’s action is
not proposing any changes to this
element.
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B. Inventory of Affected HMIWI
The federal plan, as currently
promulgated, includes an inventory of
HMIWI affected by the EG. (See 40 CFR
62.14402.) Today’s proposed
amendments to the federal plan will
also include in Docket No. EPA–HQ–
OAR–2011–0405 an inventory of the
HMIWI that may potentially be covered
by these amendments in the absence of
approved state plans. This revised
inventory contains 53 HMIWI in 21
states. It is based on information
collected from EPA Regions, states,
HMIWI facilities; and review of existing
HMIWI inventories, Title V permits,
emissions test reports and facility Web
sites. The EPA recognizes that this list
may not be complete. Therefore, sources
potentially subject to this proposed
amended federal plan may include, but
are not limited to, the HMIWI listed in
Docket No. EPA–HQ–OAR–2011–0405.
Any HMIWI that meets the applicability
criteria in the proposed amended
federal plan rule would be subject to the
amended federal plan, regardless of
whether it is listed in the inventory.
States or individuals are invited to
identify additional sources for inclusion
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to the list during the comment period
for this proposal.
C. Inventory of Emissions
The federal plan, as currently
promulgated, includes an emissions
estimate for HMIWI subject to the EG.
The pollutants inventoried are Cd, CO,
dioxins/furans, HCl, Pb, Hg, PM, NOX
and SO2. For this proposal, the EPA has
estimated the emissions from each
known HMIWI that potentially may be
covered by the proposed amended
federal plan for the nine pollutants
regulated by the EG and covered by the
proposed revised federal plan.
The emissions inventory is based on
available information about the HMIWI,
emissions factors and typical emissions
rates developed for calculating
nationwide air impacts of the amended
EG and the amended federal plan. Refer
to the inventory memorandum in
Docket No. EPA–HQ–OAR–2011–0405
for the complete updated emissions
inventory and details on the emissions
calculations associated with today’s
proposal.
D. Emissions Limits
As the current federal plan contains
emissions limits that correspond to the
1997 HMIWI rule, today’s proposed
amended federal plan includes
emissions limits that correspond to
those in the 2009 EG. (See 40 CFR
62.14410–62.14413.) Section 129(b)(2)
of the CAA requires these emissions
limits to be ‘‘at least as protective as’’
those in the EG. The emissions limits in
these proposed amendments to the
HMIWI federal plan are the same as
those contained in the 2009 amended
EG but also include the PM emissions
limits for medium HMIWI and HCl
emissions limits for small HMIWI that
were previously subject to the 1997
NSPS but are now subject to the
amended EG. These two emissions
limits are more stringent than the
corresponding EG emissions limits. We
include these limits because HMIWI
units that were regulated as new sources
under the 1997 NSPS would be treated
as existing sources under the 2009 EG,
but would need to continue to comply
with the 1997 NSPS limits where those
are more stringent than the 2009 EG
limits. (See proposed revised Table 1 to
subpart HHH.) Section V.B of this
preamble discusses the amended
emissions limits.
E. Compliance Schedules
Increments of progress are required
for HMIWI that need more than 1 year
from state plan approval to comply, or
in the case of the federal plan, more
than 1 year after promulgation of the
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final amended federal plan. (See 40 CFR
62.14470–62.14472.) Increments of
progress are included to ensure that
each HMIWI needing more time to
comply is making progress toward
meeting the emissions limits.
For HMIWI that need more than 1
year to comply, the proposed amended
federal plan includes in its compliance
schedule the same five increments of
progress from 40 CFR 62.14470(b)(2).
The proposed amended federal plan
includes defined and enforceable dates
for completion of each increment. These
increments of progress are: (1) Submit
final control plan; (2) award contracts
for control systems or process
modifications or orders for purchase of
components; (3) begin on-site
construction or installation of the air
pollution control device(s) or process
changes; (4) complete on-site
construction or installation of the air
pollution control device(s) or process
changes; and (5) final compliance.
F. Waste Management Plan
Requirements
The current federal plan includes a
waste management plan which is a
written plan that identifies both the
feasibility and the methods used to
reduce or separate certain components
of solid waste from the waste stream to
reduce or eliminate toxic emissions
from incinerated waste. (See 40 CFR
62.14430–62.14432.) Today’s proposed
amendments to the federal plan include
this element and require that the waste
management plan must be submitted no
later than the date 60 days after the
initial compliance demonstration. This
date is 240 days after the final
compliance date.
G. Testing, Monitoring, Recordkeeping
and Reporting Requirements
The current federal plan includes
testing, monitoring, recordkeeping and
reporting requirements. (See 40 CFR
62.14440–62.14465.) Today’s proposed
amendments update these requirements
to correspond with the 2009 EG.
Testing, monitoring, recordkeeping and
reporting requirements are consistent
with 40 CFR part 62 subpart HHH and
assure initial and ongoing compliance.
H. Operator Training and Qualification
Requirements
The current federal plan requires that
the owner or operator must qualify
operators or their supervisors (at least
one per facility) by ensuring that they
complete an operator training course
and annual review or refresher course.
(See 40 CFR 62.14420–62.14425.)
Today’s proposed amended federal plan
also contains operator training and
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qualification requirements that
correspond to the 2009 EG; no changes
are proposed to this element.
I. Record of Public Hearings
As the current federal plan provided
the opportunity for public hearings,
today’s proposed amended federal plan
provides opportunity for public
participation in adopting the plan. If
requested to do so, the EPA will hold a
public hearing in Research Triangle
Park, NC. A record of the public
hearing, if any, will appear in Docket
No. EPA–HQ–OAR–2011–0405. If a
public hearing is requested and held,
the EPA will ask clarifying questions
during the oral presentation but will not
respond to the presentations or
comments. Written statements and
supporting information submitted
during the public comment period will
be considered with equivalent weight as
any oral statement and supporting
information subsequently presented at a
public hearing, if held.
J. Progress Reports
As under the current federal plan,
today’s amendments request that the
EPA Regional Offices prepare annual
progress reports to show the progress of
HMIWI toward implementation of the
EG. States that have been delegated the
authority to implement and enforce this
federal plan would be required to
submit annual progress reports to the
appropriate EPA Regional Office.
Each progress report must include the
following items: (1) Status of
enforcement actions; (2) status of
increments of progress; (3) identification
of sources that have shutdown or started
operation; (4) emissions inventory data
for sources that were not in operation at
the time of plan development but that
began operation during the reporting
period; (5) additional data as necessary
to update previously submitted source
and emissions information; and (6)
copies of technical reports on any
performance testing and monitoring.
V. Summary of Today’s Proposed
Amendments to HMIWI Federal Plan
Each amended plan element is
described below as it relates to the
elements outlined above in the current
HMIWI federal plan. The table below
lists each amended element and
identifies where it is located or codified.
Element of the HMIWI federal plan
Location
Legal authority and enforcement mechanism ..........................................
Inventory of affected HMIWI units ............................................................
Inventory of emissions ..............................................................................
Emissions limits ........................................................................................
Compliance schedules .............................................................................
Operator training and qualification ...........................................................
Waste management plan .........................................................................
Record of public hearings ........................................................................
Testing, monitoring, recordkeeping and reporting ...................................
Progress reports .......................................................................................
rmajette on DSK2TPTVN1PROD with PROPOSALS2
A. What are the proposed amendments
to applicability?
Hospital/medical/infectious waste
incinerators were treated differently
under the 2009 amended EG than they
were under the 1997 EG in terms of
whether they are ‘‘existing’’ or ‘‘new’’
sources. The 2009 amended EG
included new dates defining what are
‘‘existing’’ and ‘‘new’’ sources for
purposes of the revised NSPS and EG.
All HMIWI that complied with the 1997
EG (i.e., those units for which
construction commenced on or before
June 20, 1996, or for which modification
commenced on or before March 16,
1998) were still considered ‘‘existing’’
sources under the 2009 amended EG
and are required to meet the emissions
limits under the amended EG by the
applicable compliance date for the
amended EG. All HMIWI that complied
with the 1997 NSPS (i.e., those units for
which construction commenced after
June 20, 1996, but no later than
December 1, 2008, or for which
modification commenced after March
16, 1998, but no later than April 6,
2010) were also considered ‘‘existing’’
sources under the amended EG. Those
HMIWI are required to meet the
emissions limits under the amended EG
by the applicable compliance date for
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Sections 129(b)(3), 111(d), 301(a), and 301(d)(4) of the CAA.
Docket EPA–HQ–OAR–2011–0405.
Docket EPA–HQ–OAR–2011–0405.
40 CFR 62.14410–62.14413.
40 CFR 62.14470–62.14472.
40 CFR 62.14420–62.14425.
40 CFR 62.14430–62.14432.
Docket EPA–HQ–OAR–2011–0405.
40 CFR 62.14440–62.14465.
Section IV.J of this preamble.
the amended EG, except where the
corresponding 1997 NSPS is more
stringent, in which case the HMIWI are
to continue to comply with that 1997
NSPS. In the interim, those 1997 NSPS
sources that must meet the amended EG
must continue to be subject to the NSPS
as promulgated in 1997 until the date
for compliance with the revised EG.
Those units for which construction
commenced after the December 1, 2008,
HMIWI proposal, or for which
modification commenced on or after
April 6, 2010, are considered ‘‘new’’
units subject to more stringent revised
NSPS emissions limits.
Today’s action proposes to
incorporate these changes to the
applicability into the HMIWI federal
plan. No other amendments are being
proposed for the other applicability
provisions in the federal plan (i.e.,
exemptions for incinerators burning
pathological, low-level radioactive, and/
or chemotherapeutic waste; co-fired
combustors; combustors with permits
under section 3005 of the Solid Waste
Disposal Act; certain municipal waste
combustors; pyrolysis units; and cement
kilns firing hospital waste and/or
medical/infectious waste).
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B. What are the proposed amendments
to the emissions limits?
As noted in section II.A of this
preamble, on October 6, 2009, the EPA
published final amendments to the
September 15, 1997, NSPS and EG in
response to a Court remand of the 1997
regulations and to satisfy the 5-year
review requirement under CAA section
129(a)(5).
The EPA’s response to the remand
and 5-year review resulted in a revision
to all of the emissions limits in the EG.
Today’s action proposes to incorporate
the amended EG emissions limits into
the existing HMIWI federal plan. Table
1 of this preamble summarizes the
amended EG emissions limits
promulgated to respond to the remand
and fulfill the EPA’s 5-year review
obligation.
TABLE 1—SUMMARY OF EG EMISSIONS LIMITS PROMULGATED IN RESPONSE TO THE REMAND FOR EXISTING HMIWI
Pollutant (units)
Unit size1
HCl (ppmv) ........
L ..................
M .................
S ..................
SR ...............
L ..................
CO (ppmv) ........
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Final limit 2
6.6
7.7
44
810
11
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further discusses the amendment of the
NSPS. Today’s action also proposes to
remove the SSM exemption from the
2000 federal plan at 40 CFR 62.14413,
and proposes that the emissions limits
Pollutant (units)
Unit size1
Final limit 2 apply at all times, for the same reasons.
As noted in the previous section, the
M .................
5.5
2009 amended EG specified that those
S,SR ............
20
HMIWI that previously complied with
Pb (mg/dscm) .... L ..................
0.036
the 1997 NSPS would have to meet the
M .................
0.018
emissions limits under the 2009
S ..................
0.31
amended EG or the 1997 NSPS,
SR ...............
0.50
Cd (mg/dscm) ... L ..................
0.0092 whichever was more stringent. In two
M .................
0.013
cases, the HCl emissions limit for small
S ..................
0.017
HMIWI and the PM emissions limit for
SR ...............
0.11
medium HMIWI, the 1997 NSPS limits
Hg (mg/dscm) ... L ..................
0.018
are more stringent than the 2009
M .................
0.025
amended EG limits, so those HMIWI
S ..................
0.014
SR ...............
0.0051 that previously complied with the 1997
PM (gr/dscf) ...... L ..................
0.011
NSPS would continue to comply with
M .................
0.020
the more stringent 1997 NSPS limits.
S ..................
0.029
Specifically, they would have to meet
SR ...............
0.038
the 1997 NSPS HCl emissions limit of
Dioxins/furans,
L ..................
9.3
15 parts per million by volume (ppmv)
total (ng/dscm).
(at 7 percent oxygen) for small HMIWI
M .................
0.85
and the 1997 NSPS PM limit of 0.015
S ..................
16
grains per dry standard cubic foot (gr/
SR ...............
240
Dioxins/furans,
L ..................
0.054
dscf) (at 7 percent oxygen) for medium
TEQ (ng/
HMIWI, in addition to the 2009 EG
dscm).
emissions limits for the other pollutants.
M .................
0.020
Today’s action proposes to include
S ..................
0.013
these two 1997 NSPS emissions limits
SR ...............
5.1
along with the 2009 amended EG
NOX (ppmv) ...... L ..................
140
emissions limits in the HMIWI federal
M, S .............
190
SR ...............
130
plan.
SO2 (ppmv) ....... L ..................
9.0
Under the 1997 NSPS, new large
M, S .............
4.2
HMIWI were required to demonstrate
SR ...............
55
compliance with the 5 percent visible
Opacity (%) ....... L, M, S, SR
6.0
emissions limit for fugitive emissions
1 L = Large (>500 lb/hr of waste); M = Megenerated during ash handling, by
dium (>200 to ≤500 lb/hr of waste); S = Small
(≤200 lb/hr of waste); SR = Small rural (small conducting annual performance tests
HMIWI >50 miles from boundary of nearest using EPA Method 22. As discussed in
SMSA, burning <2,000 lb/wk of waste).
section V.E.1 below, the 2009
2 All emissions limits are reported as coramendments to the EG expanded this
rected to 7 percent oxygen.
requirement to include all HMIWI, but
The 2009 amended EG removed
only as an initial test requirement. As a
provisions from the 1997 standards at
result, under the amended EG, all
40 CFR 60.56c and 60.37e that
HMIWI were made subject to the same
exempted HMIWI from the standards
5 percent visible emissions limit.
during periods of startup, shutdown and Today’s action proposes to include this
malfunction (SSM) provided that no
visible emissions limit for existing
hospital waste or medical/infectious
HMIWI in the HMIWI federal plan.
waste was being changed to the unit
To provide greater clarity, the 2009
during those SSM periods. The 2009 EG
amendments to the EG also included
requires that the emissions limits as
averaging times and EPA reference test
listed above in Table 1, regardless of a
methods in the emissions limit tables
SSM event, be met at all times.
However, in one provision of the NSPS, for existing sources. It should be noted
that the averaging times and EPA
section 60.56c(d)(2), the EPA
reference test methods added to the
inadvertently failed to delete a SSM
emissions limits tables were not new
exemption we had intended to
eliminate, and to better reflect the EPA’s requirements but simply a restating of
requirements presented elsewhere in the
intent in the 2009 final rule, today’s
HMIWI regulations. Today’s action
action also amends that section of the
proposes to add these additional
NSPS to remove the accidentally
retained SSM exemption. Please see
columns to the emissions limits table in
section VI. of this preamble, which
the HMIWI federal plan.
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TABLE 1—SUMMARY OF EG EMISSIONS LIMITS PROMULGATED IN RESPONSE TO THE REMAND FOR EXISTING HMIWI—Continued
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C. What are the proposed amendments
to the waste management plan
requirements?
Under the HMIWI EG promulgated on
September 15, 1997, and HMIWI federal
plan promulgated on August 15, 2000,
existing HMIWI were required to submit
a written plan that identified both the
feasibility and methods used to reduce
or separate certain components of solid
waste from the waste stream to reduce
or eliminate toxic emissions from
incinerated waste.
Commenters on the December 1, 2008,
reproposal of the HMIWI EG
amendments recommended that the
EPA minimize or eliminate from the
HMIWI waste stream any plastic wastes,
Hg and other hazardous wastes (e.g., Hgcontaining dental waste, Hg-containing
devices), pharmaceuticals and
confidential documents and other paper
products that could be shredded and
recycled. One commenter recommended
that the EPA take action to regulate
emissions of polychlorinated biphenyls
and polycyclic organic matter from
HMIWI. Some commenters
recommended that the EPA require
commercial HMIWI to provide training
and education to their customers
regarding waste segregation and make
incinerator operators responsible for the
waste in their possession.
To address the various commenters’
concerns, the waste management plan
provisions in the HMIWI regulations
were revised to promote the segregation
of the aforementioned wastes and
specify that commercial facilities train
and educate their clients to conduct
their own waste segregation. Today’s
action proposes to incorporate these
revisions into the HMIWI federal plan.
D. What are the proposed amendments
to the inspection requirements?
Under the 1997 EG and 2000 federal
plan, existing small rural HMIWI were
required to conduct annual equipment
inspections to compensate for the lack
of annual emissions testing at those
sources. The inspections included the
incinerator, air pollution control device
(if any) and monitoring equipment. For
the 2009 amendments to the EG, the
EPA expanded annual air pollution
control device inspections to the other
HMIWI to allow those sources to
demonstrate that their air pollution
control devices are operating
sufficiently well to allow compliance
with the tighter emissions limits under
the amended EG. Today’s action
proposes to incorporate this additional
requirement into the HMIWI federal
plan.
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E. What are the proposed amendments
to the performance testing and
monitoring requirements?
The following paragraphs list a
number of additional testing and
monitoring requirements in the 2009
amendments to the EG that are proposed
to be incorporated into the HMIWI
federal plan in today’s action.
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1. Performance Testing
The 1997 EG and 2000 federal plan
required existing large, medium and
small non-rural HMIWI to conduct
initial performance tests for Cd, CO,
dioxins/furans, HCl, Pb, Hg, opacity and
PM and annual performance tests for
CO, HCl, opacity and PM. (An owner or
operator could conduct less frequent
testing if the facility demonstrated that
it was in compliance with the emissions
limits for 3 consecutive performance
tests.) The 2009 amendments to the EG
added the requirement that all HMIWI
conduct initial performance tests for
NOX and SO2 to demonstrate initial
compliance with the revised emissions
limits for those pollutants.
Under the 1997 EG and 2000 federal
plan, small rural HMIWI were only
required to conduct initial performance
tests for CO, dioxins/furans, Hg, opacity
and PM, and annual performance tests
for opacity. Under the 2009
amendments to the EG, small rural
HMIWI were required to also conduct
initial performance tests for the other
five regulated pollutants (Cd, HCl, Pb,
NOX and SO2) and also conduct annual
performance tests for CO, HCl and PM.
Under the 1997 NSPS, new large
HMIWI were subject to a 5 percent
visible emissions limit for fugitive
emissions generated during ash
handling. To demonstrate compliance
with this emissions limit, new large
HMIWI were required to conduct annual
performance tests for fugitive emissions
from ash handling using EPA Method
22. In the 2009 amendments to the EG,
the EPA extended this minimal testing
requirement to the other HMIWI, but
only as an initial test requirement, to
determine whether fugitive ash
emissions are a concern from these
sources. Existing HMIWI would be
required to measure fugitive ash
emissions during their next performance
test.
In order to reduce the burden of
complying with the additional testing
requirements in the 2009 amendments
to the EG, sources were allowed to use
results of their previous emissions tests
to demonstrate initial compliance with
the revised emissions limits as long as
the sources certify that the previous test
results are representative of current
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operations. Only those sources who
could not so certify and/or whose
previous emissions tests do not
demonstrate compliance with one or
more revised emissions limits would be
required to conduct another emissions
test for those pollutants. (Note that most
sources were already required under the
1997 EG to test for CO, HCl, opacity and
PM on an annual basis and those annual
tests are still required.)
To provide HMIWI with greater
flexibility in demonstrating compliance,
the 2009 amendments to the EG also
incorporated by reference two
alternatives to EPA reference test
methods American Society of
Mechanical Engineers (ASME) PTC
19.10–1981 and American Society for
Testing and Materials (ASTM) D6784–
02)), discussed further in section IX.I of
this preamble.
2. Monitoring
Monitoring of operating parameters
can be used to indicate whether air
pollution control equipment and
practices are functioning properly to
minimize air pollution. The 1997
HMIWI EG and 2000 federal plan
included the following parameter
monitoring requirements for good
combustion, wet scrubbers and dry
scrubbers with fabric filters (FFs):
• If using a dry scrubber followed by
a FF to comply with the emissions
limits, continuously monitor charge
rate, FF inlet temperature, flue gas
temperature, secondary chamber
temperature and sorbent flow rates for
dioxin/furan, HCl and Hg sorbents.
• If using a wet scrubber to comply
with the emissions limits, continuously
monitor charge rate, flue gas
temperature, secondary chamber
temperature, pressure drop across the
wet scrubber (or horsepower or
amperage), scrubber liquor flow rate and
scrubber liquor pH.
• If using a dry scrubber followed by
a FF and wet scrubber, continuously
monitor all of the aforementioned
parameters.
• If using something other than the
aforementioned air pollution control
devices to comply with the emissions
limits, petition the Administrator for
other site-specific operating parameters
to be established during the initial
performance test and continuously
monitored thereafter.
In the 2009 amendments to the EG,
the EPA kept these parameter
monitoring requirements and added a
parameter requirement for those HMIWI
expected to install selective noncatalytic
reduction (SNCR) systems in order to
comply with the more stringent NOX
limits in the 2009 EG. Those HMIWI
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installing SNCR technology to comply
with the NOX emissions limit were
required to continuously monitor the
charge rate, secondary chamber
temperature and reagent (e.g., ammonia
or urea) flow rate.
Since the 1997 EG, bag leak detectors
have been shown to be an effective
method for demonstrating continuous
compliance for sources equipped with
FFs. Although the 2009 amendments to
the EG did not require existing HMIWI
equipped with FFs to install bag leak
detectors, use of bag leak detectors was
presented as an option for these HMIWI.
The most direct means of monitoring
compliance with emissions limits is the
use of continuous emissions monitoring
systems (CEMS) to measure the
emissions of a pollutant on a continuous
basis. In addition to CEMS, sorbent trap
biweekly monitoring systems for Hg and
dioxins/furans are also available.
Although the 2009 amendments to the
EG did not require CO, HCl, PM, Hg or
multi-metal CEMS or sorbent trap
biweekly Hg and dioxin/furan
monitoring systems for existing HMIWI,
such systems were presented as
alternative monitoring requirements in
lieu of annual testing for all sources.
3. Electronic Data Submittal
The EPA must have performance test
data to conduct effective 5-year reviews
of CAA section 129 standards, as well
as for many other purposes, including
compliance determinations,
development of emissions factors and
determining annual emissions rates. In
conducting 5-year reviews, the EPA has
found it ineffective and timeconsuming, 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.
In the 2009 amendments to the EG, to
improve data accessibility, we gave
HMIWI the option of submitting to an
EPA electronic database an electronic
copy of annual stack test reports. Data
entry would be through an electronic
emissions test report structure used by
the staff as part of the emissions testing
project. The electronic reporting tool
(ERT) was developed with input from
stack testing companies who generally
collect and compile performance test
data electronically. The ERT is currently
available and access to direct data
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submittal to the EPA’s electronic
emissions database (WebFIRE).2
The option to submit source test data
electronically to the EPA would not
require any additional performance
testing. In addition, when a facility
elects to submit performance test data to
WebFIRE, there would be no additional
requirements for data compilation.
Further discussion of the benefits of
using electronic data submittal is
provided in the preamble to the October
6, 2009, amendments. (See 74 FR
51373–4.)
The electronic database that would be
used is the EPA’s WebFIRE, which is a
Web site accessible through the EPA’s
TTN. The WebFIRE Web site was
constructed to store emissions test data
for use in developing emissions factors.
A description of the WebFIRE database
can be found at https://cfpub.epa.gov/
oarweb/index.cfm?action=fire.main.
The ERT would be able to transmit the
electronic report which would be
submitted using the Compliance and
Emissions Data Reporting Interface
(CEDRI). The submitted report would be
submitted through the EPA’s Central
Data Exchange (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 and CEDRI can be
accessed through the CDX Web site
(www.epa.gov/cdx). The ERT can be
used to document stack tests data for
those performance 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/.
We believe that industry would benefit
from this option of electronic data
submittal. Having these data, EPA
would be able to develop improved
emission factors, make fewer
information requests, and promulgate
better regulations.
One major advantage of the option to
submit 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 EPA at the time
the source test is conducted is that it
2 See https://cfpub.epa.gov/oarweb/
index.cfm?action=fire.main, https://www.epa.gov/
ttn/chief/ert/ert_tool.html.
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should substantially reduce the effort
involved in data collection activities in
the future. When 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 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 emission factors are
outdated or not representative of a
particular source category. With timely
receipt and incorporation of data from
most performance tests, EPA would be
able to ensure that emission factors,
when updated, represent the most
current range of operational practices. In
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 EPA
significant time, money, and effort
while also improving the quality of
emission inventories and, as a result, air
quality regulations.
F. What are the proposed amendments
to recordkeeping and reporting
requirements?
The following paragraphs list a
number of additional recordkeeping and
reporting requirements in the 2009
amendments to the EG, that would be
incorporated into the HMIWI federal
plan in today’s proposed amendments.
1. Recordkeeping
The 1997 EG and 2000 federal plan
required owners and operators to
maintain for 5 years records of opacity
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and emissions measurements, operating
parameters, equipment inspections and
maintenance (small rural units only),
deviations, initial performance tests and
all subsequent performance tests,
operator training and qualification and
calibration of monitoring devices.
The 2009 amendments to the EG
added the requirement that owners and
operators maintain records of the
amount and type of NOX reagent used,
records of the annual air pollution
control device inspections (including
any maintenance), and a description,
included with each test report, of how
operating parameters were established
during the initial performance test and
re-established during subsequent
performance tests.
2. Reporting
Under the 1997 EG and 2000 federal
plan, owners and operators were
required to submit the results of the
initial performance tests and all
subsequent performance tests, values for
the operating parameters, waste
management plan, equipment
inspections and maintenance (small
rural units only) and annual compliance
reports and semiannual reports of any
deviations from the emissions limits.
The 2009 amendments to the EG
added requirements for existing HMIWI
to submit, along with each test report,
a description of how operating
parameters were established or reestablished and submit records of
annual air pollution control device
inspections (including any
maintenance).
G. What are the proposed amendments
to the compliance schedule?
Similar to the approach of the 2000
HMIWI federal plan, as described in
section IV.J. ‘‘Progress Reports,’’ today’s
proposed revised federal plan requires
owners or operators of HMIWI to either:
(1) Come into compliance with the plan
within 1 year after the plan is
promulgated; or (2) meet increments of
progress and come into compliance by
October 6, 2014. Increments of progress
are necessary in order to ensure that
HMIWI needing more time to comply
are making progress toward meeting the
emissions limits. The amended federal
plan, as proposed, includes as its
compliance schedule the same five
increments of progress from 40 CFR
62.14470(b)(2), along with defined and
enforceable dates for completion of each
increment.
The HMIWI owner or operator is
responsible for meeting each of the five
increments of progress for each HMIWI
no later than the applicable compliance
date. The owner or operator must notify
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the EPA as each increment of progress
is achieved, as well as when any is
missed. The notification must identify
the increment and the date the
increment is achieved (or missed). If an
owner or operator misses an increment
deadline, the owner or operator must
also notify the EPA when the increment
is finally achieved. The owner or
operator must mail the notification to
the applicable EPA Regional Office
within 10 business days after the
increment date defined in the amended
federal plan. (See the table under
section II.C. of this document for a list
of Regional Offices.)
The definition of each increment of
progress, along with its required
completion date, follows.
Submit Final Control Plan. To meet
this increment, the owner or operator of
each HMIWI must submit a plan that
describes, at a minimum, the air
pollution control device and/or process
changes that will be employed so that
each HMIWI complies with the
emissions limits and other
requirements. A final control plan is not
required for units that will be
shutdown. Completion date: October 6,
2012.
Award Contract. To award a contract
means the HMIWI owner or operator
enters into legally binding agreements
or contractual obligations that cannot be
canceled or modified without
substantial financial loss to the owner or
operator. The EPA anticipates that the
owner or operator may award a number
of contracts to complete the retrofit. To
meet this increment of progress, the
HMIWI owner or operator must award a
contract or contracts to initiate on-site
construction, to initiate on-site
installation of air pollution control
devices, and/or to incorporate process
changes. The owner or operator must
mail a copy of the signed contract(s) to
the EPA within 10 business days of
entering the contract(s). Completion
date: May 6, 2013.
Begin On-site Construction. To begin
on-site construction, installation of air
pollution control devices or process
change means to begin any of the
following:
(1) Installation of an air pollution
control device in order to comply with
the final emissions limits as outlined in
the final control plan;
(2) Physical preparation necessary for
the installation of an air pollution
control device in order to comply with
the final emissions limits as outlined in
the final control plan;
(3) Alteration of an existing air
pollution control device in order to
comply with the final emissions limits
as outlined in the final control plan;
(4) Alteration of the waste combustion
process to accommodate installation of
an air pollution control device in order
to comply with the final emissions
limits as outlined in the final control
plan; or
(5) Process changes identified in the
final control plan in order to meet the
emissions standards. Completion date:
January 6, 2014.
Complete On-site Construction. To
complete on-site construction means
that all necessary air pollution control
devices or process changes identified in
the final control plan are in place, onsite and ready for operation on the
HMIWI. Completion date: August 6,
2014.
Final Compliance. To be in final
compliance means to incorporate all
process changes or complete retrofit
construction in accordance with the
final control plan and to connect the air
pollution control equipment or process
changes such that, if the HMIWI is
brought online, all necessary process
changes or air pollution control
equipment will operate as designed.
Completion date: October 6, 2014.
If a HMIWI does not achieve final
compliance by October 6, 2014, the
amended federal plan, as proposed,
requires the HMIWI to shutdown by
October 6, 2014, complete the retrofit
while not operating and be in
compliance upon restarting. Shutdown
is necessary in order to avoid being out
of compliance and subject to possible
enforcement action.
H. What are the other proposed
amendments?
1. Definitions
For clarification, the 2009
amendments to the EG revised the
definition of ‘‘Minimum secondary
chamber temperature’’ to read
‘‘Minimum secondary chamber
temperature means 90 percent of the
highest 3-hour average secondary
chamber temperature (taken, at a
minimum, once every minute) measured
during the most recent performance test
demonstrating compliance with the PM,
CO, and dioxin/furan emissions limits.’’
To address the introduction of some
new terms, the 2009 amendments to the
EG added the following definitions:
• ‘‘Bag leak detection system’’ means
‘‘an instrument that is capable of
monitoring PM loadings in the exhaust
of a fabric filter in order to detect bag
failures,’’ and examples of such a
system were provided.
• ‘‘Commercial HMIWI’’ means ‘‘a
HMIWI which offers incineration
services for hospital/medical/infectious
waste generated offsite by firms
unrelated to the firm that owns the
HMIWI.’’
• ‘‘Minimum reagent flow rate’’
means ‘‘90 percent of the highest 3-hour
average reagent flow rate at the inlet to
the selective noncatalytic reduction
technology (taken, at a minimum, once
every minute) measured during the most
recent performance test demonstrating
compliance with the NOX emissions
limit.’’
Today’s action proposes to amend the
HMIWI federal plan to include these
revised and new definitions from the
amended EG. Today’s action also
proposes to include a revised definition
for ‘‘modification or modified HMIWI’’
to address the change in applicability
for modified HMIWI under the amended
federal plan.
2. Toxicity Equivalence Factors
In a January 6, 2011, Federal Register
notice, the EPA announced the
availability of the final ‘‘Recommended
Toxicity Equivalence Factors (TEFs) for
Human Health Risk Assessments of
2,3,7,8-Tetrachlorodibenzo-p-dioxin and
Dioxin-Like Compounds’’ (EPA/100/R–
10/005). Various stakeholders, inside
and outside the EPA, had called for a
more comprehensive characterization of
risks, so the EPA re-examined the
current recommended approach for
applying the toxicity equivalence
methodology. The EPA developed and
revised, in response to public comments
and recommendations from peer
reviewers, the aforementioned guidance
document to assist the EPA scientists in
using this methodology and to inform
the EPA decision makers, other agencies
and the public about this methodology.
The revised methodology includes the
following changes to TEFs that HMIWI
would use to determine compliance
with the HMIWI dioxin/furan TEQ
emissions limits:
Toxicity equivalence factor
Dioxin/furan congener
1997 EG/2000
federal plan
1,2,3,7,8-pentachlorinated dibenzo-p-dioxin ..........................................................................
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Toxicity equivalence factor
Dioxin/furan congener
1997 EG/2000
federal plan
Octachlorinated dibenzo-p-dioxin ..........................................................................................
2,3,4,7,8-pentachlorinated dibenzofuran ...............................................................................
1,2,3,7,8-pentachlorinated dibenzofuran ...............................................................................
Octachlorinated dibenzofuran ................................................................................................
To incorporate these latest revisions
to TEFs, we are proposing to amend
Table 2 to subpart HHH in today’s
action.
VI. Summary of Proposed Amendments
to HMIWI New Source Performance
Standards
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A. What are the proposed amendments
to the emissions limits?
The 2009 amended EG removed
provisions from the 1997 standards at
40 CFR 60.56c and 60.37e that
exempted HMIWI from the standards
during periods of startup, shutdown and
malfunction (SSM) provided that no
hospital waste or medical/infectious
waste was being charged to the unit
during those SSM periods. The 2009 EG
requires that the emissions limits as
listed above in Table 1, regardless of a
SSM event, be met at all times.
However, in one provision of the NSPS,
section 60.56c(d)(2), the EPA
inadvertently failed to delete a SSM
exemption we had intended to
eliminate, and to better reflect the EPA’s
intent in the 2009 final rule, today’s
action also proposes to amend that
section of the NSPS to remove the
accidentally retained SSM exemption.
This action is necessary to make the
NSPS continuously applicable, as
required under CAA section 302(k) and
under the U.S. Court of Appeals for the
DC Circuit’s 2008 Sierra Club v. EPA
ruling. Our rationale for this
amendment was presented in the Oct. 6.
2009 final rule, at 74 FR 51368, 51375
and 51393–95 (Oct. 6, 2009), and we
hereby incorporate by reference that
rationale in order to complete the
regulatory amendments we intended to
make at the time. Today’s action also
proposes to remove the SSM exemption
from the 2000 federal plan at 40 CFR
62.14413, and proposes that the
emissions limits apply at all times, for
the same reasons.
B. Inoperable Units
VII. HMIWI That Have or Will
Shutdown
A. Units That Plan to Close Rather Than
Comply
The 2000 federal plan established that
if you planned to permanently close
your currently operating HMIWI, you
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must have done so by the date 1 year
after publication of the final federal plan
in the Federal Register. Today’s
proposed amended federal plan retains
this provision so that if you plan to
permanently close your currently
operating HMIWI, you must do so by the
date 1 year after publication of the final
amended federal plan in the Federal
Register. The proposed amendments
will allow HMIWI owners or operators
that are planning to shutdown the
opportunity to petition the EPA for an
extension beyond the 1-year compliance
date (but no later than October 6, 2014).
An example of a facility that might
petition the EPA for such an extension
is a facility installing an on-site
alternative waste treatment technology.
It is possible that installation cannot be
completed within 1 year and the facility
has no feasible waste disposal options
other than on-site incineration while the
alternative technology is being installed.
The requirements for a petition for an
extension to shutdown under today’s
proposed federal plan will update the
compliance date requirements set forth
at § 62.14471 of subpart HHH.
If you continue to operate your
HMIWI 1 year after publication of the
final amendments to the federal plan in
the Federal Register, then you must
comply with the operator training and
qualification requirements and the
inspection requirements of the plan by
the date 1 year after publication of the
final amendments. This requirement
includes HMIWI that comply within 1
year, as well as those that have been
granted an extension beyond the 1-year
compliance date (i.e., HMIWI with
extended retrofit schedules and HMIWI
granted an extension to shutdown after
the 1-year compliance date). In addition,
while still in operation, you are subject
to the same requirements for Title V
operating permits that apply to units
that will not shutdown.
Retaining certain aspects of the 2000
federal plan, today’s proposed revised
federal plan includes that in cases
where a HMIWI has already shutdown,
has been rendered inoperable and does
not intend to restart, the HMIWI may be
left off the source inventory in a
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0.001
0.5
0.05
0.001
0.0003
0.3
0.03
0.0003
revised/new state plan or this proposed
amended federal plan. A HMIWI that
has been rendered inoperable would not
be covered by the amended federal plan.
The HMIWI owner or operator may do
one the following to render a HMIWI
inoperable: (1) Weld the waste charge
door shut, (2) remove stack (and by-pass
stack, if applicable), (3) remove
combustion air blowers, or (4) remove
burners or fuel supply appurtenances.
C. HMIWI That Have Shutdown
Retaining certain aspects of the 2000
federal plan, today’s revised federal
plan proposal includes any HMIWI that
are known to have already shutdown
(but are not known to be inoperable) in
the source inventory. These HMIWI
should be identified in any revised/new
state plan submitted to the EPA.
1. Restarting Before the Final
Compliance Date
If the owner or operator of an inactive
HMIWI plans to restart before the final
compliance date, the owner or operator
must submit a control plan for the
HMIWI and bring the HMIWI into
compliance with the applicable
compliance schedule. Final compliance
is required for all pollutants and all
HMIWI no later than the final
compliance date.
2. Restarting After the Final Compliance
Date
Under this federal plan, as amended,
a control plan is not needed for inactive
HMIWI that restart after the final
compliance date. However, before
restarting, operators of these HMIWI
would have to complete the operator
training and qualification requirements
and inspection requirements (if
applicable) and complete retrofit or
process modifications upon restarting.
Performance testing to demonstrate
compliance would be required within
180 days after restarting. There is no
need to show that the increments of
progress have been met since these steps
would have occurred before restart
while the HMIWI was shutdown and
not generating emissions. A HMIWI that
operates out of compliance after the
final compliance date would be in
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violation of the amended federal plan
and subject to enforcement action.
VIII. Implementation of the Federal
Plan and Delegation
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A. Background of Authority
Under sections 111(d) and 129(b) of
the CAA, the EPA is required to adopt
EG that are applicable to existing solid
waste incineration sources. These EG
are not enforceable until the EPA
approves a state plan or adopts a federal
plan that implements and enforces them
and the state or federal plan has become
effective. As discussed above, the
federal plan regulates HMIWI in states
that do not have approved plans in
effect to implement the amended EG.
Congress has determined that the
primary responsibility for air pollution
prevention and control rests with state
and local agencies. (See section
101(a)(3) of the CAA.) Consistent with
that overall determination, Congress
established sections 111 and 129 of the
CAA with the intent that the state and
local agencies take the primary
responsibility for ensuring that the
emissions limitations and other
requirements in the EG are achieved.
Also, in section 111(d) of the CAA,
Congress explicitly required that the
EPA establish procedures that are
similar to those under section 110(c) for
state implementation plans. Although
Congress required the EPA to propose
and promulgate a federal plan for states
that fail to submit approvable state
plans on time, states may submit
approvable revised/new plans after
promulgation of the amended HMIWI
federal plan. The EPA strongly
encourages states that are unable to
submit approvable revised/new plans to
request delegation of the amended
federal plan so that they can have
primary responsibility for implementing
the revised EG, consistent with the
intent of Congress.
Approved and effective revised/new
state plans or delegation of the amended
federal plan is the EPA’s preferred
outcome since the EPA believes that
state and local agencies not only have
the responsibility to carry out the
revised EG but also have the practical
knowledge and enforcement resources
critical to achieving the highest rate of
compliance. For these reasons, the EPA
will do all that it can to expedite
delegation of the amended federal plan
to state and local agencies, whenever
possible, in cases where states are
unable to develop and submit
approvable state plans.
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B. Delegation of the Federal Plan and
Retained Authorities
As similarly described in the 2000
federal plan, if a state or tribe intends
to take delegation of the amended
federal plan, the state or tribe should
submit to the appropriate EPA Regional
Office a written request for delegation of
authority. The state or tribe should
explain how it meets the criteria for
delegation. See generally ‘‘Good
Practices Manual for Delegation of NSPS
and NESHAP’’ (EPA, February 1983).
The letter requesting delegation of
authority to implement the amended
federal plan should: (1) Demonstrate
that the state or tribe has adequate
resources, as well as the legal and
enforcement authority to administer and
enforce the program, (2) include an
inventory of affected HMIWI units,
which includes those that have ceased
operation but have not been dismantled,
include an inventory of the affected
units’ air emissions and a provision for
state progress reports to the EPA, (3)
certify that a public hearing is held on
the state delegation request, and (4)
include a memorandum of agreement
between the state or tribe and the EPA
that sets forth the terms and conditions
of the delegation, the effective date of
the agreement and would serve as the
mechanism to transfer authority. Upon
signature of the agreement, the
appropriate EPA Regional Office would
publish an approval notice in the
Federal Register, thereby incorporating
the delegation of authority into the
appropriate subpart of 40 CFR part 62.
If authority is not delegated to a state
or tribe, the EPA will implement the
amended federal plan. Also, if a state or
tribe fails to properly implement a
delegated portion of the amended
federal plan, the EPA will assume direct
implementation and enforcement of that
portion. The EPA will continue to hold
enforcement authority along with the
state or tribe even when a state or tribe
has received delegation of the amended
federal plan. In all cases where the
amended federal plan is delegated, the
EPA will retain and will not transfer
authority to a state or tribe to approve
the following items that include
additional items to those listed in the
2000 federal plan as to correspond to
those changes promulgated in the 2009
HMIWI rules:
(1) Alternative site-specific operating
parameters established by facilities
using HMIWI controls other than a wet
scrubber, dry scrubber followed by a FF,
or dry scrubber followed by a FF and
wet scrubber;
(2) Alternative methods of
demonstrating compliance, including
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the following methods outlined in the
October 6, 2009, amendments to the
HMIWI EG:
• Approval of CEMS for PM, HCl,
multi-metals and Hg where used for
purposes of demonstrating compliance;
• Approval of continuous automated
sampling systems for dioxin/furan and
Hg where used for purposes of
demonstrating compliance; and
• Approval of major alternatives to
test methods;
(3) Approval of major alternatives to
monitoring (added in 2009 amended
EG);
(4) Waiver of recordkeeping
requirements (added in 2009 amended
EG); and
(5) Performance test and data
reduction waivers under 40 CFR 60.8(b)
(added in 2009 amended EG).
Retaining what was established in the
2000 federal plan, today’s proposed
amended federal plan also specifies that
hospital/medical/infectious waste
incinerator owners or operators who
wish to establish alternative operating
parameters, alternative methods of
demonstrating compliance, major
alternatives to monitoring, waiver of
recordkeeping requirements or
performance test and data reduction
waivers should submit a request to the
Regional Office Administrator with a
copy to the appropriate state.
C. Mechanisms for Transferring
Authority
There are two mechanisms for
transferring implementation authority to
state and local agencies: (1) The EPA
approval of a revised/new state plan
after the amended federal plan is in
effect; and (2) if a state does not submit
or obtain approval of its own revised/
new plan, the EPA delegation to a state
of the authority to implement certain
portions of this amended federal plan to
the extent appropriate and if allowed by
state law. Both of these options are
maintained from those which were first
outlined in the 2000 federal plan, are
described in more detail below.
1. Federal Plan Becomes Effective Prior
to Approval of a State Plan
After HMIWI in a state become subject
to the amended federal plan, the state or
local agency may still adopt and submit
a revised/new plan to the EPA. If the
EPA determines that the revised/new
state plan is as protective as the revised
EG, the EPA will approve the revised/
new state plan. If the EPA determines
that the plan is not as protective as the
revised EG, the EPA will disapprove the
plan and the HMIWI covered in the state
plan would remain subject to the
amended federal plan until a revised
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state plan covering those HMIWI is
approved and effective. Prior to
disapproval, EPA will work with states
to attempt to reconcile areas of the plan
that remain not as protective as the
revised EG.
Upon the effective date of a revised/
new state plan, the amended federal
plan would no longer apply to HMIWI
covered by such a plan and the state or
local agency would implement and
enforce the revised/new state plan in
lieu of the amended federal plan. When
an EPA Regional Office approves a
revised/new state plan, it will amend
the appropriate subpart of 40 CFR part
62 to indicate such approval.
2. State Takes Delegation of the Federal
Plan
The EPA, in its discretion, may
delegate to state agencies the authority
to implement this amended federal
plan. As discussed above, the EPA
believes that it is advantageous and the
best use of resources for state or local
agencies to agree to undertake, on the
EPA’s behalf, administrative and
substantive roles in implementing the
amended federal plan to the extent
appropriate and where authorized by
state law. If a state requests delegation,
the EPA will generally delegate the
entire amended federal plan to the state
agency. These functions include
administration and oversight of
compliance reporting and recordkeeping
requirements, HMIWI inspections and
preparation of draft notices of violation
but will not include any retained
authorities. State agencies that have
taken delegation, as well as the EPA,
will have responsibility for bringing
enforcement actions against sources
violating federal plan provisions.
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D. Implementing Authority
The EPA Regional Administrators
have been delegated the authority for
implementing the HMIWI federal plan
amendments. All reports required by
these amendments to the federal plan
should be submitted to the appropriate
Regional Office Administrator. Section
II.C. of this preamble includes a table
that lists names and addresses of the
EPA Regional Office contacts and the
states they cover.
IX. Title V Operating Permits
All existing HMIWI regulated under
state or federal plans implementing the
1997 EG and any HMIWI that was
regulated under the 1997 NSPS should
have already applied for and obtained
Title V operating permits, as required
under the EG. Title V operating permits
assure compliance with all applicable
federal requirements for HMIWI,
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including all applicable CAA section
129 requirements. (See 40 CFR
70.2,70.6(a)(1), 71.2 and 71.6(a)(1).)
Title V operating permits for the abovenoted sources may, however, need to be
reopened to incorporate the
requirements of a revised/new state
plan, this amended federal plan or more
stringent NSPS requirements.
For more background information on
the interface between CAA section 129
and Title V, including the EPA’s
interpretation of CAA section 129(e), as
well as information on submitting Title
V permit applications, updating existing
Title V permit applications and
reopening existing Title V permits, see
the final Federal Plan for Commercial
and Industrial Solid Waste Incinerators,
October 3, 2003 (68 FR 57518, 57532).
See also the final Federal Plan for
Hospital Medical Infectious Waste
Incinerators, August 15, 2000 (65 FR
49868, 49877).
Today’s proposed revised federal plan
maintains the 2000 federal plan
approach, specifying that owners or
operators of HMIWI that burn only
pathological waste, low-level
radioactive waste and/or
chemotherapeutic waste and co-fired
combustors, as defined in § 62.14490 of
subpart HHH, must comply only with
certain recordkeeping and reporting
requirements set forth in today’s
proposed amended federal plan. (See
§ 62.14400.) These HMIWI and co-fired
combustors would not be subject to the
emissions control-related requirements
of the amended federal plan as long as
they complied with the recordkeeping
and reporting requirements set forth as
conditions for their exemption.
Consistent with the 2000 federal plan,
owners and operators of these sources as
listed above would not be required to
obtain Title V operating permits as a
matter of federal law if the only reason
they would potentially be subject to
Title V is these non-emissions controlrelated recordkeeping and reporting
requirements. (See § 62.14480.)
Originally explained in the 2000 federal
plan, today’s rule maintains that owners
and operators of HMIWI that burn only
pathological waste, low-level
radioactive waste and/or
chemotherapeutic waste and co-fired
combustors that do not comply with the
recordkeeping and reporting
requirements necessary to qualify for
exemption from the other requirements
of the amended federal plan would
become subject to those other
requirements and would have to obtain
Title V permits. Moreover as stated in
the 2000 federal plan and again in
today’s proposal, if, in the future, the
EPA promulgates regulations subjecting
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24285
any of these sources to requirements
other than these recordkeeping and
reporting requirements, these sources
could become subject to Title V at that
time.
A. Title V and Delegation of a Federal
Plan
We have previously stated our
position that issuance of a Title V
permit is not equivalent to the approval
of a state plan or delegation of a federal
plan.3 Legally, delegation of a standard
or requirement results in a delegated
state or tribe standing in for the EPA as
a matter of federal law. This means that
obligations a source may have to the
EPA under a federally promulgated
standard become obligations to a state
(except for functions that the EPA
retains for itself) upon delegation.4
Although a state or tribe may have the
authority under state or tribal law to
incorporate section 111/129
requirements into its Title V permits,
and implement and enforce these
requirements in these permits without
first taking delegation of the section
111/129 federal plan, the state or tribe
is not standing in for the EPA as a
matter of federal law in this situation.
Where a state or tribe does not take
delegation of a section 111/129 federal
plan, obligations that a source has to the
EPA under the federal plan continue
after a Title V permit is issued to the
source. As a result, the EPA continues
to maintain that an approved part 70
operating permits program cannot be
used as a mechanism to transfer the
authority to implement and enforce the
federal plan from the EPA to a state or
tribe. As mentioned above, a state or
tribe may have the authority under state
or tribal law to incorporate section 111/
129 requirements into its Title V
permits, and implement and enforce
these requirements in that context
without first taking delegation of the
section 111/129 federal plan.5 Some
3 For the sake of brevity, the discussion from the
proposed federal plan regarding Title V and
delegation of a federal plan is not being repeated.
See ‘‘Title V and Delegation of a Federal Plan’’
section of the proposed federal plan for CISWI,
November 25, 2002 (67 FR 70640, 70652).
Nevertheless, the preamble language from this
section in the proposed rule is hereby reaffirmed in
this final rule.
4 If the Administrator chooses to retain certain
authorities under a standard, those authorities
cannot be delegated, e.g., alternative methods of
demonstrating compliance.
5 The EPA interprets the phrase ‘‘assure
compliance’’ in section 502(b)(5)(A) to mean that
permitting authorities will implement and enforce
each applicable standard, regulation or requirement
which must be included in the Title V permits the
permitting authorities issue. See definition of
‘‘applicable requirement’’ in 40 CFR 70.2. See also
40 CFR 70.4(b)(3)(i) and 70.6(a)(1).
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states or tribes, however, may not be
able to implement and enforce a section
111/129 standard in a Title V permit
until the section 111/129 standard has
been delegated. In these situations, a
state or tribe should not issue a part 70
permit to a source subject to a federal
plan before taking delegation of the
section 111/129 federal plan. If a state
or tribe can provide an Attorney
General’s (AG’s) opinion delineating its
authority to incorporate section 111/129
requirements into its Title V permits,
and then implement and enforce these
requirements through its Title V permits
without first taking delegation of the
requirements, then a state or tribe does
not need to take delegation of the
section 111/129 requirements for
purposes of Title V permittin.6 In
practical terms, without approval of a
state or tribal plan, delegation of a
federal plan, or an adequate AG’s
opinion, states and tribes with approved
part 70 permitting programs open
themselves up to potential questions
regarding their authority to issue
permits containing section 111/129
requirements and to assure compliance
with these requirements. Such questions
could lead to the issuance of a notice of
deficiency for a state’s or tribe’s part 70
program. As a result, prior to a state or
tribal permitting authority drafting a
part 70 permit for a source subject to a
section 111/129 federal plan, the state or
tribe, the EPA Regional Office and
source in question are advised to ensure
that delegation of the relevant federal
plan has taken place or that the
permitting authority has provided to the
EPA Regional Office an adequate AG’s
opinion. In addition, if a permitting
authority chooses to rely on an AG’s
opinion and not take delegation of a
federal plan, a section 111/129 source
subject to the federal plan in that state
must simultaneously submit to both the
EPA and the state or tribe all reports
required by the standard to be submitted
to the EPA. Given that these reports are
necessary to implement and enforce the
section 111/129 requirements when
they have been included in Title V
permits, the permitting authority needs
to receive these reports at the same time
as the EPA. In the situation where a
permitting authority chooses to rely on
an AG’s opinion and not take delegation
of a federal plan, the EPA Regional
Offices will be responsible for
6 It is important to note that an AG’s opinion
submitted at the time of initial Title V program
approval is sufficient if it demonstrates that a state
or tribe has adequate authority to incorporate CAA
section 111/129 requirements into its Title V
permits and to implement and enforce these
requirements through its Title V permits without
delegation.
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implementing and enforcing section
111/129 requirements outside of any
Title V permits. Moreover, in this
situation, the EPA Regional Offices will
continue to be responsible for
developing progress reports and
conducting any other administrative
functions required under this federal
plan or any other section 111/129
federal plan. See the section IV.J. of this
preamble titled ‘‘Progress Reports’’. It is
important to note that the EPA is not
using its authority under 40 CFR part
70.4(i)(3) to request that all states and
tribes which do not take delegation of
this federal plan submit supplemental
AG’s opinions at this time. However, the
EPA Regional Offices shall request, and
permitting authorities shall provide,
such opinions when the EPA questions
a state’s or tribe’s authority to
incorporate section 111/129
requirements into a Title V permit and
implement and enforce these
requirements in that context without
delegation.
X. Statutory and Executive Order
Reviews
This section addresses the following
administrative requirements: Executive
Orders 12866 and 13563, 13132, 13175,
13045, 13211 and 12898, PRA, RFA,
UMRA and the NTTAA. This two-part
action proposes a revised federal plan
and proposes amendments to the final
2009 NSPS. Since this proposed federal
plan rule merely implements the
amended HMIWI EG promulgated on
October 6, 2009 (codified at 40 part 60,
subpart Ce) as they apply to HMIWI and
the proposed NSPS amendments clarify
EPA’s original intent removing the
startup, shutdown, and malfunction
exemption in the final NSPS rule
October 6, 2009 (codified at 40 part 60,
subpart Ec) and does not impose any
new requirements, much of the
following discussion of administrative
requirements refers to the
documentation of applicable
administrative requirements in the
preamble to the 2009 rule promulgating
the amended EG and NSPS (74 FR
51368–51402, October 6, 2009).
A. Executive Order 12866 and 13563:
Regulatory Planning and Review
This proposed action is not a
‘‘significant regulatory action’’ under
the terms of Executive Order 12866 (58
FR 51735; October 4, 1993) and is,
therefore, not subject to review under
the Executive Orders 12866 and 13563
(76 FR 3821, January 21, 2011).
The EPA considered the 2009
amendments to the HMIWI EG to be
significant and the rule was reviewed by
the Office of Management and Budget
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(OMB) in 2009. (See 74 FR 51400.) The
federal plan proposed today would
simply implement the EG as amended
in 2009 and does not result in any
additional control requirements or
impose any additional costs above those
previously considered during
promulgation of the 2009 amended EG.
Therefore, this regulatory action is
considered ‘‘not significant’’ under
Executive Order 12866 and 13563.
B. Paperwork Reduction Act (PRA)
This proposed action does not impose
any new information collection burden.
This action simply proposes
amendments to the hospital/medical/
infectious waste incinerators federal
plan to implement the amended
emission guidelines adopted on October
6, 2009, for those states that do not have
an approved revised/new state plan
implementing the emission guidelines.
Additionally, today’s action also
proposes to amend the new source
performance standards to better reflect
EPA’s original intent in the October 6,
2009, final rule in eliminating an
exemption during startup, shutdown
and malfunction periods from the
requirement to comply with standards
at all times. However, the Office of
Management and Budget (OMB) has
previously approved the information
collection requirements contained in the
existing regulations 40 CFR part 60
subparts CE and EC under the
provisions on the Paperwork Reduction
Act, 44 U.S.C. 3501 et seq. and has
assigned OMB Control Number 2060–
0422. The OMB Control Numbers for
EPA’s regulation in 40 CFR are listed in
40 CFR part 9.
C. Regulatory Flexibility Act (RFA)
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the Administrative Procedure Act
or any other statute unless the agency
certifies that the rule will not have a
significant economic impact on a
substantial number of small entities
(SISNOSE). Small entities include small
businesses, small organizations and
small governmental jurisdictions.
For purposes of assessing the impacts
of this proposed action on small
entities, small entity is defined as
follows: (1) A small business as defined
by the Small Business Administration’s
regulations at 13 CFR 121.201; (2) a
small governmental jurisdiction that is a
government of a city, county, town,
school district or special district with a
population of less than 50,000; or (3) a
small organization that is any not-forprofit enterprise that is independently
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owned and operated and is not
dominant in its field.
After considering the economic
impacts of today’s rule on small entities,
I certify that this action will not have a
significant economic impact on a
substantial number of small entities.
During the 2009 HMIWI EG rulemaking,
the EPA estimated that a substantial
number of small entities would not be
significantly impacted by the
promulgated EG. (See 74 FR at 51400–
51401.) This proposed amended federal
plan does not establish any new
requirements.
D. Unfunded Mandates Reform Act
(UMRA)
This proposed action does not contain
a federal mandate that may result in
expenditures of $100 million or more
for state and local governments, in the
aggregate, or the private sector in any 1
year. In the preamble to the 2009 EG,
the national total cost to comply with
the final rule was estimated to be
approximately $15.5 million in each of
the first 3 years of compliance. This
proposed federal plan, as amended, will
apply to only a subset of the units
considered in the cost analysis for the
EG, and less than 10 percent of the units
nationwide are state or locally owned.
Thus, the proposed federal plan, as
amended, is not subject to the
requirements of sections 202 or 205 of
UMRA.
In addition, the EPA has determined
that the proposed rule contains no
regulatory requirements that might
significantly or uniquely affect small
governments because, as noted above,
the burden is small and the regulation
does not unfairly apply to small
governments. Therefore, the proposed
rule is also not subject to the
requirements of section 203 of UMRA.
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E. Executive Order 13132: Federalism
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. This proposed
action will not impose substantial direct
compliance costs on state or local
governments and will not preempt state
law. Thus, Executive Order 13132 does
not apply to this proposed action.
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
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on this proposed action from state and
local officials.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This proposed action does not have
tribal implications, as specified in
Executive Order 13175 (65 FR 67249,
November 9, 2000). The EPA is not
aware of any HMIWI owned or operated
by Indian tribal governments. Thus,
Executive Order 13175 does not apply
to this proposed action.
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
The EPA interprets Executive Order
13045 (62 FR 19885; April 23, 1997) as
applying to those regulatory actions that
concern health or safety risks, such that
the analysis required under section 5–
501 of the Executive Order has the
potential to influence the regulation.
This proposed action is not subject to
Executive Order 13045 because it is
based solely on technology
performance.
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution or Use
This action is not subject to Executive
Order 13211 (66 FR 28355 (May 22,
2001)), because it is not a significant
regulatory action under Executive Order
12866.
I. National Technology Transfer and
Advancement Act (NTTAA)
Section 12(d) of the NTTAA, Public
Law 104–113 (15 U.S.C. 272 note)
directs the EPA to use voluntary
consensus standards (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
EPA decides not to use available and
applicable VCS.
This proposed rulemaking involves
technical standards. The EPA proposes
to use two VCS in today’s action. One
VCS, ASME PTC 19.10–1981, ‘‘Flue and
Exhaust Gas Analyses,’’ is cited in the
2009 EG and the 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 from the ASME, P.O. Box
2900, Fairfield, NJ 07007–2900; or
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Global Engineering Documents, Sales
Department, 15 Inverness Way East,
Englewood, CO 80112.
Another VCS, ASTM D6784–02,
‘‘Standard Test Method for Elemental,
Oxidized, Particle-Bound and Total
Mercury Gas Generated from Coal-Fired
Stationary Sources (Ontario Hydro
Method),’’ is cited in the 2009 EG and
the proposed rule as an acceptable
alternative to EPA Method 29 of
appendix A–8 (portion for Hg only) for
measuring Hg. This standard is available
from the 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 16 VCS
as being potentially applicable to the
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 proposed
rule. See the docket for the 2009 EG
(Docket ID No. EPA–HQ–OAR–2006–
0534), which is being implemented
under today’s proposed action, for the
reasons for these determinations.
Under 40 CFR 62.14495, the EPA
Administrator retains the authority of
approving alternative methods of
demonstrating compliance as
established under 40 CFR 60.8(b) and
60.13(i) of 40 CFR part 60, subpart A
(NSPS 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 EPA test methods,
performance specifications or
procedures.
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 (EJ) in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629;
Feb. 16, 1994) establishes federal
executive policy on EJ. Its main
provision directs federal agencies, to the
greatest extent practicable and
permitted by law, to make EJ part of
their mission by identifying and
addressing, as appropriate,
disproportionately high and adverse
human health or environmental effects
of their programs, policies and activities
on minority populations and lowincome populations in the United
States.
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The EPA has determined that this
proposed action will not have
disproportionately high and adverse
human health or environmental effects
on minority or low-income 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 or low-income population.
This proposed action implements
national standards in the 2009
amendments to the HMIWI EG that
would result in reductions in emissions
of Cd, CO, dioxins/furans, HCl, Pb, Hg,
NOX, PM and SO2 from all HMIWI and
thus decrease the amount of such
emissions to which all affected
populations are exposed.
§ 60.8, whichever date comes first,
ensure that the affected facility does not
operate above any of the applicable
maximum operating parameters or
below any of the applicable minimum
operating parameters listed in table 3 of
this subpart and measured as 3-hour
rolling averages (calculated each hour as
the average of the previous 3 operating
hours) at all times. * * *
*
*
*
*
*
List of Subjects in 40 CFR Parts 60 and
62
Administrative practice and
procedure, Air pollution control,
Environmental protection,
Intergovernmental relations, Reporting
and recordkeeping requirements.
Subpart HHH—[Amended]
Dated: March 27, 2012.
Lisa P. Jackson,
Administrator.
PART 60—STANDARDS OF
PERFORMANCE FOR NEW
STATIONARY SOURCES: HOSPITAL/
MEDICAL/INFECTIOUS WASTE
INCINERATORS
For the reasons stated in the
preamble, Title 40, chapter I, parts 60
and 62 of the CFR are proposed to be
amended as follows:
PART 60—[AMENDED]
1. The authority citation for part 60
continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart Ec—[Amended]
2. The subpart heading for subpart Ec
is revised to read as follows:
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Subpart Ec—Standards of
Performance for New Stationary
Sources: Hospital/Medical/Infectious
Waste Incinerators: Final Rule
Amendments
3. Section 60.56c is amended by
revising the first sentence of paragraph
(d)(2) to read as follows:
§ 60.56c
testing.
Compliance and performance
(d) * * *
(2) Following the date on which the
initial performance test is completed or
is required to be completed under
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PART 62—FEDERAL PLAN
REQUIREMENTS FOR HOSPITAL/
MEDICAL/INFECTIOUS WASTE
INCINERATORS CONSTRUCTED ON
OR BEFORE DECEMBER 1, 2008
4. The authority citation for part 62
continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
required by part 2 of this chapter (or a
comparable law governing a delegated
enforcement authority). Records
required under paragraphs (b)(1) and
(b)(2) of this section must be maintained
by the source for a period of at least 5
years. Notifications of exemption claims
required under paragraphs (b)(1) and
(b)(2) of this section must be maintained
by the EPA or delegated enforcement
authority for as long as the source is
operating under such exempt status.
Any information obtained from an
owner or operator of a source
accompanied by a claim of
confidentiality will be treated in
accordance with the regulations in part
2 of this chapter (or a comparable law
governing a delegated enforcement
authority).
7. Section 62.14401 is revised to read
as follows:
5. The subpart heading for subpart
HHH is revised to read as follows:
§ 62.14401 How do I determine if my
HMIWI is covered by an approved and
effective state or tribal plan?
Subpart HHH—Federal Plan
Requirements for Hospital/Medical/
Infectious Waste Incinerators
Constructed On or Before December 1,
2008
This part (40 CFR part 62) contains a
list of all states and tribal areas with
approved Clean Air Act (CAA) section
111(d)/129 plans in effect. However,
this part is only updated once a year.
Thus, if this part does not indicate that
your state or tribal area has an approved
and effective plan, you should contact
your state environmental agency’s air
director or your EPA Regional Office to
determine if approval occurred since
publication of the most recent version of
this part. A state may also meet its CAA
section 111(d)/129 obligations by
submitting an acceptable written request
for delegation of the federal plan that
meets the requirements of this section.
This is the only other option for a state
to meet its 111(d)/129 obligations.
(a) An acceptable federal plan
delegation request must include the
following:
(1) A demonstration of adequate
resources and legal authority to
administer and enforce the federal plan.
(2) The items under § 60.25(a) and
60.39e(c).
(3) Certification that the hearing on
the state delegation request, similar to
the hearing for a state plan submittal,
was held, a list of witnesses and their
organizational affiliations, if any,
appearing at the hearing, and a brief
written summary of each presentation or
written submission.
(4) A commitment to enter into a
Memorandum of Agreement with the
Regional Administrator who sets forth
the terms, conditions and effective date
of the delegation and that serves as the
mechanism for the transfer of authority.
Additional guidance and information is
given in the EPA’s Delegation Manual,
6. Section 62.14400 is amended by
revising paragraphs (a) introductory
text, (a)(2), and (c) to read as follows:
§ 62.14400
Am I subject to this subpart?
(a) You are subject to this subpart if
paragraphs (a)(1), (2)(i) or (ii), and (3) of
this section are all true:
*
*
*
*
*
(2)(i) Construction of the HMIWI
commenced on or before June 20, 1996,
or modification of the HMIWI
commenced on or before March 16,
1998; or
(ii) Construction of the HMIWI
commenced after June 20, 1996 but no
later than December 1, 2008, or
modification of the HMIWI commenced
after March 16, 1998 but no later than
April 6, 2010; and
*
*
*
*
*
(c) Owners or operators of sources
that qualify for the exemptions in
paragraphs (b)(1) or (b)(2) of this section
must submit records required to support
their claims of exemption to the EPA
Administrator (or delegated
enforcement authority) upon request.
Upon request by any person under the
regulation at part 2 of this chapter (or a
comparable law or regulation governing
a delegated enforcement authority), the
EPA Administrator (or delegated
enforcement authority) must request the
records in (b)(1) or (b)(2) from an owner
or operator and make such records
available to the requestor to the extent
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Item 7–139, Implementation and
Enforcement of 111(d)(2) and 111(d)/(2)/
129(b)(3) federal plans.
(b) A state with an already approved
HMIWI CAA section 111(d)/129 state
plan is not precluded from receiving
EPA approval of a delegation request for
the revised federal plan, providing the
requirements of paragraph (a) of this
section are met, and at the time of the
delegation request, the state also
requests withdrawal of the EPA’s
previous state plan approval.
(c) A state’s CAA section 111(d)/129
obligations are separate from its
obligations under Title V of the CAA.
8. Section 62.14402 is revised to read
as follows:
§ 62.14402 If my HMIWI is not listed on the
federal plan inventory, am I exempt from
this subpart?
Not necessarily. Sources subject to
this subpart include, but are not limited
to, the inventory of sources listed in
Docket ID No. EPA–HQ–OAR–2011–
0405 for the federal plan. Review the
applicability of § 62.14400 to determine
if you are subject.
9. Section 62.14403 is revised to read
as follows:
§ 62.14403 What happens if I modify an
existing HMIWI?
(a) If you commenced modification
(defined in 40 CFR 62.14490) of an
existing HMIWI after April 6, 2010, you
are subject to 40 CFR part 60, subpart
Ec (40 CFR 60.50c through 60.58c), as
amended, and you are not subject to this
subpart, except as provided in
paragraph (b) of this section.
(b) If you made physical or
operational changes to your existing
HMIWI solely for the purpose of
complying with this subpart, these
changes are not considered a
modification and you are not subject to
40 CFR part 60, subpart Ec (40 CFR
60.50c through 60.58c), as amended.
You remain subject to this subpart.
10. Section 62.14412 is revised to read
as follows:
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§ 62.14412 What stack opacity and visible
emissions requirements apply?
(a) Your HMIWI (regardless of size
category) must not discharge into the
atmosphere from the stack any gases
that exhibit greater than 6 percent
opacity (6-minute block average).
(b) Your HMIWI (regardless of size
category) must not discharge into the
atmosphere visible emissions of
combustion ash from an ash conveying
system (including conveyor transfer
points) in excess of 5 percent of the
observation period (i.e., 9 minutes per 3hour period), as determined by EPA
Reference Method 22 of 40 CFR part 60,
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appendix A–7, except as provided in
paragraphs (b)(1) and (2) of this section.
(1) The emissions limit specified in
paragraph (b) of this section does not
cover visible emissions discharged
inside buildings or enclosures of ash
conveying systems; however, the
emissions limit does cover visible
emissions discharged to the atmosphere
from buildings or enclosures of ash
conveying systems.
(2) The provisions specified in
paragraph (b) of this section do not
apply during maintenance and repair of
ash conveying systems. Maintenance
and/or repair must not exceed 10
operating days per calendar quarter
unless you obtain written approval from
the state agency establishing a date
when all necessary maintenance and
repairs of ash conveying systems are to
be completed.
11. Section 62.14413 is revised to read
as follows:
§ 62.14413 When do the emissions limits
and stack opacity and visible emissions
requirements apply?
The emissions limits and stack
opacity and visible emissions
requirements of this subpart apply at all
times.
12. Section 62.14422 is amended by
adding paragraph (a)(14) to read as
follows:
*
*
*
*
*
(14) Training in waste segregation
according to § 62.14430(c).
13. Section 62.14425 is amended by
revising paragraph (b) to read as follows:
*
*
*
*
*
(b) You must conduct your initial
review of the information listed in
§ 62.14424 by [date 6 months after
publication of final rule], or prior to
assumption of responsibilities affecting
HMIWI operation, whichever is later.
*
*
*
*
*
14. Section 62.14431 is revised to read
as follows:
§ 62.14431 What must my waste
management plan include?
(a) Your waste management plan must
identify both the feasibility of, and the
approach for, separating certain
components of solid waste from the
health care waste stream in order to
reduce the amount of toxic emissions
from incinerated waste. The waste
management plan you develop may
address, but is not limited to, elements
such as segregation and recycling of
paper, cardboard, plastics, glass,
batteries, food waste and metals (e.g.,
aluminum cans, metals-containing
devices); segregation of non-recyclable
wastes (e.g., polychlorinated biphenylcontaining waste, pharmaceutical waste,
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and mercury-containing waste such as
dental waste); and purchasing recycled
or recyclable products. Your waste
management plan may include different
goals or approaches for different areas or
departments of the facility and need not
include new waste management goals
for every waste stream. When you
develop your waste management plan, it
should identify, where possible,
reasonably available additional waste
management measures, taking into
account the effectiveness of waste
management measures already in place,
the costs of additional measures, the
emissions reductions expected to be
achieved, and any other potential
environmental or energy impacts they
might have. In developing your waste
management plan, you must consider
the American Hospital Association
(AHA) publication titled ‘‘Ounce of
Prevention: Waste Reduction Strategies
for Health Care Facilities.’’ This
publication (AHA Catalog No. 057007)
is available for purchase from the AHA
Services, Inc., Post Office Box 933283,
Atlanta, Georgia 31193–3283.
(b) If you own or operate commercial
HMIWI, you must conduct training and
education programs in waste segregation
for each of your waste generator clients
and ensure that each client prepares its
own waste management plan that
includes, but is not limited to, the
provisions listed in this section.
(c) If you own or operate commercial
HMIWI, you must conduct training and
education programs in waste segregation
for your HMIWI operators.
15. Section 62.14432 is revised to read
as follows:
§ 62.14432 When must my waste
management plan be completed?
As specified in §§ 62.14463 and
62.14464, you must submit your waste
management plan with your initial
report, which is due 60 days after you
demonstrate initial compliance with the
amended emissions limits, by
conducting an initial performance test
or submitting the results of previous
emissions tests, provided the conditions
in § 62.14451(e) are met.
16. Section 62.14440 is revised to read
as follows:
§ 62.14440 Which HMIWI are subject to
inspection requirements?
(a) Small rural HMIWI (defined in
§ 62.14490) are subject to the HMIWI
inspection requirements.
(b) All HMIWI equipped with one or
more air pollution control devices are
subject to the air pollution control
device inspection requirements.
17. Section 62.14441 is revised to read
as follows:
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§ 62.14441
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When must I inspect my
(a) You must inspect your small rural
HMIWI by [date 1 year after publication
of final rule].
(b) You must conduct inspections of
your small rural HMIWI as outlined in
§ 62.14442(a) annually (no more than 12
months following the previous annual
HMIWI inspection).
(c) You must inspect the air pollution
control devices on your large, medium,
small or small rural HMIWI by [date 1
year after publication of final rule].
(d) You must conduct the air
pollution control device inspections as
outlined in § 62.14442(b) annually (no
more than 12 months following the
previous annual air pollution control
device inspection).
18. Section 62.14442 is amended as
follows:
a. By redesignating paragraphs (a)
through (q) as paragraphs (a)(1) through
(a)(18);
b. By redesignating introductory text
as paragraph (a) introductory text;
c. By revising newly designated
paragraph (a) introductory text; and
d. By adding paragraph (a)(17)
e. By adding paragraph new
paragraph (b).
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§ 62.14442
include?
What must my inspection
(a) At a minimum, you must do the
following during your HMIWI
inspection:
*
*
*
*
*
(17) Include inspection elements
according to manufacturer’s
recommendations; and
(18) * * *
(b) At a minimum, you must do the
following during your air pollution
control device inspection:
(1) Inspect air pollution control
device(s) for proper operation, if
applicable;
(2) Ensure proper calibration of
thermocouples, sorbent feed systems
and any other monitoring equipment;
and
(3) Include inspection elements
according to manufacturer’s
recommendations; and
(4) Generally observe that the
equipment is maintained in good
operating condition.
19. Section 62.14443 is revised to read
as follows:
§ 62.14443
When must I do repairs?
(a) You must complete any necessary
repairs to the HMIWI within 10
operating days of the HMIWI inspection
unless you obtain written approval from
the EPA Administrator (or delegated
enforcement authority) establishing a
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different date when all necessary repairs
of your HMIWI must be completed.
(b) You must complete any necessary
repairs to the air pollution control
device within 10 operating days of the
air pollution control device inspection
unless you obtain written approval from
the EPA Administrator (or delegated
enforcement authority) establishing a
different date when all necessary repairs
of your air pollution control device
must be completed. During the time that
you effecting repairs to your air
pollution control device, all emissions
standards remain in effect according to
§ 62.14413.
20. Section 62.14450 is removed and
reserved.
21. Section 62.14451 is amended as
follows:
a. By revising paragraph (a);
b. By adding paragraph (b)(3);
c. By redesignating paragraph (c) as
paragraph (d);
d. By adding new paragraph (c); and
e. By adding paragraph (e).
§ 62.14451 What are the testing
requirements?
(a) Except as specified in paragraph
(e) of this section, you must conduct an
initial performance test for PM, opacity,
CO, dioxin/furan, HCl, Pb, Cd, Hg, SO2,
NOX and fugitive ash emissions using
the test methods and procedures
outlined in § 62.14452.
(b) * * *
(3) If you use a large HMIWI that
commenced construction or
modification according to
§ 62.14400(a)(2)(ii), determine
compliance with the visible emissions
limits for fugitive emissions from
flyash/bottom ash storage and handling
by conducting a performance test using
EPA Reference Method 22 of 40 CFR
part 60, appendix A–7 on an annual
basis (no more than 12 months
following the previous performance
test).
(c) The 2,000 lb/wk limitation for
small rural HMIWI does not apply
during performance tests.
*
*
*
*
*
(e) You may use the results of
previous emissions tests to demonstrate
compliance with the emissions limits,
provided that the conditions in
paragraphs (e)(1) through (3) of this
section are met:
(1) Your previous emissions tests
must have been conducted using the
applicable procedures and test methods
listed in § 62.14452. Previous emissions
test results obtained using the EPAaccepted voluntary consensus standards
are also acceptable.
(2) The HMIWI at your facility must
currently be operated in a manner (e.g.,
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with charge rate, secondary chamber
temperature, etc.) that would be
expected to result in the same or lower
emissions than observed during the
previous emissions test(s), and the
HMIWI may not have been modified
such that emissions would be expected
to exceed the results from previous
emissions test(s).
(3) The previous emissions test(s)
must have been conducted in 1996 or
later.
22. Section 62.14452 is amended as
follows:
a. By revising paragraphs (c), (d), and
(f);
b. By redesignating paragraph (l) as
paragraph (o);
c. By revising newly designated
paragraph (o);
d. By redesignating paragraph (m) as
paragraph (r);
e. By redesignating paragraphs (g)
through (k) as paragraphs (i) through
(m);
f. By revising newly designated
paragraphs (i) through (m);
g. By adding new paragraphs (g) and
(h);
h. By adding paragraphs (n), (p) and
(q).
§ 62.14452 What test methods and
procedures must I use?
*
*
*
*
*
(c) You must use EPA Reference
Method 1 of 40 CFR part 60, appendix
A–1 to select the sampling location and
number of traverse points;
(d) You must use EPA Reference
Method 3, 3A or 3B of 40 CFR part 60,
appendix A–2 for gas composition
analysis, including measurement of
oxygen concentration. You must use
EPA Reference Method 3, 3A or 3B of
40 CFR part 60, appendix A–2
simultaneously with each reference
method. You may use ASME PTC–19–
10–1981–Part 10 (incorporated by
reference in 40 CFR 60.17) as an
alternative to EPA Reference Method
3B;
*
*
*
*
*
(f) You must use EPA Reference
Method 5 of 40 CFR part 60, appendix
A–3 or Method 26A or Method 29 of 40
CFR part 60, appendix A–8 to measure
particulate matter (PM) emissions. You
may use bag leak detection systems, as
specified in § 62.14454(e), or PM
continuous emissions monitoring
systems (CEMS), as specified in
paragraph (o) of this section, as an
alternative to demonstrate compliance
with the PM emissions limit;
(g) You must use EPA Reference
Method 6 or 6C of 40 CFR part 60,
appendix A–4 to measure SO2
emissions;
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(h) You must use EPA Reference
Method 7 or 7E of 40 CFR part 60,
appendix A–4 to measure NOX
emissions;
(i) You must use EPA Reference
Method 9 of 40 CFR part 60, appendix
A–4 to measure stack opacity. You may
use bag leak detection systems, as
specified in § 62.14454(e), or PM CEMS,
as specified in paragraph (o) of this
section, as an alternative to demonstrate
compliance with the opacity
requirements;
(j) You must use EPA Reference
Method 10 or 10B of 40 CFR part 60,
appendix A–4 to measure the CO
emissions. You may use CO CEMS, as
specified in paragraph (o) of this
section, as an alternative to demonstrate
compliance with the CO emissions
limit;
(k) You must use EPA Reference
Method 23 of 40 CFR part 60, appendix
A–7 to measure total dioxin/furan
emissions. The minimum sample time
must be 4 hours per test run. You may
elect to sample dioxins/furans by
installing, calibrating, maintaining and
operating a continuous automated
sampling system, as specified in
paragraph (p) of this section, as an
alternative to demonstrate compliance
with the dioxin/furan emissions limit. If
you have selected the toxic equivalency
(TEQ) standards for dioxin/furans under
§ 62.14411, you must use the following
procedures to determine compliance:
(1) Measure the concentration of each
dioxin/furan tetra-through octacongener emitted using EPA Reference
Method 23 of 40 CFR part 60, appendix
A–7;
(2) For each dioxin/furan congener
measured in accordance with paragraph
(k)(1) of this section, multiply the
congener concentration by its
corresponding TEQ factor specified in
Table 2 of this subpart;
(3) Sum the products calculated in
accordance with paragraph (k)(2) of this
section to obtain the total concentration
of dioxins/furans emitted in terms of
TEQ.
(l) You must use EPA Reference
Method 26 or 26A of 40 CFR part 60,
appendix A–8 to measure HCl
emissions. You may use HCl CEMS as
an alternative to demonstrate
compliance with the HCl emissions
limit;
(m) You must use EPA Reference
Method 29 of 40 CFR part 60, appendix
A–8 to measure Pb, Cd and Hg
emissions. You may use ASTM D6784–
02 (incorporated by reference in 40 CFR
60.17) as an alternative to EPA
Reference Method 29 for measuring Hg
emissions. You may also use Hg CEMS,
as specified in paragraph (o) of this
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section, or a continuous automated
sampling system for monitoring Hg
emissions, as specified in paragraph (q)
of this section, as an alternative to
demonstrate compliance with the Hg
emissions limit. You may use multimetals CEMS, as specified in paragraph
(o) of this section, as an alternative to
EPA Reference Method 29 to
demonstrate compliance with the Pb, Cd
or Hg emissions limits;
(n) You must use EPA Reference
Method 22 of 40 CFR part 60, appendix
A–7 to determine compliance with the
fugitive ash emissions limit under
§ 60.52c(c). The minimum observation
time must be a series of three 1-hour
observations.
(o) If you are using a CEMS to
demonstrate compliance with any of the
emissions limits under §§ 62.14411 or
62.14412, you:
(1) Must determine compliance with
the appropriate emissions limit(s) using
a 12-hour rolling average, calculated as
specified in section 12.4.1 of EPA
Reference Method 19 of 40 CFR part 60,
appendix A–7. Performance tests using
EPA Reference Methods are not required
for pollutants monitored with CEMS.
(2) Must operate a CEMS to measure
oxygen concentration, adjusting
pollutant concentrations to 7 percent
oxygen as specified in paragraph (e) of
this section.
(3) Must operate all CEMS in
accordance with the applicable
procedures under appendices B and F of
40 CFR part 60. For those CEMS for
which performance specifications have
not yet been promulgated (HCl, multimetals), this option takes effect on the
date a final performance specification is
published in the Federal Register or the
date of approval of a site-specific
monitoring plan.
(4) May substitute use of a CO CEMS
for the CO annual performance test and
minimum secondary chamber
temperature to demonstrate compliance
with the CO emissions limit.
(5) May substitute use of an HCl
CEMS for the HCl annual performance
test, minimum HCl sorbent flow rate
and minimum scrubber liquor pH to
demonstrate compliance with the HCl
emissions limit.
(6) May substitute use of a PM CEMS
for the PM annual performance test and
minimum pressure drop across the wet
scrubber, if applicable, to demonstrate
compliance with the PM emissions
limit.
(p) If you are using a continuous
automated sampling system to
demonstrate compliance with the
dioxin/furan emissions limits, you must
record the output of the system and
analyze the sample according to EPA
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Reference Method 23 of 40 CFR part 60,
appendix A–7. This option to use a
continuous automated sampling system
takes effect on the date a final
performance specification applicable to
dioxin/furan from monitors is published
in the Federal Register or the date of
approval of a site-specific monitoring
plan. If you elect to continuously
sample dioxin/furan emissions instead
of sampling and testing using EPA
Reference Method 23 of 40 CFR part 60,
appendix A–7, you must install,
calibrate, maintain and operate a
continuous automated sampling system
and comply with the requirements
specified in 40 CFR 60.58b(p) and (q) of
subpart Eb.
(q) If you are using a continuous
automated sampling system to
demonstrate compliance with the Hg
emissions limits, you must record the
output of the system and analyze the
sample at set intervals using any
suitable determinative technique that
can meet appropriate performance
criteria. This option to use a continuous
automated sampling system takes effect
on the date a final performance
specification applicable to Hg from
monitors is published in the Federal
Register or the date of approval of a sitespecific monitoring plan. If you elect to
continuously sample Hg emissions
instead of sampling and testing using
EPA Reference Method 29 of 40 CFR
part 60, appendix A–8, or an approved
alternative method for measuring Hg
emissions, you must install, calibrate,
maintain and operate a continuous
automated sampling system and comply
with the requirements specified in 40
CFR 60.58b(p) and (q) of subpart Eb.
*
*
*
*
*
23. Section 62.14453 is amended as
follows:
a. By revising paragraph (a)
introductory text;
b. By revising paragraph (a)(2); and
c. By revising paragraph (b).
§ 62.14453
What must I monitor?
(a) If your HMIWI uses combustion
control only, or your HMIWI is
equipped with a dry scrubber followed
by a fabric filter (FF), a wet scrubber, a
dry scrubber followed by a FF and wet
scrubber, or a selective noncatalytic
reduction (SNCR) system:
*
*
*
*
*
(2) After the date on which the initial
performance test is completed or is
required to be completed under
§ 62.14470, whichever comes first, your
HMIWI must not operate above any of
the applicable maximum operating
parameters or below any of the
applicable minimum operating
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parameters listed in Table 3 and
measured as 3-hour rolling averages
(calculated each hour as the average of
the previous 3 operating hours), at all
times except during performance tests.
(b) If you are using an air pollution
control device other than a dry scrubber
followed by a FF, a wet scrubber, a dry
scrubber followed by a FF and a wet
scrubber, or a SNCR system to comply
with the emissions limits under
§ 62.14411, you must petition the EPA
Administrator for site-specific operating
parameters to be established during the
initial performance test and you must
continuously monitor those parameters
thereafter. You may not conduct the
initial performance test until the EPA
Administrator has approved the
petition.
24. Section 62.14454 is amended as
follows:
a. By revising paragraph (a);
b. By revising paragraph (b);
c. By revising paragraph (c); and
d. By adding paragraph (e).
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§ 62.14454 How must I monitor the
required parameters?
(a) Except as provided in
§§ 62.14452(o) through (q), you must
install, calibrate (to manufacturers’
specifications), maintain and operate
devices (or establish methods) for
monitoring the applicable maximum
and minimum operating parameters
listed in Table 3 of this subpart (unless
CEMS are used as a substitute for
certain parameters as specified) such
that these devices (or methods) measure
and record values for the operating
parameters at the frequencies indicated
in Table 3 of this subpart at all times.
For charge rate, the device must
measure and record the date, time and
weight of each charge fed to the HMIWI.
This must be done automatically,
meaning that the only intervention from
an operator during the process would be
to load the charge onto the weighing
device. For batch HMIWI, the maximum
charge rate is measured on a daily basis
(the amount of waste charged to the unit
each day).
(b) For all HMIWI, you must install,
calibrate (to manufacturers’
specifications), maintain and operate a
device or method for measuring the use
of the bypass stack, including the date,
time and duration of such use.
(c) For all HMIWI, if you are using
controls other than a dry scrubber
followed by a FF, a wet scrubber, a dry
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scrubber followed by a FF and a wet
scrubber, or a SNCR system to comply
with the emissions limits under
§ 62.14411, you must install, calibrate
(to manufacturers’ specifications),
maintain and operate the equipment
necessary to monitor the site-specific
operating parameters developed
pursuant to § 62.14453(b).
*
*
*
*
*
(e) If you use an air pollution control
device that includes a FF and are not
demonstrating compliance using PM
CEMS, you must determine compliance
with the PM emissions limit using a bag
leak detection system and meet the
requirements in paragraphs (e)(1)
through (12) of this section for each bag
leak detection system.
(1) Each triboelectric bag leak
detection system must be installed,
calibrated, operated and maintained
according to the ‘‘Fabric Filter Bag Leak
Detection Guidance,’’ (EPA–454/R–98–
015, September 1997). This document is
available from the U.S. Environmental
Protection Agency (U.S. EPA); Office of
Air Quality Planning and Standards;
Sector Policies and Programs Division;
Measurement Policy Group (D–243–02),
Research Triangle Park, NC 27711. This
document is also available on the
Technology Transfer Network (TTN)
under Emissions Measurement Center
Continuous Emissions Monitoring.
Other types of bag leak detection
systems must be installed, operated,
calibrated and maintained in a manner
consistent with the manufacturer’s
written specifications and
recommendations.
(2) The bag leak detection system
must be certified by the manufacturer to
be capable of detecting PM emissions at
concentrations of 10 milligrams per
actual cubic meter (0.0044 grains per
actual cubic foot) or less.
(3) The bag leak detection system
sensor must provide an output of
relative PM loadings.
(4) The bag leak detection system
must be equipped with a device to
continuously record the output signal
from the sensor.
(5) The bag leak detection system
must be equipped with an audible alarm
system that will sound automatically
when an increase in relative PM
emissions over a preset level is detected.
The alarm must be located where it is
easily heard by plant operating
personnel.
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(6) For positive pressure FF systems,
a bag leak detector must be installed in
each baghouse compartment or cell.
(7) For negative pressure or induced
air FF, the bag leak detector must be
installed downstream of the FF.
(8) Where multiple detectors are
required, the system’s instrumentation
and alarm may be shared among
detectors.
(9) The baseline output must be
established by adjusting the range and
the averaging period of the device and
establishing the alarm set points and the
alarm delay time according to section
5.0 of the ‘‘Fabric Filter Bag Leak
Detection Guidance.’’
(10) Following initial adjustment of
the system, the sensitivity or range,
averaging period, alarm set points or
alarm delay time may not be adjusted.
In no case may the sensitivity be
increased by more than 100 percent or
decreased more than 50 percent over a
365-day period unless such adjustment
follows a complete FF inspection that
demonstrates that the FF is in good
operating condition. Each adjustment
must be recorded.
(11) Record the results of each
inspection, calibration and validation
check.
(12) Initiate corrective action within 1
hour of a bag leak detection system
alarm; operate and maintain the FF such
that the alarm is not engaged for more
than 5 percent of the total operating
time in a 6-month block reporting
period. If inspection of the FF
demonstrates that no corrective action is
required, no alarm time is counted. If
corrective action is required, each alarm
is counted as a minimum of 1 hour. If
it takes longer than 1 hour to initiate
corrective action, the alarm time is
counted as the actual amount of time
taken to initiate corrective action.
25. Section 62.14455 is revised to read
as follows:
§ 62.14455 What if my HMIWI goes outside
of a parameter limit?
(a) Operation above the established
maximum or below the established
minimum operating parameter(s)
constitutes a violation of established
operating parameter(s). Operating
parameter limits do not apply during
performance tests.
(b) Except as provided in paragraph
(g) or (h) of this section, if your HMIWI
uses combustion control only:
E:\FR\FM\23APP2.SGM
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24293
And your HMIWI . . .
Then you are in violation
of . . .
Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily average for batch HMIWI) and below the minimum secondary chamber temperature (3-hour rolling average) simultaneously.
The PM, CO and dioxin/
furan emissions limits.
(c) Except as provided in paragraph (f)
or (g) of this section, if your HMIWI is
equipped with a dry scrubber followed
by a FF:
And your HMIWI . . .
Then you are in violation
of . . .
(1) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum secondary chamber temperature (3-hour rolling average) simultaneously.
(2) Operates above the maximum FF inlet temperature (3-hour rolling average), above the maximum charge rate
(3-hour rolling average for continuous and intermittent HMIWI, daily average for batch HMIWI), and below the
minimum dioxin/furan sorbent flow rate (3-hour rolling average) simultaneously.
(3) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum HCl sorbent flow rate (3-hour rolling average) simultaneously.
(4) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum Hg sorbent flow rate (3-hour rolling average) simultaneously.
(5) Uses the bypass stack .............................................................................................................................................
The CO emissions limit.
(6) Operates above the CO emissions limit as measured by a CO CEMS, as specified in § 62.14452(o) .................
(7) Uses a bag leak detection system, as specified in § 62.14454(e), to demonstrate compliance with the PM
emissions limit and either fails to initiate corrective action within 1 hour of a bag leak detection system alarm or
fails to operate and maintain the FF such that the alarm is not engaged for more than 5 percent of the total operating time in a 6-month block reporting period.
(8) Uses a bag leak detection system, as specified in § 62.14454(e), to demonstrate compliance with the opacity
limit and either fails to initiate corrective action within 1 hour of a bag leak detection system alarm or fails to operate and maintain the FF such that the alarm is not engaged for more than 5 percent of the total operating
time in a 6-month block reporting period.
(9) Operates above the PM emissions limit as measured by a PM CEMS, as specified in § 62.14452(o) .................
(10) Operates above the HCl emissions limit as measured by an HCl CEMS, as specified in § 62.14452(o) ............
(11) Operates above the Pb emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(12) Operates above the Cd emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(13) Operates above the Hg emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(14) Operates above the dioxin/furan emissions limit as measured by a continuous automated sampling system,
as specified in § 62.14452(p).
(15) Operates above the Hg emissions limit as measured by a continuous automated sampling system, as specified in § 62.14452(q).
The dioxin/furan emissions
limit.
The HCl emissions limit.
The Hg emissions limit.
The PM, dioxin/furan, HCl,
Pb, Cd and Hg emissions
limits.
The CO emissions limit.
The PM emissions limit.a
The opacity limit.a
The PM emissions limit.
The HCl emissions limit.
The Pb emissions limit.
The Cd emissions limit.
The Hg emissions limit.
The dioxin/furan emissions
limit.
The Hg emissions limit.
a If inspection of the FF demonstrates that no corrective action is required, no alarm time is counted. If corrective action is required, each alarm
is counted as a minimum of 1 hour. If it takes longer than 1 hour to initiate corrective action, the alarm time is counted as the actual amount of
time taken to initiate corrective action.
(d) Except as provided in paragraph
(g) or (h) of this section, if your HMIWI
is equipped with a wet scrubber:
rmajette on DSK2TPTVN1PROD with PROPOSALS2
And your HMIWI . . .
Then you are in violation
of . . .
(1) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum secondary chamber temperature (3-hour rolling average) simultaneously.
(2) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum pressure drop across the wet scrubber (3-hour rolling average) or below the minimum horsepower or amperage to the system (3-hour rolling average) simultaneously.
(3) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI), below the minimum secondary chamber temperature (3-hour rolling average), and
below the minimum scrubber liquor flow rate (3-hour rolling average) simultaneously.
(4) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum scrubber liquor pH (3-hour rolling average) simultaneously.
(5) Operates above the maximum flue gas temperature (3-hour rolling average) and above the maximum charge
rate (3-hour rolling average for continuous and intermittent HMIWI, daily average for batch HMIWI) simultaneously.
(6) Uses the bypass stack .............................................................................................................................................
The CO emissions limit.
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Jkt 226001
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Fmt 4701
Sfmt 4702
E:\FR\FM\23APP2.SGM
23APP2
The PM emissions limit.
The dioxin/furan emissions
limit.
The HCl emissions limit.
The Hg emissions limit.
The PM, dioxin/furan, HCl,
Pb, Cd and Hg emissions
limits.
24294
Federal Register / Vol. 77, No. 78 / Monday, April 23, 2012 / Proposed Rules
And your HMIWI . . .
Then you are in violation
of . . .
(7) Operates above the CO emissions limit as measured by a CO CEMS, as specified in § 62.14452(o) .................
(8) Operates above the PM emissions limit as measured by a PM CEMS, as specified in § 62.14452(o) .................
(9) Operates above the HCl emissions limit as measured by an HCl CEMS, as specified in § 62.14452(o) ..............
(10) Operates above the Pb emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(11) Operates above the Cd emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(12) Operates above the Hg emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(13) Operates above the dioxin/furan emissions limit as measured by a continuous automated sampling system,
as specified in § 62.14452(p).
(14) Operates above the Hg emissions limit as measured by a continuous automated sampling system, as specified in § 62.14452(q).
The CO emissions limit.
The PM emissions limit.
The HCl emissions limit.
The Pb emissions limit.
The Cd emissions limit.
The Hg emissions limit.
The dioxin/furan emissions
limit.
The Hg emissions limit.
(e) Except as provided in paragraph
(g) or (h) of this section, if your HMIWI
is equipped with a dry scrubber
followed by a FF and a wet scrubber:
And your HMIWI . . .
Then you are in violation
of . . .
(1) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum secondary chamber temperature (3-hour rolling average) simultaneously.
(2) Operates above the maximum fabric filter inlet temperature (3-hour rolling average), above the maximum
charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily average for batch HMIWI), and
below the minimum dioxin/furan sorbent flow rate (3-hour rolling average) simultaneously.
(3) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum scrubber liquor pH (3-hour rolling average) simultaneously.
(4) Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily
average for batch HMIWI) and below the minimum Hg sorbent flow rate (3-hour rolling average) simultaneously.
(5) Uses the bypass stack .............................................................................................................................................
The CO emissions limit.
(6) Operates above the CO emissions limit as measured by a CO CEMS, as specified in § 62.14452(o) .................
(7) Uses a bag leak detection system, as specified in § 62.14454(e), to demonstrate compliance with the PM
emissions limit and either fails to initiate corrective action within 1 hour of a bag leak detection system alarm or
fails to operate and maintain the FF such that the alarm is not engaged for more than 5 percent of the total operating time in a 6-month block reporting period.
(8) Uses a bag leak detection system, as specified in § 62.14454(e), to demonstrate compliance with the opacity
limit and either fails to initiate corrective action within 1 hour of a bag leak detection system alarm or fails to operate and maintain the FF such that the alarm is not engaged for more than 5 percent of the total operating
time in a 6-month block reporting period.
(9) Operates above the PM emissions limit as measured by a PM CEMS, as specified in § 62.14452(o) .................
(10) Operates above the HCl emissions limit as measured by an HCl CEMS, as specified in § 62.14452(o) ............
(11) Operates above the Pb emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(12) Operates above the Cd emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(13) Operates above the Hg emissions limit as measured by a multi-metals CEMS, as specified in § 62.14452(o) ..
(14) Operates above the dioxin/furan emissions limit as measured by a continuous automated sampling system,
as specified in § 62.14452(p).
(15) Operates above the Hg emissions limit as measured by a continuous automated sampling system, as specified in § 62.14452(q).
The dioxin/furan emissions
limit.
The HCl emissions limit.
The Hg emissions limit.
The PM, dioxin/furan, HCl,
Pb, Cd and Hg emissions
limits.
The CO emissions limit.
The PM emissions limit.a
The opacity limit.a
The PM emissions limit.
The HCl emissions limit.
The Pb emissions limit.
The Cd emissions limit.
The Hg emissions limit
The dioxin/furan emissions
limit.
The Hg emissions limit.
a If inspection of the FF demonstrates that no corrective action is required, no alarm time is counted. If corrective action is required, each alarm
is counted as a minimum of 1 hour. If it takes longer than 1 hour to initiate corrective action, the alarm time is counted as the actual amount of
time taken to initiate corrective action.
(f) Except as provided in paragraph (g)
or (h) of this section, if your HMIWI is
equipped with a SNCR system:
rmajette on DSK2TPTVN1PROD with PROPOSALS2
And your HMIWI . . .
Then you are in violation
of . . .
Operates above the maximum charge rate (3-hour rolling average for continuous and intermittent HMIWI, daily average for batch HMIWI), below the minimum secondary chamber temperature (3-hour rolling average), and
below the minimum reagent flow rate (3-hour rolling average) simultaneously.
The NOX emissions limit.
(g) You may conduct a repeat
performance test within 30 days of
violation of applicable operating
parameter(s) to demonstrate that your
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15:12 Apr 20, 2012
Jkt 226001
HMIWI is not in violation of the
applicable emissions limit(s). You must
conduct repeat performance tests
pursuant to this paragraph using the
PO 00000
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Fmt 4701
Sfmt 4702
identical operating parameters that
indicated a violation under paragraph
(b), (c), (d), (e), or (f) of this section.
E:\FR\FM\23APP2.SGM
23APP2
Federal Register / Vol. 77, No. 78 / Monday, April 23, 2012 / Proposed Rules
(h) If you are using a CEMS to
demonstrate compliance with any of the
emissions limits in table 1 of this
subpart or § 62.14412, and your CEMS
indicates compliance with an emissions
limit during periods when operating
parameters indicate a violation of an
emissions limit under paragraphs (b),
(c), (d), (e) or (f) of this section, then you
are considered to be in compliance with
the emissions limit. You need not
conduct a repeat performance test to
demonstrate compliance.
26. Section 62.14460 is amended as
follows:
a. By redesignating paragraphs (b)(7)
through (b)(15) as paragraphs (b)(8)
through (b)(16);
b. By revising newly designated
paragraph (b)(16);
c. By adding new paragraph (b)(7);
d. By adding paragraphs (b)(17)
through (b)(19); and
e. By revising paragraphs (c), (e), and
(f).
§ 62.14460
What records must I maintain?
rmajette on DSK2TPTVN1PROD with PROPOSALS2
*
*
*
*
*
(b) * * *
(7) Amount and type of NOX reagent
used during each hour of operation, as
applicable;
*
*
*
*
*
(16) All operating parameter data
collected, if you are complying by
monitoring site-specific operating
parameters under § 62.14453(b).
(17) Concentrations of CO, PM, HCl,
Pb, Cd, Hg and dioxin/furan, as
applicable, as determined by the CEMS
or continuous automated sampling
system, as applicable.
(18) Records of the annual air
pollution control device inspections,
any required maintenance and any
repairs not completed within 10 days of
an inspection or the timeframe
established by the Administrator.
(19) Records of each bag leak
detection system alarm, the time of the
alarm, the time corrective action was
initiated and completed and a brief
description of the cause of the alarm
and the corrective action taken, as
applicable.
(c) Identification of calendar days for
which data on emissions rates or
operating parameters specified under
paragraph (b)(1) through (17) of this
section were not obtained, with an
identification of the emissions rates or
operating parameters not measured,
reasons for not obtaining the data, and
a description of corrective actions taken;
*
*
*
*
*
(e) Identification of calendar days for
which data on emissions rates or
operating parameters specified under
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15:12 Apr 20, 2012
Jkt 226001
paragraphs (b)(1) through (17) of this
section exceeded the applicable limits,
with a description of the exceedances,
reasons for such exceedances and a
description of corrective actions taken.
(f) The results of the initial, annual
and any subsequent performance tests
conducted to determine compliance
with the emissions limits and/or to
establish or re-establish operating
parameters, as applicable, including
sample calculations, of how the
operating parameters were established
or re-established, if applicable.
*
*
*
*
*
27. Section 62.14463 is amended as
follows:
a. By redesignating paragraphs (a)
through (c) as paragraphs (a)(1) through
(a)(3);
b. By revising newly designated
paragraphs (a)(1) and (a)(2);
c. By adding paragraph (a)(4);
d. By redesignating introductory text
as paragraph (a) introductory text;
e. By redesignating paragraphs (d)
through (k) as paragraphs (a)(5) through
(a)(12);
f. By revising newly designated
paragraphs (a)(5), (a)(11), and (a)(12);
g. By adding paragraphs (a)(13)
through (a)(15); and
h. By adding new paragraph (b).
§ 62.14463 What reporting requirements
must I satisfy?
(a) * * *
(1) The initial performance test data
as recorded under § 62.14451(a);
(2) The values for the site-specific
operating parameters established
pursuant to § 62.14453, as applicable,
and a description, including sample
calculations, of how the operating
parameters were established during the
initial performance test;
*
*
*
*
*
(4) If you use a bag leak detection
system, analysis and supporting
documentation demonstrating
conformance with the EPA guidance
and specifications for bag leak detection
systems in § 62.14454(e);
(5) The highest maximum operating
parameter and the lowest minimum
operating parameter, as applicable, for
each operating parameter recorded for
the calendar year being reported,
pursuant to § 62.14453, as applicable;
*
*
*
*
*
(11) Any use of the bypass stack,
duration of such use, reason for
malfunction and corrective action taken;
(12) Records of the annual equipment
inspections, any required maintenance
and any repairs not completed within
10 days of an inspection or the time
frame established by the EPA
PO 00000
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Fmt 4701
Sfmt 4702
24295
Administrator (or delegated
enforcement authority);
(13) Records of the annual air
pollution control device inspections,
any required maintenance and any
repairs not completed within 10 days of
an inspection or the time frame
established by the EPA Administrator
(or delegated enforcement authority);
(14) Concentrations of CO, PM, HCl,
Pb, Cd, Hg and dioxin/furan, as
applicable, as determined by the CEMS
or continuous automated sampling
system, as applicable; and
(15) Petition for site-specific operating
parameters under § 62.14453(b).
(b) If you choose to submit an
electronic copy of stack test reports to
the EPA’s WebFIRE database, as of
December 31, 2011, you must enter the
test data into the EPA’s database using
the Electronic Reporting Tool (ERT)
located at https://www.epa.gov/ttn/chief/
ert/ert_tool.html.
28. Section 62.14464 is amended as
follows:
a. By revising paragraph (a);
b. By revising paragraph (b); and
c. By adding paragraph (d).
§ 62.14464
When must I submit reports?
(a) You must submit the information
specified in §§ 62.14463(a)(1) through
(4) no later than 60 days following the
initial performance test.
(b) You must submit an annual report
to the EPA Administrator (or delegated
enforcement authority) no more than 1
year following the submission of the
information in paragraph (a) of this
section, and you must submit
subsequent reports no more than 1 year
following the previous report (once the
unit is subject to permitting
requirements under Title V of the CAA,
you must submit these reports
semiannually). The annual report must
include the information specified in
§§ 62.14463(a)(5) through (14), as
applicable.
*
*
*
*
*
(d) You must submit your petition for
site-specific operating parameters
specified in § 62.14463(a)(15) prior to
your initial performance test. You may
not conduct the initial performance test
until the EPA Administrator has
approved the petition.
29. Section 62.14470 is amended as
follows:
a. By revising paragraph (a)
introductory text;
b. By revising paragraphs (a)(1)
through (a)(3);
c. By revising paragraph (b)
introductory text;
d. By revising paragraph (b)(1);
e. By revising paragraphs (b)(2)(i)
through (b)(2)(v); and
E:\FR\FM\23APP2.SGM
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Federal Register / Vol. 77, No. 78 / Monday, April 23, 2012 / Proposed Rules
f. By revising paragraph (b)(3).
§ 62.14470 When must I comply with this
subpart if I plan to continue operation of my
HMIWI?
rmajette on DSK2TPTVN1PROD with PROPOSALS2
*
*
*
*
*
(a) If you plan to continue operation
and come into compliance with the
requirements of this subpart by [date 1
year after publication of final rule], then
you must complete the requirements of
paragraphs (a)(1) through (a)(4) of this
section.
(1) You must comply with the
operator training and qualification
requirements and inspection
requirements (if applicable) of this
subpart by [date 1 year after publication
of final rule].
(2) You must achieve final
compliance by [date 1 year after
publication of final rule]. This includes
incorporating all process changes and/or
completing retrofit construction,
connecting the air pollution control
equipment or process changes such that
the HMIWI is brought online, and
ensuring that all necessary process
changes and air pollution control
equipment are operating properly.
(3) You must conduct the initial
performance test required by
§ 62.14451(a) within 180 days after the
date when you are required to achieve
final compliance under paragraph (a)(2)
of this section.
*
*
*
*
*
(b) If you plan to continue operation
and come into compliance with the
requirements of this subpart after [date
1 year after publication of final rule],
but before October 6, 2014, then you
must complete the requirements of
paragraphs (b)(1) through (b)(4) of this
section.
(1) You must comply with the
operator training and qualification
requirements and inspection
requirements (if applicable) of this
subpart by [date 1 year after publication
of final rule].
(2) * * *
(i) You must submit a final control
plan by October 6, 2012. Your final
control plan must, at a minimum,
include a description of the air
pollution control device(s) or process
changes that will be employed for each
unit to comply with the emissions limits
and other requirements of this subpart.
(ii) You must award contract(s) for onsite construction, on-site installation of
emissions control equipment or
incorporation of process changes by
May 6, 2013. You must submit a signed
copy of the contract(s) awarded.
(iii) You must begin on-site
construction, begin on-site installation
of emissions control equipment or begin
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15:12 Apr 20, 2012
Jkt 226001
process changes needed to meet the
emissions limits as outlined in the final
control plan by January 6, 2014.
(iv) You must complete on-site
construction, installation of emissions
control equipment or process changes
by August 6, 2014.
(v) You must achieve final
compliance by October 6, 2014. This
includes incorporating all process
changes and/or completing retrofit
construction as described in the final
control plan, connecting the air
pollution control equipment or process
changes such that the HMIWI is brought
online and ensuring that all necessary
process changes and air pollution
control equipment are operating
properly.
(3) You must conduct the initial
performance test required by
§ 62.14451(a) within 180 days after the
date when you are required to achieve
final compliance under paragraph
(b)(2)(v) of this section.
*
*
*
*
*
30. Section 62.14471 is amended as
follows:
a. By revising paragraph (a);
b. By revising paragraph (b)
introductory text;
c. By revising paragraphs (b)(1) and
(b)(1)(i); and
d. By revising paragraphs (b)(2) and
(b)(3).
§ 62.14471 When must I comply with this
subpart if I plan to shutdown?
*
*
*
*
*
(a) If you plan to shutdown by [date
1 year after publication of final rule],
rather that come into compliance with
the requirements of this subpart, then
you must shutdown by [date 1 year after
publication of final rule], to avoid
coverage under any of the requirements
of this subpart.
(b) If you plan to shutdown rather
than come into compliance with the
requirements of this subpart but are
unable to shutdown by [date 1 year after
publication of final rule], then you may
petition the EPA for an extension by
following the procedures outlined in
paragraphs (b)(1) through (b)(3) of this
section.
(1) You must submit your request for
an extension to the EPA Administrator
(or delegated enforcement authority) by
[date 90 days after publication of final
rule]. Your request must include:
(i) Documentation of the analyses
undertaken to support your need for an
extension, including an explanation of
why your requested extension date is
sufficient time for you to shutdown
while [date 1 year after publication of
final rule], does not provide sufficient
time for shutdown. Your documentation
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must include an evaluation of the
option to transport your waste offsite to
a commercial medical waste treatment
and disposal facility on a temporary or
permanent basis; and
*
*
*
*
*
(2) You must shutdown no later than
October 6, 2014.
(3) You must comply with the
operator training and qualification
requirements and inspection
requirements (if applicable) of this
subpart by [date 1 year after publication
of final rule].
31. Section 62.14472 is amended as
follows:
a. By revising paragraph (a)
introductory text;
b. By revising paragraph (b)
introductory text;
c. By revising paragraphs (b)(1) and
(b)(4);
d. By revising paragraph (c)
introductory text; and
e. By revising paragraph (c)(1).
§ 62.14472 When must I comply with this
subpart if I plan to shutdown and later
restart?
*
*
*
*
*
(a) If you plan to shutdown and restart
prior to October 6, 2014, then you must:
(1) Meet the compliance schedule
outlined in § 63.14470(a) if you restart
prior to [date 1 year after publication of
final rule]; or
(2) Meet the compliance schedule
outlined in § 62.14470(b) if you restart
after [date 1 year after publication of
final rule]. Any missed increments of
progress need to be completed prior to
or upon the date of restart.
(b) If you plan to shutdown by [date
1 year after publication of final rule],
and restart after October 6, 2014, then
you must complete the requirements of
paragraphs (b)(1) through (b)(5) of this
section.
(1) You must shutdown by [date 1
year after publication of final rule].
*
*
*
*
*
(4) You must conduct the initial
performance test required by
§ 62.14451(a) within 180 days after the
date when you restart.
*
*
*
*
*
(c) If you plan to shutdown after [date
1 year after publication of final rule],
and restart after October 6, 2014, then
you must complete the requirements of
paragraphs (c)(1) and (c)(2) of this
section.
(1) You must petition the EPA for an
extension by following the procedures
outlined in § 63.14471(b)(1) through
(b)(3).
*
*
*
*
*
32. Section 62.14490 is amended as
follows:
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a. By adding a definition for ‘‘Bag leak
detection system’’;
b. By adding a definition for
‘‘Commercial HMIWI’’;
c. By revising the definition for
‘‘Maximum design waste burning
capacity’’;
d. By adding a definition for
‘‘Minimum reagent flow rate’’;
e. By revising the definition for
‘‘Minimum secondary chamber
temperature’’; and
f. By revising the introductory text to
the definition for ‘‘Modification’’ or
‘‘Modified HMIWI.’’
§ 62.14490
Definitions.
Bag leak detection system means an
instrument that is capable of monitoring
PM loadings in the exhaust of a FF in
order to detect bag failures. A bag leak
detection system includes, but is not
limited to, an instrument that operates
on triboelectric, light-scattering, lighttransmittance or other effects to monitor
relative PM loadings.
*
*
*
*
*
Commercial HMIWI means a HMIWI
which offers incineration services for
hospital/medical/infectious waste
generated offsite by firms unrelated to
the firm that owns the HMIWI.
*
*
*
*
*
Maximum design waste burning
capacity means:
(1) For intermittent and continuous
HMIWI,
C = Pv × 15,000/8,500 (Eq. 2)
Where:
C = HMIWI capacity, lb/hr
PV = primary chamber volume, ft3
15,000 = primary chamber heat release rate
factor, Btu/ft3/hr
8,500 = standard waste heating value, Btu/lb;
(2) For batch HMIWI,
C = Pv × 4.5/8 (Eq. 3)
Where:
C = HMIWI capacity, lb/hr
PV = primary chamber volume, ft3
4.5 = waste density, lb/ft3
8 = typical hours of operation of a batch
HMIWI, hours.
*
*
*
*
*
Minimum reagent flow rate means 90
percent of the highest 3-hour average
reagent flow rate at the inlet to the
SNCR technology (taken, at a minimum,
once every minute) measured during the
most recent performance test
demonstrating compliance with the
NOX emissions limit.
*
*
*
*
*
Minimum secondary chamber
temperature means 90 percent of the
highest 3-hour average secondary
chamber temperature (taken, at a
minimum, once every minute) measured
during the most recent performance test
demonstrating compliance with the PM,
CO, dioxin/furan or NOX emissions
limits.
Modification or Modified HMIWI
means any change to a HMIWI unit after
April 6, 2010, such that:
*
*
*
*
*
33. Section 62.14495 is amended as
follows:
a. By revising paragraph (b);
b. By adding paragraph (c);
c. By adding paragraph (d); and
d. By adding paragraph (e).
§ 62.14495 What authorities will be
retained by the EPA Administrator?
*
*
*
*
*
(b) Approval of alternative methods of
demonstrating compliance under 40
CFR 60.8, including:
(1) Approval of CEMS for PM, HCl,
multi-metals and Hg where used for
purposes of demonstrating compliance,
(2) Approval of continuous automated
sampling systems for dioxin/furan and
Hg where used for purposes of
demonstrating compliance, and
(3) Approval of major alternatives to
test methods;
(c) Approval of major alternatives to
monitoring;
(d) Waiver of recordkeeping
requirements; and
(e) Performance test and data
reduction waivers under 40 CFR 60.8(b).
33. Table 1 to Subpart HHH is revised
to read as follows:
TABLE 1 TO SUBPART HHH OF PART 62—EMISSIONS LIMITS FOR SMALL RURAL, SMALL, MEDIUM AND LARGE HMIWI
You must meet this emissions limit
For the air pollutant
With these units (7 percent oxygen, dry basis)
HMIWI size
Using this averaging
time a
And determining compliance using this method b
Small
Medium
Large
Particulate matter ............
87 (0.038) ..
66 (0.029) ..
46 (0.020) c
34 (0.015) d
25 (0.011) ..
Milligrams per dry
standard cubic meter
(grains per dry standard cubic foot).
3-run average (1-hour
minimum sample time
per run).
Carbon monoxide ............
20 ..............
20 ..............
5.5 .............
11 ..............
Parts per million by volume.
Dioxins/furans ..................
240 (100) or
5.1 (2.2) .....
16 (7.0) or
0.013
(0.0057).
0.85 (0.37)
or
0.020
(0.0087).
9.3 (4.1) or
0.054
(0.024).
810 ............
44 c, 15 d ....
7.7 .............
6.6 .............
Nanograms per dry
standard cubic meter
total dioxins/furans
(grains per billion dry
standard cubic feet)
or nanograms per dry
standard cubic meter
TEQ (grains per billion dry standard
cubic feet).
Parts per million by volume.
3-run average (1-hour
minimum sample time
per run).
3-run average (4-hour
minimum sample time
per run).
EPA Reference Method
5 of appendix A–3 of
part 60, or EPA Reference Method M 26A
or 29 of appendix A–8
of part 60.
EPA Reference Method
10 or 10B of appendix
A–4 of part 60.
EPA Reference Method
23 of appendix A–7 of
part 60.
Hydrogen chloride ...........
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Small rural
Sulfur dioxide ..................
55 ..............
4.2 .............
4.2 .............
9.0 .............
Parts per million by volume.
Nitrogen oxides ...............
130 ............
190 ............
190 ............
140 ............
Parts per million by volume.
3-run average (1-hour
minimum sample time
per run).
3-run average (1-hour
minimum sample time
per run).
3-run average (1-hour
minimum sample time
per run).
EPA Reference Method
26 or 26A of appendix
A–8 of part 60.
EPA Reference Method
6 or 6C of appendix
A–4 of part 60.
EPA Reference Method
7 or 7E of appendix
A–4 of part 60.
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TABLE 1 TO SUBPART HHH OF PART 62—EMISSIONS LIMITS FOR SMALL RURAL, SMALL, MEDIUM AND LARGE HMIWI—
Continued
You must meet this emissions limit
With these units (7 percent oxygen, dry basis)
Small rural
Small
Medium
Lead ................................
0.50 (0.22)
0.31 (0.14)
0.018
(0.0079).
0.036
(0.016).
Cadmium .........................
0.11 (0.048)
0.017
(0.0074).
0.013
(0.0057).
0.0092
(0.0040).
Mercury ...........................
0.051
(0.0022).
0.014
(0.0061).
0.025
(0.011).
0.018
(0.0079).
Using this averaging
time a
And determining compliance using this method b
Milligrams per dry
standard cubic meter
(grains per thousand
dry standard cubic
feet).
Milligrams per dry
standard cubic meter
(grains per thousand
dry standard cubic
feet).
Milligrams per dry
standard cubic meter
(grains per thousand
dry standard cubic
feet).
HMIWI size
For the air pollutant
3-run average (1-hour
minimum sample time
per run).
EPA Reference Method
29 of appendix A–8 of
part 60.
3-run average (1-hour
minimum sample time
per run).
EPA Reference Method
29 of appendix A–8 of
part 60.
3-run average (1-hour
minimum sample time
per run).
EPA Reference Method
29 of appendix A–8 of
part 60.
Large
a Except
as allowed under §§ 62.14452(o)–(q) for HMIWI equipped with CEMS or continuous automated sampling systems.
not include CEMS, continuous automated sampling systems, and approved alternative non-EPA test methods allowed under § 62.14452(d) and (m).
c Limits for those HMIWI for which construction or modification was commenced according to § 62.14400(a)(2)(i).
d Limits for those HMIWI for which construction or modification was commenced according to § 62.14400(a)(2)(ii).
b Does
34. Table 2 to Subpart HHH is revised
to read as follows:
TABLE 2 TO SUBPART HHH OF PART 62—TOXIC EQUIVALENCY FACTORS
Toxic equivalency
factor
Dioxin/furan congener
2,3,7,8-tetrachlorinated dibenzo-p-dioxin ..................................................................................................................................
1,2,3,7,8-pentachlorinated dibenzo-p-dioxin ..............................................................................................................................
1,2,3,4,7,8-hexachlorinated dibenzo-p-dioxin ............................................................................................................................
1,2,3,7,8,9-hexachlorinated dibenzo-p-dioxin ............................................................................................................................
1,2,3,6,7,8-hexachlorinated dibenzo-p-dioxin ............................................................................................................................
1,2,3,4,6,7,8-heptachlorinated dibenzo-p-dioxin ........................................................................................................................
Octachlorinated dibenzo-p-dioxin ..............................................................................................................................................
2,3,7,8-tetrachlorinated dibenzofuran ........................................................................................................................................
2,3,4,7,8-pentachlorinated dibenzofuran ...................................................................................................................................
1,2,3,7,8-pentachlorinated dibenzofuran ...................................................................................................................................
1,2,3,4,7,8-hexachlorinated dibenzofuran .................................................................................................................................
1,2,3,6,7,8-hexachlorinated dibenzofuran .................................................................................................................................
1,2,3,7,8,9-hexachlorinated dibenzofuran .................................................................................................................................
2,3,4,6,7,8-hexachlorinated dibenzofuran .................................................................................................................................
1,2,3,4,6,7,8-heptachlorinated dibenzofuran .............................................................................................................................
1,2,3,4,7,8,9-heptachlorinated dibenzofuran .............................................................................................................................
Octachlorinated dibenzofuran ....................................................................................................................................................
1
1
0.1
0.1
0.1
0.01
0.0003
0.1
0.3
0.03
0.1
0.1
0.1
0.1
0.01
0.01
0.0003
35. Table 3 to Subpart HHH is revised
to read as follows:
TABLE 3 TO SUBPART HHH OF PART 62—OPERATING PARAMETERS TO BE MONITORED AND MINIMUM MEASUREMENT
AND RECORDING FREQUENCIES
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Minimum frequency
Data
measurement
Operating parameters
to be monitored
Maximum operating parameters:
Maximum charge rate ...............
Maximum FF inlet temperature
Maximum flue gas temperature .......
Minimum operating parameters:
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HMIWI
Data
recording
HMIWI
with combustion
control
only
Once per charge
Continuous .........
Continuous .........
Once per charge
Once per minute
Once per minute
✓
..................
..................
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HMIWI
with dry
scrubber
followed
by FF
✓
✓
..................
E:\FR\FM\23APP2.SGM
HMIWI
with wet
scrubber
HMIWI
with dry
scrubber
followed
by FF
and wet
scrubber
HMIWI
with SNCR
system
✓
..................
✓
✓
✓
✓
✓
..................
..................
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TABLE 3 TO SUBPART HHH OF PART 62—OPERATING PARAMETERS TO BE MONITORED AND MINIMUM MEASUREMENT
AND RECORDING FREQUENCIES—Continued
Minimum frequency
HMIWI
HMIWI
with wet
scrubber
HMIWI
with SNCR
system
Data
measurement
Minimum secondary chamber
temperature.
Minimum dioxin/furan sorbent
flow rate.
Minimum HCl sorbent flow rate
Minimum mercury (Hg) sorbent
flow rate.
Minimum pressure drop across
the wet scrubber or minimum
horsepower or amperage to
wet scrubber.
Minimum scrubber liquor flow
rate.
Minimum scrubber liquor pH ....
Minimum reagent flow rate .......
HMIWI
with dry
scrubber
followed
by FF
HMIWI
with dry
scrubber
followed
by FF
and wet
scrubber
Data
recording
HMIWI
with combustion
control
only
Continuous .........
Once per minute
✓
✓
✓
✓
✓
Hourly .................
Once per hour ....
..................
✓
..................
✓
..................
Hourly .................
Hourly .................
Once per hour ....
Once per hour ....
..................
..................
✓
✓
..................
..................
✓
✓
..................
..................
Continuous .........
Once per minute
..................
..................
✓
✓
..................
Continuous .........
Once per minute
..................
..................
✓
✓
..................
Continuous .........
Hourly .................
Once per minute
Once per hour ....
..................
..................
..................
..................
✓
..................
✓
..................
..................
✓
Operating parameters
to be monitored
[FR Doc. 2012–9093 Filed 4–20–12; 8:45 am]
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23APP2
Agencies
[Federal Register Volume 77, Number 78 (Monday, April 23, 2012)]
[Proposed Rules]
[Pages 24272-24299]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-9093]
[[Page 24271]]
Vol. 77
Monday,
No. 78
April 23, 2012
Part II
Environmental Protection Agency
-----------------------------------------------------------------------
40 CFR Parts 60 and 62
Federal Plan Requirements for Hospital/Medical/Infectious Waste
Incinerators Constructed on or Before December 1, 2008 and Standards of
Performance for New Stationary Sources; Proposed Rule
Federal Register / Vol. 77 , No. 78 / Monday, April 23, 2012 /
Proposed Rules
[[Page 24272]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 60 and 62
[EPA-HQ-OAR-2011-0405 and EPA-HQ-OAR-2006-0534; FRL-9660-1]
RIN 2060-AR11
Federal Plan Requirements for Hospital/Medical/Infectious Waste
Incinerators Constructed on or Before December 1, 2008 and Standards of
Performance for New Stationary Sources
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: On October 6, 2009, the EPA adopted amendments to the
September 15, 1997, new source performance standards and emissions
guidelines for hospital/medical/infectious waste incinerators. The
amendments were developed in response to the March 2, 1999, remand of
the 1997 hospital/medical/infectious waste incinerators regulations by
the U.S. Court of Appeals for the District of Columbia Circuit (the
Court), which requested further explanation of the EPA's reasoning in
determining the minimum regulatory emission standards for new and
existing hospital/medical/infectious waste incinerators. Today's action
proposes amendments to the hospital/medical/infectious waste
incinerators federal plan to implement the amended emission guidelines
adopted on October 6, 2009, for those states that do not have an
approved revised/new state plan implementing the emission guidelines,
as amended, in place by October 6, 2011. Today's action also proposes
to amend the new source performance standards to better reflect our
original intent in the October 6, 2009, final rule in eliminating an
exemption during startup, shutdown and malfunction periods from the
requirement to comply with standards at all times.
DATES: Comments. Comments must be received on or before June 7, 2012.
Because of the need to revise the hospital/medical/infectious waste
incinerators (HMIWI) federal plan in a timely manner, the EPA does not
expect to grant requests for extensions beyond this date.
Public Hearing. If anyone contacts the EPA by May 3, 2012
requesting to speak at a public hearing, the EPA will hold a public
hearing on May 8, 2012.
ADDRESSES: Submit your comments on the federal plan requirements
proposed rule, identified by Docket ID No. EPA-HQ-OAR-2011-0405, by one
of the following methods:
www.regulations.gov: Follow the online instructions for
submitting comments.
Email: Send your comments via electronic mail to a-and-r-Docketa@epa.gov, Attention Docket ID No. EPA-HQ-OAR-2011-0405.
Facsimile: Fax your comments to (202) 566-9744, Attention
Docket ID No. EPA-HQ-OAR-2011-0405.
Mail: Send your comments to: EPA Docket Center (EPA/DC),
Environmental Protection Agency, Mailcode: 6102T, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, Attention Docket ID No. EPA-HQ-OAR-
2011-0405. Please include a total of two copies. We request that a
separate copy also be sent to the contact person identified below (see
FOR FURTHER INFORMATION CONTACT).
Hand Delivery: Deliver your comments to: EPA Docket Center
(EPA/DC), EPA West Building, Room 3334, 1301 Constitution Ave. NW.,
Washington, DC 20004, Attention Docket ID No. EPA-HQ-OAR-2011-0405.
Such deliveries are accepted only during the 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.
Submit your comments on the new source performance standards (NSPS)
final rule amendments, identified by Docket ID No. EPA-HQ-OAR-2006-
0534, by one of the following methods:
www.regulations.gov: Follow the online instructions for
submitting comments.
Email: Send your comments via electronic mail to a-and-r-Docket@epa.gov, Attention Docket ID No. EPA-HQ-OAR-2006-0534.
Facsimile: Fax your comments to (202) 566-9744, Attention
Docket ID No. EPA-HQ-OAR-2006-0534.
Mail: Send your comments to: EPA Docket Center (EPA/DC),
Environmental Protection Agency, Mailcode: 6102T, 1200 Pennsylvania
Ave. NW., Washington, DC 20460, Attention Docket ID No. EPA-HQ-OAR-
2006-0534. Please include a total of two copies. We request that a
separate copy also be sent to the contact person identified below (see
FOR FURTHER INFORMATION CONTACT).
Hand Delivery: Deliver your comments to: EPA Docket Center
(EPA/DC), EPA West Building, Room 3334, 1301 Constitution Ave. NW.,
Washington, DC 20004, Attention Docket ID No. EPA-HQ-OAR-2006-0534.
Such deliveries are accepted only during the 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.
Instructions: Direct your comments on the federal plan requirements
proposed rule to Docket ID No. EPA-HQ-OAR-2011-0405. Direct your
comments on the NSPS final rule amendments to Docket ID No. EPA-HQ-OAR-
2006-0534. The EPA's policy is that all comments received will be
included in the public docket and may be made available online at
www.regulations.gov, including any personal information provided,
unless the comment includes information claimed to be confidential
business information (CBI) or other information whose disclosure is
restricted by statute. Do not submit information that you consider to
be CBI or otherwise protected through www.regulations.gov or email. The
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 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.
Public Hearing: If a public hearing is held, it will be held at the
EPA's Campus located at 109 T.W. Alexander Drive in Research Triangle
Park, NC, or an alternate site nearby. Contact Ms. Joan Rogers at (919)
541-4487, to request a hearing, to request to speak at a public
hearing, to determine if a hearing will be held or to determine the
hearing location. If no one contacts the EPA requesting to speak at a
public hearing concerning this proposed rule by May 3, 2012, the
hearing will be cancelled without further notice.
Docket: The EPA has established a docket for this action under
Docket ID No. EPA-HQ-OAR-2011-0405 and Legacy Docket ID No. A-98-24.
The EPA has established a docket for the HMIWI rules under Docket ID
No. EPA-HQ-OAR-2006-0534 and Legacy
[[Page 24273]]
Docket ID No. A-91-61. All documents in the docket are listed in the
www.regulations.gov index. Although listed in the index, some
information is not publicly available, e.g., CBI or other information
whose disclosure is restricted by statute. Certain other material, such
as copyrighted material, will be publicly available only in hard copy
form. Publicly available docket materials are available either
electronically at www.regulations.gov or in hard copy at the EPA Docket
Center EPA/DC, 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.
FOR FURTHER INFORMATION CONTACT: Ms. Amy Hambrick, Fuels and
Incineration Group, Sector Policies and Programs Division (E143-05),
Environmental Protection Agency, Research Triangle Park, North Carolina
27711; telephone number: (919) 541-0964; fax number: (919) 541-3470;
email address: hambrick.amy@epa.gov.
SUPPLEMENTARY INFORMATION:
Organization of This Document
The following outline is provided to aid in locating information in
this preamble.
I. General Information
A. Does the proposed action apply to me?
B. What should I consider as I prepare my comments?
II. Background Information
A. What is the regulatory development background for this
proposed rule?
B. What is the purpose of this proposed rule?
C. What is the status of state plan submittals?
III. Affected Facilities
A. What is a HMIWI?
B. Does the federal plan apply to me?
C. How do I determine if my HMIWI is covered by an approved and
effective state plan?
IV. Elements of the HMIWI Federal Plan
A. Legal Authority and Enforcement Mechanism
B. Inventory of Affected HMIWI
C. Inventory of Emissions
D. Emissions Limits
E. Compliance Schedules
F. Waste Management Plan Requirements
G. Testing, Monitoring, Recordkeeping and Reporting Requirements
H. Operator Training and Qualification Requirements
I. Record of Public Hearings
J. Progress Reports
V. Summary of Proposed Amendments to HMIWI Federal Plan
A. What are the proposed amendments to applicability?
B. What are the proposed amendments to the emissions limits?
C. What are the proposed amendments to the waste management plan
requirements?
D. What are the proposed amendments to the inspection
requirements?
E. What are the proposed amendments to the performance testing
and monitoring requirements?
F. What are the proposed amendments to the recordkeeping and
reporting requirements?
G. What are the proposed amendments to the compliance schedule?
H. What are the other proposed amendments?
VI. Summary of Proposed Amendments to HMIWI New Source Performance
Standards
A. What are the proposed amendments to the emissions limits?
VII. HMIWI That Have or Will Shutdown
A. Units That Plan To Close Rather Than Comply
B. Inoperable Units
C. HMIWI That Have Shutdown
VIII. Implementation of the Federal Plan and Delegation
A. Background of Authority
B. Delegation of the Federal Plan and Retained Authorities
C. Mechanisms for Transferring Authority
D. Implementing Authority
IX. Title V Operating Permits
A. Title V and Delegation of a Federal Plan
X. Statutory and Executive Order Reviews
A. Executive Orders 12866 and 13563: Regulatory Planning and
Review
B. Paperwork Reduction Act (PRA)
C. Regulatory Flexibility Act (RFA)
D. Unfunded Mandates Reform Act (UMRA)
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health and Safety Risks
H. Executive Order 13211: Actions That Significantly Affect
Energy Supply, Distribution or Use
I. National Technology Transfer and Advancement Act (NTTAA)
J. Executive Order 12898: Federal Actions To Address
Environmental Justice (EJ) in Minority Populations and Low-Income
Populations
A redline version of the federal plan regulatory language that
incorporates the changes in this action is available in the docket.
I. General Information
A. Does the proposed action apply to me?
Regulated Entities. If you own or operate an existing HMIWI and are
not already subject to an EPA-approved and effective state plan
implementing the October 6, 2009, revised emission guidelines (EG), you
may be covered by this proposed action. Existing HMIWI are those that
commenced construction on or before December 1, 2008, or commenced
modification on or before April 6, 2010. Regulated categories and
entities include those listed in the following table.
------------------------------------------------------------------------
Examples of regulated
Category NAICS * code entities
------------------------------------------------------------------------
Industry...................... 622110, 622310, Private hospitals,
325411, 325412, other health care
562213, 611310. facilities,
commercial research
laboratories,
commercial waste
disposal companies,
private
universities.
Federal Government............ 622110, 541710, Federal hospitals,
928110. other health care
facilities, public
health service,
armed services.
State/local/tribal Government. 622110, 562213, State/local
611310. hospitals, other
health care
facilities, state/
local waste disposal
services, state
universities.
------------------------------------------------------------------------
* North American Industry Classification System.
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely to be affected by the
proposed action. To determine whether your facility would be affected
by the proposed action, you should examine the applicability criteria
in Sec. 62.14400 of subpart HHH. If you have any questions regarding
the applicability of the proposed action to a particular entity,
contact the person listed in the preceding FOR FURTHER INFORMATION
CONTACT section.
B. What should I consider as I prepare my comments?
1. Submitting CBI
Do not submit information that you consider to be CBI
electronically through www.regulations.gov or email. Send or deliver
information identified
[[Page 24274]]
as CBI to only the following address: Ms. Amy Hambrick, c/o OAQPS
Document Control Officer (Room C404-02), U.S. EPA, Research Triangle
Park, NC 27711, Attention Docket ID No. EPA-HQ-OAR-2011-0405. Clearly
mark the part or all of the information that you claim to be CBI. For
CBI 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. Information marked as CBI will not be disclosed except
in accordance with procedures set forth in 40 CFR part 2.
If you have any questions about CBI or the procedures for claiming
CBI, please consult the person identified in the FOR FURTHER
INFORMATION CONTACT section.
2. Tips for Preparing Your Comments
When submitting comments, remember to:
a. Identify the rulemaking by docket number and other identifying
information (subject heading, Federal Register date and page number).
b. Follow directions. The EPA may ask you to respond to specific
questions or organize comments by referencing a Code of Federal
Regulations (CFR) part or section number.
c. Explain why you agree or disagree; suggest alternatives and
substitute language for your requested changes.
d. Describe any assumptions and provide any technical information
and/or data that you used.
e. If you estimate potential costs or burdens, explain how you
arrived at your estimate in sufficient detail to allow for it to be
reproduced.
f. Provide specific examples to illustrate your concerns and
suggest alternatives.
g. Explain your views as clearly as possible, avoiding the use of
profanity or personal threats.
h. Make sure to submit your comments by the comment period deadline
identified in the preceding section titled DATES.
3. Docket
The docket number for the proposed action regarding the HMIWI
federal plan (40 CFR part 62, subpart HHH) is Docket ID No. EPA-HQ-OAR-
2011-0405.
The docket number for the proposed action regarding the NSPS (40
CFR part 60, subpart Ec) is Docket ID No. EPA-HQ-2006-0534.
4. Worldwide Web (WWW)
In addition to being available in the docket, an electronic copy of
the proposed action and final rule amendments is available on the WWW
through the Technology Transfer Network Web site (TTN Web). Following
signature, the EPA posted a copy of the proposed action and final rule
amendments on the TTN's policy and guidance page for newly proposed or
promulgated rules at www.epa.gov/ttn/oarpg. The TTN provides
information and technology exchange in various areas of air pollution
control.
II. Background Information
A. What is the regulatory development background for this proposed
rule?
Section 129 of the Clean Air Act (CAA) requires the EPA to develop
NSPS and EG for ``units combusting hospital waste, medical waste and
infectious waste.'' On September 15, 1997, the EPA promulgated NSPS for
new HMIWI, codified at 40 CFR part 60 subpart Ec, and EG for existing
HMIWI, codified at 40 CFR part 60 subpart Ce. (See 62 FR 48348.) The
NSPS and EG were designed to reduce air pollution emitted from these
HMIWI, including cadmium (Cd), carbon monoxide (CO), dioxins/furans
(total, or 2,3,7,8-Tetrachlorodibenzo-p-Dioxin toxic equivalent (TEQ)),
hydrogen chloride (HCl), lead (Pb), mercury (Hg), nitrogen oxides
(NOX), opacity, particulate matter (PM) and sulfur dioxide
(SO2). The 1997 NSPS applied to HMIWI for which construction
began after June 20, 1996, and required compliance within 6 months
after startup or by March 16, 1998, whichever date was later. The 1997
EG applied to HMIWI for which construction began on or before June 20,
1996, and required compliance no later than September 15, 2002.
On March 2, 1999, in Sierra Club v. EPA, 167 F.3d 658 (DC Cir.
1999), the U.S. Court of Appeals for the DC Circuit remanded the rule
to the EPA for further explanation regarding how the EPA derived the
maximum achievable control technology (MACT) emissions standards for
HMIWI. The Court did not vacate the regulations and the regulations
remained in effect during the remand.
On July 6, 1999, the EPA proposed the federal plan requirements for
HMIWI units constructed on or before June 20, 1996 (64 FR 36426). The
federal plan covered existing HMIWI located in states that did not have
an approved state plan. Furthermore, the federal plan would implement
and enforce the EG in Indian country until tribes receive approval to
administer their own programs. On August 15, 2000, the EPA promulgated
the federal plan requirements for HMIWI units constructed on or before
June 20, 1996 (65 FR 49868). The 1997 HMIWI rules were fully
implemented by September 2002.
On February 6, 2007, the EPA proposed a response to the HMIWI
remand. (See 72 FR 5510.) The proposed response would have revised some
of the emissions limits in the NSPS and EG. In addition to responding
to the Court's remand, the EPA also proposed its first 5-year review of
the HMIWI standards. Every 5 years after adopting a MACT standard under
section 129, CAA section 129(a)(5) requires the EPA to review and, if
appropriate, revise the incinerator standards.
On December 1, 2008, the EPA reproposed its response to the Court's
remand and 5-year review (73 FR 72962). The EPA's decision to repropose
its response to the remand was based on a number of factors, including
further rulings by the Court that were issued after the 2007 proposal
was published. In addition, public comments regarding the 2007 proposal
raised issues that, upon further consideration, the EPA believed would
best be addressed through a reproposal. In response to public comments
on the 2008 reproposal, the EPA further revised the standards and, on
October 6, 2009, published final revisions to the September 1997 NSPS
and EG to respond to the remand and satisfy the 5-year review
requirement under CAA section 129(a)(5) (74 FR 51367). On April 4,
2011, the EPA promulgated amendments to the NSPS and EG, correcting
inadvertent drafting errors in the NOX and SO2
emissions limits for large HMIWI in the NSPS, which did not correspond
to our description of our standard-setting process, correcting
erroneous cross-references in the reporting and recordkeeping
requirements in the NSPS, clarifying that compliance with the EG must
be expeditious if a compliance extension is granted, correcting the
inadvertent omission of delegation of authority provisions in the EG,
correcting errors in the units' description for several emissions
limits in the EG and NSPS and removing extraneous text from the HCl
emissions limit for large HMIWI in the EG (76 FR 18407).
B. What is the purpose of this proposed rule?
Section 129 of the CAA relies upon states as the preferred
implementers of
[[Page 24275]]
EG for existing HMIWI. To make the HMIWI EG enforceable, states with
existing HMIWI are to submit to the EPA within 1 year following
promulgation of the EG state plans that implement and enforce the
amended EG. For states that do not have an EPA-approved and effective
plan, the EPA must develop and implement a federal plan within 2 years
following promulgation of the EG. The federal plan is an interim
measure to ensure that emissions standards are implemented until states
assume their role as the preferred implementers of the EG. States
without any existing HMIWI are directed to submit to the Administrator
a letter of negative declaration certifying that there are no HMIWI in
the state. No plan is required for states that do not have any HMIWI.
Hospital/medical/infectious waste incinerators located in states that
mistakenly submit a letter of negative declaration would be subject to
the federal plan until a state plan becomes approved and effective
covering those HMIWI.
State plans to implement the EG adopted on September 15, 1997, are
already in place and the EPA adopted a HMIWI federal plan on August 15,
2000, (65 FR 49868) to implement the September 15, 1997, EG for those
HMIWI not covered by an approved state plan. Revised or new state plans
to implement the amended EG adopted on October 6, 2009, are currently
undergoing EPA review. The deadline for submitting revised/new state
plans for EPA review was October 6, 2010.
Today's action proposes amendments to the HMIWI federal plan to
implement the amended EG adopted on October 6, 2009, for those states
that did not have an approved revised/new state plan in place by
October 6, 2011. Sections 111 and 129 of the CAA and 40 CFR 60.27(c)
and (d) require the EPA to develop, implement and enforce a federal
plan to cover existing HMIWI located in states that do not have an
approved plan within 2 years after promulgation of the EG (by October
6, 2011). The EPA is proposing amendments to the HMIWI federal plan now
so that a promulgated federal plan will go into place for any such
states, thus ensuring implementation and enforcement of the amended
HMIWI EG.
The amended EG adopted on October 6, 2009, required improvements in
performance for 50 of the then operating 57 units.\1\ Incineration of
hospital/medical/infectious waste causes the release of a wide array of
air pollutants, some of which exist in the waste feed material and are
released unchanged during combustion, and some of which are generated
as a result of the combustion process itself. EPA estimated that a
total emissions reduction of 393,000 pounds per year of the regulated
pollutants, of which acid gases (i.e., hydrogen chloride and sulfur
dioxide) comprise about 62 percent, particulate matter about 0.8
percent, carbon monoxide about 0.3 percent, nitrogen oxides about 37
percent, and metals (i.e., lead, cadmium, and mercury) and dioxins/
furans about 0.2 percent. EPA also estimated that air pollution control
devices that would be installed to comply with the 2009 rule would also
effectively reduce emissions of pollutants such as polycyclic organic
matter (POM) and polychlorinated biphenyls (PCBs). The 2009 final
rule's revised waste management plan provisions encourage segregation
of types of waste that lead to such emissions, such as chlorinated
plastics and PCB-containing wastes.
---------------------------------------------------------------------------
\1\ See 74 FR 51371-51375, 51396-51399, and 51399-51400 to
reference the regulatory background, summary of final rule changes,
and impacts of the amended EG adopted on October 6, 2009.
---------------------------------------------------------------------------
C. What is the status of state plan submittals?
Sections 111(d) and 129(b)(3) of the CAA, as amended, 42 U.S.C.
7411(d) and 7429(b)(3), authorize the EPA to develop and implement a
federal plan for HMIWI located in states with no approved and effective
state plan. The status of the state plans are outlined in the below
table.
Status of State Plans
------------------------------------------------------------------------
Status States
------------------------------------------------------------------------
I. States with EPA-Approved State Plans Florida.
II. Anticipated States to Submit New York; Puerto Rico;
Negative Declarations to the EPA. Pennsylvania; Mississippi; New
Mexico-City of Albuquerque;
Oklahoma; South Dakota;
District of Columbia.
III. Negative Declaration Submitted/EPA Maine; Massachusetts; Vermont;
Approved. Delaware; Virginia; Jefferson
County (Birmingham), Alabama;
Kentucky; Jefferson County
(Louisville), Kentucky;
Forsyth County (Winston-
Salem), North Carolina;
Buncombe County (Asheville),
North Carolina; South
Carolina; Philadelphia County;
New Hampshire; Rhode Island.
IV. Final State Plans Submitted to the North Dakota.
EPA.
V. Draft States Plans Submitted to the Maryland; West Virginia.
EPA.
VI. States for which the EPA has not Pennsylvania; Alabama;
received a draft or final plan or Huntsville, Alabama; North
negative declaration. Carolina; Mecklenburg County
(Charlotte), North Carolina;
Georgia; Tennessee; Illinois;
Indiana; Arkansas; Louisiana;
Texas; Iowa; Kansas; Missouri;
Nebraska; Colorado; Montana;
Arizona; Maricopa County,
Arizona; Pima County, Arizona;
Pinal County, Arizona;
California; Hawaii; Nevada;
American Samoa; Guam; Alaska;
Idaho; Oregon; Washington.
VII. Anticipated States to Accept Connecticut; New Jersey; Virgin
Delegation of Federal Plan. Islands; Allegheny County,
Pennsylvania; Michigan;
Minnesota; Ohio; Wisconsin.
------------------------------------------------------------------------
The preamble of the final federal plan will list states that have
an EPA-approved plan in effect on the date the final federal plan is
signed by the EPA Administrator. As Regional Offices approve state
plans, they will also, in the same action, amend the appropriate
subpart of 40 CFR part 62 to codify their approvals.
The EPA will maintain a list of revised/new state plan submittals
and approvals on the TTN Air Toxics Web site at https://www.epa.gov/ttn/atw/129/hmiwi/rihmiwi.html. The list will help HMIWI owners or
operators determine whether their HMIWI is affected by a state plan or
the federal plan.
Hospital/medical/infectious waste incinerator owners and operators
can also contact the EPA Regional Office for the state in which their
HMIWI is
[[Page 24276]]
located to determine whether there is an approved and effective
revised/new state plan in place. The following table lists the names,
email addresses and telephone numbers of the EPA Regional Office
contacts and the states and protectorates that they cover.
Regional Office Contacts
----------------------------------------------------------------------------------------------------------------
States and
Region Regional contact Phone protectorates
----------------------------------------------------------------------------------------------------------------
Region I.......................... Ian Cohen, cohen.ian@epa.gov. (617) 918-1655...... Connecticut,
Massachusetts, Maine,
New Hampshire, Rhode
Island, Vermont.
Region II......................... Ted Gardella, (212) 637-3892...... New York, New Jersey,
gardella.anthony@epa.gov. Puerto Rico, Virgin
Islands.
Region III........................ Mike Gordon, (215) 814-2039...... Virginia, Delaware,
gordon.mike@epa.gov. District of Columbia,
Maryland,
Pennsylvania, West
Virginia.
Region IV......................... Donnette Sturdivant, Sturdivant: (404) Florida, Georgia, North
sturdivant.donnette@epa.gov. 562-9431. Carolina,
Daniel Garver, Garver: (404) 562- Alabama, Kentucky,
garver.daniel@epa.gov. 9839. Mississippi, South
Carolina, Tennessee.
Region V.......................... Margaret Sieffert, (312) 353-1151...... Minnesota, Wisconsin,
sieffert.margaret@epa.gov. Illinois, Indiana,
Michigan, Ohio.
Region VI......................... Steve Thompson, (214) 665-2769...... Arkansas, Louisiana,
thompson.steve@epa.gov. New Mexico, Oklahoma,
Texas.
Region VII........................ Lisa Hanlon, (913) 551-7599...... Iowa, Kansas, Missouri,
hanlon.lisa@epa.gov. Nebraska.
Region VIII....................... Christopher Razzazian, (303) 312-6648...... Colorado, Montana,
razzazian.christopher@epa.go North Dakota, South
v Dakota, Utah, Wyoming.
Region IX......................... Joseph Lapka, (415) 947-4226...... Arizona, California,
lapka.joseph@epa.gov. Hawaii, Nevada,
American Samoa, Guam,
Northern Mariana
Islands.
Region X.......................... Heather Valdez, (206) 553-6220...... Alaska, Idaho, Oregon,
valdez.heather@epa.gov. Washington.
----------------------------------------------------------------------------------------------------------------
III. Affected Facilities
A. What is a HMIWI?
The term ``HMIWI'' means any device that combusts any amount of
hospital waste and/or medical/infectious waste, as defined in 40 CFR
part 62, subpart HHH. Six types of combustion units, which are listed
in Sec. 62.14400 of subpart HHH, are conditionally exempt from
specific provisions of the currently promulgated 2000 federal plan and
would continue to be so under today's proposed amended federal plan.
B. Does the federal plan apply to me?
The amended federal plan would apply to you if you are the owner or
operator of a combustion device that combusts hospital waste and/or
medical/infectious waste (as defined in subpart HHH) and the device is
not covered by an approved and effective state plan as of October 6,
2011. The federal plan would cover your HMIWI until the EPA approves a
state plan that covers your HMIWI and that plan becomes effective.
If you began the construction of your HMIWI on or before December
1, 2008, or began modification of your HMIWI on or before April 6,
2010, it would be considered an existing HMIWI and could be subject to
the federal plan. If you began the construction of your HMIWI after
December 1, 2008, or began modification of your HMIWI after April 6,
2010, it would be considered a new HMIWI and would be subject to the
NSPS.
Your existing HMIWI would be subject to this federal plan, if on
the effective date of the amended federal plan, the EPA has not
approved the revised/new state plan implementing the amended EG that
covers your unit or the EPA-approved state plan has not become
effective. The specific applicability of the currently promulgated
federal plan is described in 40 CFR 62.14400 through 62.14403 of
subpart HHH, and would continue to apply, as amended, under the
proposed revised federal plan. The amended federal plan would become
effective 30 days after final promulgation of these amendments.
Once an approved revised/new state plan is in effect, the amended
federal plan would no longer apply to HMIWI covered by such plan. An
approved state plan is a plan developed by a state that the EPA has
reviewed and approved based on the requirements in 40 CFR part 60,
subpart B, to implement and enforce 40 CFR part 60, subpart Ce. The
state plan is effective on the date specified in the notice published
in the Federal Register announcing the EPA's approval of the plan.
The EPA's promulgation of an amended HMIWI federal plan will not
preclude states from submitting a plan. If a state submits a plan after
the promulgation of amendments to the HMIWI federal plan, the EPA will
review and approve or disapprove the state plan. If the EPA approves a
plan, then the amended HMIWI federal plan would no longer apply to
HMIWI covered by the state plan as of the effective date of the state
plan. If a HMIWI were overlooked by a state and the state submitted a
negative declaration letter, or if an individual HMIWI were not covered
by an approved and effective state plan, the HMIWI would be subject to
this amended federal plan.
C. How do I determine if my HMIWI is covered by an approved and
effective state plan?
Part 62 of Title 40 of the CFR identifies the status of approval
and promulgation of section 111(d) and section 129 state plans for
designated facilities in each state. However, part 62 is updated only
once per year. Thus, if part 62 does not indicate that your state has
an approved and effective plan, you should contact your state
environmental agency's air director or your EPA Regional Office (see
table in section II.C of this preamble) to determine if approval
occurred since publication of the most recent version of part 62.
IV. Elements of the Current HMIWI Federal Plan
The EPA is not proposing amendments to several elements of the
existing federal plan. For other elements, we are proposing amendments,
to reflect the amended EG. The basic elements of the federal plan
include: (1) Identification of legal authority and mechanisms for
implementation; (2) inventory of HMIWI; (3) emissions inventory; (4)
[[Page 24277]]
emissions limits; (5) compliance schedules; (6) public hearing; (7)
testing, monitoring, recordkeeping and reporting; (8) waste management
plan; (9) operator training and qualification; and (10) progress
reporting. See 40 CFR part 62 subparts HHH and sections 111 and 129 of
the CAA. For each element discussed below, we explain to what extent we
are proposing to amend the current federal plan requirements.
A. Legal Authority and Enforcement Mechanism
Section 301(a) of the CAA provides the EPA with broad authority to
write regulations that carry out the functions of the CAA. Sections
111(d) and 129(b)(3) of the CAA direct the EPA to develop a federal
plan for states that do not submit approvable state plans. Sections 111
and 129 of the CAA provide the EPA with the authority to implement and
enforce the federal plan in cases where the state fails to submit a
satisfactory state plan. Section 129(b)(3) of the CAA requires the EPA
to develop, implement and enforce a federal plan within 2 years after
the date the relevant EG are promulgated (by October 6, 2011, for the
2009 HMIWI EG). Compliance with the EG cannot be later than 5 years
after the relevant EG are promulgated (by October 6, 2014, for the 2009
HMIWI EG). Today's action is not proposing any changes to this element.
B. Inventory of Affected HMIWI
The federal plan, as currently promulgated, includes an inventory
of HMIWI affected by the EG. (See 40 CFR 62.14402.) Today's proposed
amendments to the federal plan will also include in Docket No. EPA-HQ-
OAR-2011-0405 an inventory of the HMIWI that may potentially be covered
by these amendments in the absence of approved state plans. This
revised inventory contains 53 HMIWI in 21 states. It is based on
information collected from EPA Regions, states, HMIWI facilities; and
review of existing HMIWI inventories, Title V permits, emissions test
reports and facility Web sites. The EPA recognizes that this list may
not be complete. Therefore, sources potentially subject to this
proposed amended federal plan may include, but are not limited to, the
HMIWI listed in Docket No. EPA-HQ-OAR-2011-0405. Any HMIWI that meets
the applicability criteria in the proposed amended federal plan rule
would be subject to the amended federal plan, regardless of whether it
is listed in the inventory. States or individuals are invited to
identify additional sources for inclusion to the list during the
comment period for this proposal.
C. Inventory of Emissions
The federal plan, as currently promulgated, includes an emissions
estimate for HMIWI subject to the EG. The pollutants inventoried are
Cd, CO, dioxins/furans, HCl, Pb, Hg, PM, NOX and
SO2. For this proposal, the EPA has estimated the emissions
from each known HMIWI that potentially may be covered by the proposed
amended federal plan for the nine pollutants regulated by the EG and
covered by the proposed revised federal plan.
The emissions inventory is based on available information about the
HMIWI, emissions factors and typical emissions rates developed for
calculating nationwide air impacts of the amended EG and the amended
federal plan. Refer to the inventory memorandum in Docket No. EPA-HQ-
OAR-2011-0405 for the complete updated emissions inventory and details
on the emissions calculations associated with today's proposal.
D. Emissions Limits
As the current federal plan contains emissions limits that
correspond to the 1997 HMIWI rule, today's proposed amended federal
plan includes emissions limits that correspond to those in the 2009 EG.
(See 40 CFR 62.14410-62.14413.) Section 129(b)(2) of the CAA requires
these emissions limits to be ``at least as protective as'' those in the
EG. The emissions limits in these proposed amendments to the HMIWI
federal plan are the same as those contained in the 2009 amended EG but
also include the PM emissions limits for medium HMIWI and HCl emissions
limits for small HMIWI that were previously subject to the 1997 NSPS
but are now subject to the amended EG. These two emissions limits are
more stringent than the corresponding EG emissions limits. We include
these limits because HMIWI units that were regulated as new sources
under the 1997 NSPS would be treated as existing sources under the 2009
EG, but would need to continue to comply with the 1997 NSPS limits
where those are more stringent than the 2009 EG limits. (See proposed
revised Table 1 to subpart HHH.) Section V.B of this preamble discusses
the amended emissions limits.
E. Compliance Schedules
Increments of progress are required for HMIWI that need more than 1
year from state plan approval to comply, or in the case of the federal
plan, more than 1 year after promulgation of the final amended federal
plan. (See 40 CFR 62.14470-62.14472.) Increments of progress are
included to ensure that each HMIWI needing more time to comply is
making progress toward meeting the emissions limits.
For HMIWI that need more than 1 year to comply, the proposed
amended federal plan includes in its compliance schedule the same five
increments of progress from 40 CFR 62.14470(b)(2). The proposed amended
federal plan includes defined and enforceable dates for completion of
each increment. These increments of progress are: (1) Submit final
control plan; (2) award contracts for control systems or process
modifications or orders for purchase of components; (3) begin on-site
construction or installation of the air pollution control device(s) or
process changes; (4) complete on-site construction or installation of
the air pollution control device(s) or process changes; and (5) final
compliance.
F. Waste Management Plan Requirements
The current federal plan includes a waste management plan which is
a written plan that identifies both the feasibility and the methods
used to reduce or separate certain components of solid waste from the
waste stream to reduce or eliminate toxic emissions from incinerated
waste. (See 40 CFR 62.14430-62.14432.) Today's proposed amendments to
the federal plan include this element and require that the waste
management plan must be submitted no later than the date 60 days after
the initial compliance demonstration. This date is 240 days after the
final compliance date.
G. Testing, Monitoring, Recordkeeping and Reporting Requirements
The current federal plan includes testing, monitoring,
recordkeeping and reporting requirements. (See 40 CFR 62.14440-
62.14465.) Today's proposed amendments update these requirements to
correspond with the 2009 EG. Testing, monitoring, recordkeeping and
reporting requirements are consistent with 40 CFR part 62 subpart HHH
and assure initial and ongoing compliance.
H. Operator Training and Qualification Requirements
The current federal plan requires that the owner or operator must
qualify operators or their supervisors (at least one per facility) by
ensuring that they complete an operator training course and annual
review or refresher course. (See 40 CFR 62.14420-62.14425.) Today's
proposed amended federal plan also contains operator training and
[[Page 24278]]
qualification requirements that correspond to the 2009 EG; no changes
are proposed to this element.
I. Record of Public Hearings
As the current federal plan provided the opportunity for public
hearings, today's proposed amended federal plan provides opportunity
for public participation in adopting the plan. If requested to do so,
the EPA will hold a public hearing in Research Triangle Park, NC. A
record of the public hearing, if any, will appear in Docket No. EPA-HQ-
OAR-2011-0405. If a public hearing is requested and held, the EPA will
ask clarifying questions during the oral presentation but will not
respond to the presentations or comments. Written statements and
supporting information submitted during the public comment period will
be considered with equivalent weight as any oral statement and
supporting information subsequently presented at a public hearing, if
held.
J. Progress Reports
As under the current federal plan, today's amendments request that
the EPA Regional Offices prepare annual progress reports to show the
progress of HMIWI toward implementation of the EG. States that have
been delegated the authority to implement and enforce this federal plan
would be required to submit annual progress reports to the appropriate
EPA Regional Office.
Each progress report must include the following items: (1) Status
of enforcement actions; (2) status of increments of progress; (3)
identification of sources that have shutdown or started operation; (4)
emissions inventory data for sources that were not in operation at the
time of plan development but that began operation during the reporting
period; (5) additional data as necessary to update previously submitted
source and emissions information; and (6) copies of technical reports
on any performance testing and monitoring.
V. Summary of Today's Proposed Amendments to HMIWI Federal Plan
Each amended plan element is described below as it relates to the
elements outlined above in the current HMIWI federal plan. The table
below lists each amended element and identifies where it is located or
codified.
------------------------------------------------------------------------
Element of the HMIWI federal plan Location
------------------------------------------------------------------------
Legal authority and enforcement Sections 129(b)(3), 111(d),
mechanism. 301(a), and 301(d)(4) of the
CAA.
Inventory of affected HMIWI units...... Docket EPA-HQ-OAR-2011-0405.
Inventory of emissions................. Docket EPA-HQ-OAR-2011-0405.
Emissions limits....................... 40 CFR 62.14410-62.14413.
Compliance schedules................... 40 CFR 62.14470-62.14472.
Operator training and qualification.... 40 CFR 62.14420-62.14425.
Waste management plan.................. 40 CFR 62.14430-62.14432.
Record of public hearings.............. Docket EPA-HQ-OAR-2011-0405.
Testing, monitoring, recordkeeping and 40 CFR 62.14440-62.14465.
reporting.
Progress reports....................... Section IV.J of this preamble.
------------------------------------------------------------------------
A. What are the proposed amendments to applicability?
Hospital/medical/infectious waste incinerators were treated
differently under the 2009 amended EG than they were under the 1997 EG
in terms of whether they are ``existing'' or ``new'' sources. The 2009
amended EG included new dates defining what are ``existing'' and
``new'' sources for purposes of the revised NSPS and EG. All HMIWI that
complied with the 1997 EG (i.e., those units for which construction
commenced on or before June 20, 1996, or for which modification
commenced on or before March 16, 1998) were still considered
``existing'' sources under the 2009 amended EG and are required to meet
the emissions limits under the amended EG by the applicable compliance
date for the amended EG. All HMIWI that complied with the 1997 NSPS
(i.e., those units for which construction commenced after June 20,
1996, but no later than December 1, 2008, or for which modification
commenced after March 16, 1998, but no later than April 6, 2010) were
also considered ``existing'' sources under the amended EG. Those HMIWI
are required to meet the emissions limits under the amended EG by the
applicable compliance date for the amended EG, except where the
corresponding 1997 NSPS is more stringent, in which case the HMIWI are
to continue to comply with that 1997 NSPS. In the interim, those 1997
NSPS sources that must meet the amended EG must continue to be subject
to the NSPS as promulgated in 1997 until the date for compliance with
the revised EG. Those units for which construction commenced after the
December 1, 2008, HMIWI proposal, or for which modification commenced
on or after April 6, 2010, are considered ``new'' units subject to more
stringent revised NSPS emissions limits.
Today's action proposes to incorporate these changes to the
applicability into the HMIWI federal plan. No other amendments are
being proposed for the other applicability provisions in the federal
plan (i.e., exemptions for incinerators burning pathological, low-level
radioactive, and/or chemotherapeutic waste; co-fired combustors;
combustors with permits under section 3005 of the Solid Waste Disposal
Act; certain municipal waste combustors; pyrolysis units; and cement
kilns firing hospital waste and/or medical/infectious waste).
B. What are the proposed amendments to the emissions limits?
As noted in section II.A of this preamble, on October 6, 2009, the
EPA published final amendments to the September 15, 1997, NSPS and EG
in response to a Court remand of the 1997 regulations and to satisfy
the 5-year review requirement under CAA section 129(a)(5).
The EPA's response to the remand and 5-year review resulted in a
revision to all of the emissions limits in the EG. Today's action
proposes to incorporate the amended EG emissions limits into the
existing HMIWI federal plan. Table 1 of this preamble summarizes the
amended EG emissions limits promulgated to respond to the remand and
fulfill the EPA's 5-year review obligation.
Table 1--Summary of EG Emissions Limits Promulgated in Response to the
Remand for Existing HMIWI
------------------------------------------------------------------------
Final
Pollutant (units) Unit size\1\ limit \2\
------------------------------------------------------------------------
HCl (ppmv)......................... L...................... 6.6
M...................... 7.7
S...................... 44
SR..................... 810
CO (ppmv).......................... L...................... 11
[[Page 24279]]
M...................... 5.5
S,SR................... 20
Pb (mg/dscm)....................... L...................... 0.036
M...................... 0.018
S...................... 0.31
SR..................... 0.50
Cd (mg/dscm)....................... L...................... 0.0092
M...................... 0.013
S...................... 0.017
SR..................... 0.11
Hg (mg/dscm)....................... L...................... 0.018
M...................... 0.025
S...................... 0.014
SR..................... 0.0051
PM (gr/dscf)....................... L...................... 0.011
M...................... 0.020
S...................... 0.029
SR..................... 0.038
Dioxins/furans, total (ng/dscm).... L...................... 9.3
M...................... 0.85
S...................... 16
SR..................... 240
Dioxins/furans, TEQ (ng/dscm)...... L...................... 0.054
M...................... 0.020
S...................... 0.013
SR..................... 5.1
NOX (ppmv)......................... L...................... 140
M, S................... 190
SR..................... 130
SO2 (ppmv)......................... L...................... 9.0
M, S................... 4.2
SR..................... 55
Opacity (%)........................ L, M, S, SR............ 6.0
------------------------------------------------------------------------
\1\ L = Large (>500 lb/hr of waste); M = Medium (>200 to <=500 lb/hr of
waste); S = Small (<=200 lb/hr of waste); SR = Small rural (small
HMIWI >50 miles from boundary of nearest SMSA, burning <2,000 lb/wk of
waste).
\2\ All emissions limits are reported as corrected to 7 percent oxygen.
The 2009 amended EG removed provisions from the 1997 standards at
40 CFR 60.56c and 60.37e that exempted HMIWI from the standards during
periods of startup, shutdown and malfunction (SSM) provided that no
hospital waste or medical/infectious waste was being changed to the
unit during those SSM periods. The 2009 EG requires that the emissions
limits as listed above in Table 1, regardless of a SSM event, be met at
all times. However, in one provision of the NSPS, section 60.56c(d)(2),
the EPA inadvertently failed to delete a SSM exemption we had intended
to eliminate, and to better reflect the EPA's intent in the 2009 final
rule, today's action also amends that section of the NSPS to remove the
accidentally retained SSM exemption. Please see section VI. of this
preamble, which further discusses the amendment of the NSPS. Today's
action also proposes to remove the SSM exemption from the 2000 federal
plan at 40 CFR 62.14413, and proposes that the emissions limits apply
at all times, for the same reasons.
As noted in the previous section, the 2009 amended EG specified
that those HMIWI that previously complied with the 1997 NSPS would have
to meet the emissions limits under the 2009 amended EG or the 1997
NSPS, whichever was more stringent. In two cases, the HCl emissions
limit for small HMIWI and the PM emissions limit for medium HMIWI, the
1997 NSPS limits are more stringent than the 2009 amended EG limits, so
those HMIWI that previously complied with the 1997 NSPS would continue
to comply with the more stringent 1997 NSPS limits. Specifically, they
would have to meet the 1997 NSPS HCl emissions limit of 15 parts per
million by volume (ppmv) (at 7 percent oxygen) for small HMIWI and the
1997 NSPS PM limit of 0.015 grains per dry standard cubic foot (gr/
dscf) (at 7 percent oxygen) for medium HMIWI, in addition to the 2009
EG emissions limits for the other pollutants. Today's action proposes
to include these two 1997 NSPS emissions limits along with the 2009
amended EG emissions limits in the HMIWI federal plan.
Under the 1997 NSPS, new large HMIWI were required to demonstrate
compliance with the 5 percent visible emissions limit for fugitive
emissions generated during ash handling, by conducting annual
performance tests using EPA Method 22. As discussed in section V.E.1
below, the 2009 amendments to the EG expanded this requirement to
include all HMIWI, but only as an initial test requirement. As a
result, under the amended EG, all HMIWI were made subject to the same 5
percent visible emissions limit. Today's action proposes to include
this visible emissions limit for existing HMIWI in the HMIWI federal
plan.
To provide greater clarity, the 2009 amendments to the EG also
included averaging times and EPA reference test methods in the
emissions limit tables for existing sources. It should be noted that
the averaging times and EPA reference test methods added to the
emissions limits tables were not new requirements but simply a
restating of requirements presented elsewhere in the HMIWI regulations.
Today's action proposes to add these additional columns to the
emissions limits table in the HMIWI federal plan.
C. What are the proposed amendments to the waste management plan
requirements?
Under the HMIWI EG promulgated on September 15, 1997, and HMIWI
federal plan promulgated on August 15, 2000, existing HMIWI were
required to submit a written plan that identified both the feasibility
and methods used to reduce or separate certain components of solid
waste from the waste stream to reduce or eliminate toxic emissions from
incinerated waste.
Commenters on the December 1, 2008, reproposal of the HMIWI EG
amendments recommended that the EPA minimize or eliminate from the
HMIWI waste stream any plastic wastes, Hg and other hazardous wastes
(e.g., Hg-containing dental waste, Hg-containing devices),
pharmaceuticals and confidential documents and other paper products
that could be shredded and recycled. One commenter recommended that the
EPA take action to regulate emissions of polychlorinated biphenyls and
polycyclic organic matter from HMIWI. Some commenters recommended that
the EPA require commercial HMIWI to provide training and education to
their customers regarding waste segregation and make incinerator
operators responsible for the waste in their possession.
To address the various commenters' concerns, the waste management
plan provisions in the HMIWI regulations were revised to promote the
segregation of the aforementioned wastes and specify that commercial
facilities train and educate their clients to conduct their own waste
segregation. Today's action proposes to incorporate these revisions
into the HMIWI federal plan.
D. What are the proposed amendments to the inspection requirements?
Under the 1997 EG and 2000 federal plan, existing small rural HMIWI
were required to conduct annual equipment inspections to compensate for
the lack of annual emissions testing at those sources. The inspections
included the incinerator, air pollution control device (if any) and
monitoring equipment. For the 2009 amendments to the EG, the EPA
expanded annual air pollution control device inspections to the other
HMIWI to allow those sources to demonstrate that their air pollution
control devices are operating sufficiently well to allow compliance
with the tighter emissions limits under the amended EG. Today's action
proposes to incorporate this additional requirement into the HMIWI
federal plan.
[[Page 24280]]
E. What are the proposed amendments to the performance testing and
monitoring requirements?
The following paragraphs list a number of additional testing and
monitoring requirements in the 2009 amendments to the EG that are
proposed to be incorporated into the HMIWI federal plan in today's
action.
1. Performance Testing
The 1997 EG and 2000 federal plan required existing large, medium
and small non-rural HMIWI to conduct initial performance tests for Cd,
CO, dioxins/furans, HCl, Pb, Hg, opacity and PM and annual performance
tests for CO, HCl, opacity and PM. (An owner or operator could conduct
less frequent testing if the facility demonstrated that it was in
compliance with the emissions limits for 3 consecutive performance
tests.) The 2009 amendments to the EG added the requirement that all
HMIWI conduct initial performance tests for NOX and
SO2 to demonstrate initial compliance with the revised
emissions limits for those pollutants.
Under the 1997 EG and 2000 federal plan, small rural HMIWI were
only required to conduct initial performance tests for CO, dioxins/
furans, Hg, opacity and PM, and annual performance tests for opacity.
Under the 2009 amendments to the EG, small rural HMIWI were required to
also conduct initial performance tests for the other five regulated
pollutants (Cd, HCl, Pb, NOX and SO2) and also
conduct annual performance tests for CO, HCl and PM.
Under the 1997 NSPS, new large HMIWI were subject to a 5 percent
visible emissions limit for fugitive emissions generated during ash
handling. To demonstrate compliance with this emissions limit, new
large HMIWI were required to conduct annual performance tests for
fugitive emissions from ash handling using EPA Method 22. In the 2009
amendments to the EG, the EPA extended this minimal testing requirement
to the other HMIWI, but only as an initial test requirement, to
determine whether fugitive ash emissions are a concern from these
sources. Existing HMIWI would be required to measure fugitive ash
emissions during their next performance test.
In order to reduce the burden of complying with the additional
testing requirements in the 2009 amendments to the EG, sources were
allowed to use results of their previous emissions tests to demonstrate
initial compliance with the revised emissions limits as long as the
sources certify that the previous test results are representative of
current operations. Only those sources who could not so certify and/or
whose previous emissions tests do not demonstrate compliance with one
or more revised emissions limits would be required to conduct another
emissions test for those pollutants. (Note that most sources were
already required under the 1997 EG to test for CO, HCl, opacity and PM
on an annual basis and those annual tests are still required.)
To provide HMIWI with greater flexibility in demonstrating
compliance, the 2009 amendments to the EG also incorporated by
reference two alternatives to EPA reference test methods American
Society of Mechanical Engineers (ASME) PTC 19.10-1981 and American
Society for Testing and Materials (ASTM) D6784-02)), discussed further
in section IX.I of this preamble.
2. Monitoring
Monitoring of operating parameters can be used to indicate whether
air pollution control equipment and practices are functioning properly
to minimize air pollution. The 1997 HMIWI EG and 2000 federal plan
included the following parameter monitoring requirements for good
combustion, wet scrubbers and dry scrubbers with fabric filters (FFs):
If using a dry scrubber followed by a FF to comply with
the emissions limits, continuously monitor charge rate, FF inlet
temperature, flue gas temperature, secondary chamber temperature and
sorbent flow rates for dioxin/furan, HCl and Hg sorbents.
If using a wet scrubber to comply with the emissions
limits, continuously monitor charge rate, flue gas temperature,
secondary chamber temperature, pressure drop across the wet scrubber
(or horsepower or amperage), scrubber liquor flow rate and scrubber
liquor pH.
If using a dry scrubber followed by a FF and wet scrubber,
continuously monitor all of the aforementioned parameters.
If using something other than the aforementioned air
pollution control devices to comply with the emissions limits, petition
the Administrator for other site-specific operating parameters to be
established during the initial performance test and continuously
monitored thereafter.
In the 2009 amendments to the EG, the EPA kept these parameter
monitoring requirements and added a parameter requirement for those
HMIWI expected to install selective noncatalytic reduction (SNCR)
systems in order to comply with the more stringent NOX
limits in the 2009 EG. Those HMIWI installing SNCR technology to comply
with the NOX emissions limit were required to continuously
monitor the charge rate, secondary chamber temperature and reagent
(e.g., ammonia or urea) flow rate.
Since the 1997 EG, bag leak detectors have been shown to be an
effective method for demonstrating continuous compliance for sources
equipped with FFs. Although the 2009 amendments to the EG did not
require existing HMIWI equipped with FFs to install bag leak detectors,
use of bag leak detectors was presented as an option for these HMIWI.
The most direct means of monitoring compliance with emissions
limits is the use of continuous emissions monitoring systems (CEMS) to
measure the emissions of a pollutant on a continuous basis. In addition
to CEMS, sorbent trap biweekly monitoring systems for Hg and dioxins/
furans are also available. Although the 2009 amendments to the EG did
not require CO, HCl, PM, Hg or multi-metal CEMS or sorbent trap
biweekly Hg and dioxin/furan monitoring systems for existing HMIWI,
such systems were presented as alternative monitoring requirements in
lieu of annual testing for all sources.
3. Electronic Data Submittal
The EPA must have performance test data to conduct effective 5-year
reviews of CAA section 129 standards, as well as for many other
purposes, including compliance determinations, development of emissions
factors and determining annual emissions rates. In conducting 5-year
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.
In the 2009 amendments to the EG, to improve data accessibility, we
gave HMIWI the option of submitting to an EPA electronic database an
electronic copy of annual stack test reports. Data entry would be
through an electronic emissions test report structure used by the staff
as part of the emissions testing project. The electronic reporting tool
(ERT) was developed with input from stack testing companies who
generally collect and compile performance test data electronically. The
ERT is currently available and access to direct data
[[Page 24281]]
submittal to the EPA's electronic emissions database (WebFIRE).\2\
---------------------------------------------------------------------------
\2\ See https://cfpub.epa.gov/oarweb/index.cfm?action=fire.main,
https://www.epa.gov/ttn/chief/ert/ert_tool.html.
---------------------------------------------------------------------------
The option to submit source test data electronically to the EPA
would not require any additional performance testing. In addition, when
a facility elects to submit performance test data to WebFIRE, there
would be no additional requirements for data compilation. Further
discussion of the benefits of using electronic data submittal is
provided in the preamble to the October 6, 2009, amendments. (See 74 FR
51373-4.)
The electronic database that would be used is the EPA's WebFIRE,
which is a Web site accessible through the EPA's TTN. The WebFIRE Web
site was constructed to store emissions test data for use in developing
emissions factors. A description of the WebFIRE database can be found
at https://cfpub.epa.gov/oarweb/index.cfm?action=fire.main. The ERT
would be able to transmit the electronic report which would be
submitted using the Compliance and Emissions Data Reporting Interface
(CEDRI). The submitted report would be submitted through the EPA's
Central Data Exchange (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 and CEDRI can be accessed through the CDX Web site
(www.epa.gov/cdx). The ERT can be used to document stack tests data for
those performance 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/. We believe that industry
would benefit from this option of electronic data submittal. Having
these data, EPA would be able to develop improved emission factors,
make fewer information requests, and promulgate better regulations.
One major advantage of the option to submit 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 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 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 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 emission factors are outdated or not representative
of a particular source category. With timely receipt and incorporation
of data from most performance tests, EPA would be able to ensure that
emission factors, when updated, represent the most current range of
operational practices. In 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 EPA significant time, money, and effort while also
improving the quality of emission inventories and, as a result, air
quality regulations.
F. What are the proposed amendments to recordkeeping and reporting
requirements?
The following paragraphs list a number of additional recordkeeping
and reporting requirements in the 2009 amendments to the EG, that would
be incorporated into the HMIWI federal plan in today's proposed
amendments.
1. Recordkeeping
The 1997 EG and 2000 federal plan required owners and operators to
maintain for 5 years records of opacity and emissions measurements,
operating parameters, equipment inspections and maintenance (small
rural units only), deviations, initial performance tests and all
subsequent performance tests, operator training and qualification and
calibration of monitoring devices.
The 2009 amendments to the EG added the requirement that owners and
operators maintain records of the amount and type of NOX
reagent used, records of the annual air pollution control device
inspections (including any maintenance), and a description, included
with each test report, of how operating parameters were established
during the initial performance test and re-established during
subsequent performance tests.
2. Reporting
Under the 1997 EG and 2000 federal plan, owners and operators were
required to submit the results of the initial performance tests and all
subsequent performance tests, values for the operating parameters,
waste management plan, equipment inspections and maintenance (small
rural units only) and annual compliance reports and semiannual reports
of any deviations from the emissions limits.
The 2009 amendments to the EG added requirements for existing HMIWI
to submit, along with each test report, a description of how operating
parameters were established or re-established and submit records of
annual air pollution control device inspections (including any
maintenance).
G. What are the proposed amendments to the compliance schedule?
Similar to the approach of the 2000 HMIWI federal plan, as
described in section IV.J. ``Progress Reports,'' today's proposed
revised federal plan requires owners or operators of HMIWI to either:
(1) Come into compliance with the plan within 1 year after the plan is
promulgated; or (2) meet increments of progress and come into
compliance by October 6, 2014. Increments of progress are necessary in
order to ensure that HMIWI needing more time to comply are making
progress toward meeting the emissions limits. The amended federal plan,
as proposed, includes as its compliance schedule the same five
increments of progress from 40 CFR 62.14470(b)(2), along with defined
and enforceable dates for completion of each increment.
The HMIWI owner or operator is responsible for meeting each of the
five increments of progress for each HMIWI no later than the applicable
compliance date. The owner or operator must notify
[[Page 24282]]
the EPA as each increment of progress is achieved, as well as when any
is missed. The notification must identify the increment and the date
the increment is achieved (or missed). If an owner or operator misses
an increment deadline, the owner or operator must also notify the EPA
when the increment is finally achieved. The owner or operator must mail
the notification to the applicable EPA Regional Office within 10
business days after the increment date defined in the amended federal
plan. (See the table under section II.C. of this document for a list of
Regional Offices.)
The definition of each increment of progress, along with its
required completion date, follows.
Submit Final Control Plan. To meet this increment, the owner or
operator of each HMIWI must submit a plan that describes, at a minimum,
the air pollution control device and/or process changes that will be
employed so that each HMIWI complies with the emissions limits and
other requirements. A final control plan is not required for units that
will be shutdown. Completion date: October 6, 2012.
Award Contract. To award a contract means the HMIWI owner or
operator enters into legally binding agreements or contractual
obligations that cannot be canceled or modified without substantial
financial loss to the owner or operator. The EPA anticipates that the
owner or operator may award a number of contracts to complete the
retrofit. To meet this increment of progress, the HMIWI owner or
operator must award a contract or contracts to initiate on-site
construction, to initiate on-site installation of air pollution control
devices, and/or to incorporate process changes. The owner or operator
must mail a copy of the signed contract(s) to the EPA within 10
business days of entering the contract(s). Completion date: May 6,
2013.
Begin On-site Construction. To begin on-site construction,
installation of air pollution control devices or process change means
to begin any of the following:
(1) Installation of an air pollution control device in order to
comply with the final emissions limits as outlined in the final control
plan;
(2) Physical preparation necessary for the installation of an air
pollution control device in order to comply with the final emissions
limits as outlined in the final control plan;
(3) Alteration of an existing air pollution control device in order
to comply with the final emissions limits as outlined in the final
control plan;
(4) Alteration of the waste combustion process to accommodate
installation of an air pollution control device in order to comply with
the final emissions limits as outlined in the final control plan; or
(5) Process changes identified in the final control plan in order
to meet the emissions standards. Completion date: January 6, 2014.
Complete On-site Construction. To complete on-site construction
means that all necessary air pollution control devices or process
changes identified in the final control plan are in place, on-site and
ready for operation on the HMIWI. Completion date: August 6, 2014.
Final Compliance. To be in final compliance means to incorporate
all process changes or complete retrofit construction in accordance
with the final control plan and to connect the air pollution control
equipment or process changes such that, if the HMIWI is brought online,
all necessary process changes or air pollution control equipment will
operate as designed. Completion date: October 6, 2014.
If a HMIWI does not achieve final compliance by October 6, 2014,
the amended federal plan, as proposed, requires the HMIWI to shutdown
by October 6, 2014, complete the retrofit while not operating and be in
compliance upon restarting. Shutdown is necessary in order to avoid
being out of compliance and subject to possible enforcement action.
H. What are the other proposed amendments?
1. Definitions
For clarification, the 2009 amendments to the EG revised the
definition of ``Minimum secondary chamber temperature'' to read
``Minimum secondary chamber temperature means 90 percent of the highest
3-hour average secondary chamber temperature (taken, at a minimum, once
every minute) measured during the most recent performance test
demonstrating compliance with the PM, CO, and dioxin/furan emissions
limits.''
To address the introduction of some new terms, the 2009 amendments
to the EG added the following definitions:
``Bag leak detection system'' means ``an instrument that
is capable of monitoring PM loadings in the exhaust of a fabric filter
in order to detect bag failures,'' and examples of such a system were
provided.
``Commercial HMIWI'' means ``a HMIWI which offers
incineration services for hospital/medical/infectious waste generated
offsite by firms unrelated to the firm that owns the HMIWI.''
``Minimum reagent flow rate'' means ``90 percent of the
highest 3-hour average reagent flow rate at the inlet to the selective
noncatalytic reduction technology (taken, at a minimum, once every
minute) measured during the most recent performance test demonstrating
compliance with the NOX emissions limit.''
Today's action proposes to amend the HMIWI federal plan to include
these revised and new definitions from the amended EG. Today's action
also proposes to include a revised definition for ``modification or
modified HMIWI'' to address the change in applicability for modified
HMIWI under the amended federal plan.
2. Toxicity Equivalence Factors
In a January 6, 2011, Federal Register notice, the EPA announced
the availability of the final ``Recommended Toxicity Equivalence
Factors (TEFs) for Human Health Risk Assessments of 2,3,7,8-
Tetrachlorodibenzo-p-dioxin and Dioxin-Like Compounds'' (EPA/100/R-10/
005). Various stakeholders, inside and outside the EPA, had called for
a more comprehensive characterization of risks, so the EPA re-examined
the current recommended approach for applying the toxicity equivalence
methodology. The EPA developed and revised, in response to public
comments and recommendations from peer reviewers, the aforementioned
guidance document to assist the EPA scientists in using this
methodology and to inform the EPA decision makers, other agencies and
the public about this methodology. The revised methodology includes the
following changes to TEFs that HMIWI would use to determine compliance
with the HMIWI dioxin/furan TEQ emissions limits:
----------------------------------------------------------------------------------------------------------------
Toxicity equivalence factor
------------------------------------------------
Dioxin/furan congener Today's proposed
1997 EG/2000 federal amendments to federal
plan plan
----------------------------------------------------------------------------------------------------------------
1,2,3,7,8-pentachlorinated dibenzo-p-dioxin.................... 0.5 1
[[Page 24283]]
Octachlorinated dibenzo-p-dioxin............................... 0.001 0.0003
2,3,4,7,8-pentachlorinated dibenzofuran........................ 0.5 0.3
1,2,3,7,8-pentachlorinated dibenzofuran........................ 0.05 0.03
Octachlorinated dibenzofuran................................... 0.001 0.0003
----------------------------------------------------------------------------------------------------------------
To incorporate these latest revisions to TEFs, we are proposing to
amend Table 2 to subpart HHH in today's action.
VI. Summary of Proposed Amendments to HMIWI New Source Performance
Standards
A. What are the proposed amendments to the emissions limits?
The 2009 amended EG removed provisions from the 1997 standards at
40 CFR 60.56c and 60.37e that exempted HMIWI from the standards during
periods of startup, shutdown and malfunction (SSM) provided that no
hospital waste or medical/infectious waste was being charged to the
unit during those SSM periods. The 2009 EG requires that the emissions
limits as listed above in Table 1, regardless of a SSM event, be met at
all times. However, in one provision of the NSPS, section 60.56c(d)(2),
the EPA inadvertently failed to delete a SSM exemption we had intended
to eliminate, and to better reflect the EPA's intent in the 2009 final
rule, today's action also proposes to amend that section of the NSPS to
remove the accidentally retained SSM exemption. This action is
necessary to make the NSPS continuously applicable, as required under
CAA section 302(k) and under the U.S. Court of Appeals for the DC
Circuit's 2008 Sierra Club v. EPA ruling. Our rationale for this
amendment was presented in the Oct. 6. 2009 final rule, at 74 FR 51368,
51375 and 51393-95 (Oct. 6, 2009), and we hereby incorporate by
reference that rationale in order to complete the regulatory amendments
we intended to make at the time. Today's action also proposes to remove
the SSM exemption from the 2000 federal plan at 40 CFR 62.14413, and
proposes that the emissions limits apply at all times, for the same
reasons.
VII. HMIWI That Have or Will Shutdown
A. Units That Plan to Close Rather Than Comply
The 2000 federal plan established that if you planned to
permanently close your currently operating HMIWI, you must have done so
by the date 1 year after publication of the final federal plan in the
Federal Register. Today's proposed amended federal plan retains this
provision so that if you plan to permanently close your currently
operating HMIWI, you must do so by the date 1 year after publication of
the final amended federal plan in the Federal Register. The proposed
amendments will allow HMIWI owners or operators that are planning to
shutdown the opportunity to petition the EPA for an extension beyond
the 1-year compliance date (but no later than October 6, 2014). An
example of a facility that might petition the EPA for such an extension
is a facility installing an on-site alternative waste treatment
technology. It is possible that installation cannot be completed within
1 year and the facility has no feasible waste disposal options other
than on-site incineration while the alternative technology is being
installed. The requirements for a petition for an extension to shutdown
under today's proposed federal plan will update the compliance date
requirements set forth at Sec. 62.14471 of subpart HHH.
If you continue to operate your HMIWI 1 year after publication of
the final amendments to the federal plan in the Federal Register, then
you must comply with the operator training and qualification
requirements and the inspection requirements of the plan by the date 1
year after publication of the final amendments. This requirement
includes HMIWI that comply within 1 year, as well as those that have
been granted an extension beyond the 1-year compliance date (i.e.,
HMIWI with extended retrofit schedules and HMIWI granted an extension
to shutdown after the 1-year compliance date). In addition, while still
in operation, you are subject to the same requirements for Title V
operating permits that apply to units that will not shutdown.
B. Inoperable Units
Retaining certain aspects of the 2000 federal plan, today's
proposed revised federal plan includes that in cases where a HMIWI has
already shutdown, has been rendered inoperable and does not intend to
restart, the HMIWI may be left off the source inventory in a revised/
new state plan or this proposed amended federal plan. A HMIWI that has
been rendered inoperable would not be covered by the amended federal
plan. The HMIWI owner or operator may do one the following to render a
HMIWI inoperable: (1) Weld the waste charge door shut, (2) remove stack
(and by-pass stack, if applicable), (3) remove combustion air blowers,
or (4) remove burners or fuel supply appurtenances.
C. HMIWI That Have Shutdown
Retaining certain aspects of the 2000 federal plan, today's revised
federal plan proposal includes any HMIWI that are known to have already
shutdown (but are not known to be inoperable) in the source inventory.
These HMIWI should be identified in any revised/new state plan
submitted to the EPA.
1. Restarting Before the Final Compliance Date
If the owner or operator of an inactive HMIWI plans to restart
before the final compliance date, the owner or operator must submit a
control plan for the HMIWI and bring the HMIWI into compliance with the
applicable compliance schedule. Final compliance is required for all
pollutants and all HMIWI no later than the final compliance date.
2. Restarting After the Final Compliance Date
Under this federal plan, as amended, a control plan is not needed
for inactive HMIWI that restart after the final compliance date.
However, before restarting, operators of these HMIWI would have to
complete the operator training and qualification requirements and
inspection requirements (if applicable) and complete retrofit or
process modifications upon restarting. Performance testing to
demonstrate compliance would be required within 180 days after
restarting. There is no need to show that the increments of progress
have been met since these steps would have occurred before restart
while the HMIWI was shutdown and not generating emissions. A HMIWI that
operates out of compliance after the final compliance date would be in
[[Page 24284]]
violation of the amended federal plan and subject to enforcement
action.
VIII. Implementation of the Federal Plan and Delegation
A. Background of Authority
Under sections 111(d) and 129(b) of the CAA, the EPA is required to
adopt EG that are applicable to existing solid waste incineration
sources. These EG are not enforceable until the EPA approves a state
plan or adopts a federal plan that implements and enforces them and the
state or federal plan has become effective. As discussed above, the
federal plan regulates HMIWI in states that do not have approved plans
in effect to implement the amended EG.
Congress has determined that the primary responsibility for air
pollution prevention and control rests with state and local agencies.
(See section 101(a)(3) of the CAA.) Consistent with that overall
determination, Congress established sections 111 and 129 of the CAA
with the intent that the state and local agencies take the primary
responsibility for ensuring that the emissions limitations and other
requirements in the EG are achieved. Also, in section 111(d) of the
CAA, Congress explicitly required that the EPA establish procedures
that are similar to those under section 110(c) for state implementation
plans. Although Congress required the EPA to propose and promulgate a
federal plan for states that fail to submit approvable state plans on
time, states may submit approvable revised/new plans after promulgation
of the amended HMIWI federal plan. The EPA strongly encourages states
that are unable to submit approvable revised/new plans to request
delegation of the amended federal plan so that they can have primary
responsibility for implementing the revised EG, consistent with the
intent of Congress.
Approved and effective revised/new state plans or delegation of the
amended federal plan is the EPA's preferred outcome since the EPA
believes that state and local agencies not only have the responsibility
to carry out the revised EG but also have the practical knowledge and
enforcement resources critical to achieving the highest rate of
compliance. For these reasons, the EPA will do all that it can to
expedite delegation of the amended federal plan to state and local
agencies, whenever possible, in cases where states are unable to
develop and submit approvable state plans.
B. Delegation of the Federal Plan and Retained Authorities
As similarly described in the 2000 federal plan, if a state or
tribe intends to take delegation of the amended federal plan, the state
or tribe should submit to the appropriate EPA Regional Office a written
request for delegation of authority. The state or tribe should explain
how it meets the criteria for delegation. See generally ``Good
Practices Manual for Delegation of NSPS and NESHAP'' (EPA, February
1983). The letter requesting delegation of authority to implement the
amended federal plan should: (1) Demonstrate that the state or tribe
has adequate resources, as well as the legal and enforcement authority
to administer and enforce the program, (2) include an inventory of
affected HMIWI units, which includes those that have ceased operation
but have not been dismantled, include an inventory of the affected
units' air emissions and a provision for state progress reports to the
EPA, (3) certify that a public hearing is held on the state delegation
request, and (4) include a memorandum of agreement between the state or
tribe and the EPA that sets forth the terms and conditions of the
delegation, the effective date of the agreement and would serve as the
mechanism to transfer authority. Upon signature of the agreement, the
appropriate EPA Regional Office would publish an approval notice in the
Federal Register, thereby incorporating the delegation of authority
into the appropriate subpart of 40 CFR part 62.
If authority is not delegated to a state or tribe, the EPA will
implement the amended federal plan. Also, if a state or tribe fails to
properly implement a delegated portion of the amended federal plan, the
EPA will assume direct implementation and enforcement of that portion.
The EPA will continue to hold enforcement authority along with the
state or tribe even when a state or tribe has received delegation of
the amended federal plan. In all cases where the amended federal plan
is delegated, the EPA will retain and will not transfer authority to a
state or tribe to approve the following items that include additional
items to those listed in the 2000 federal plan as to correspond to
those changes promulgated in the 2009 HMIWI rules:
(1) Alternative site-specific operating parameters established by
facilities using HMIWI controls other than a wet scrubber, dry scrubber
followed by a FF, or dry scrubber followed by a FF and wet scrubber;
(2) Alternative methods of demonstrating compliance, including the
following methods outlined in the October 6, 2009, amendments to the
HMIWI EG:
Approval of CEMS for PM, HCl, multi-metals and Hg where
used for purposes of demonstrating compliance;
Approval of continuous automated sampling systems for
dioxin/furan and Hg where used for purposes of demonstrating
compliance; and
Approval of major alternatives to test methods;
(3) Approval of major alternatives to monitoring (added in 2009
amended EG);
(4) Waiver of recordkeeping requirements (added in 2009 amended
EG); and
(5) Performance test and data reduction waivers under 40 CFR
60.8(b) (added in 2009 amended EG).
Retaining what was established in the 2000 federal plan, today's
proposed amended federal plan also specifies that hospital/medical/
infectious waste incinerator owners or operators who wish to establish
alternative operating parameters, alternative methods of demonstrating
compliance, major alternatives to monitoring, waiver of recordkeeping
requirements or performance test and data reduction waivers should
submit a request to the Regional Office Administrator with a copy to
the appropriate state.
C. Mechanisms for Transferring Authority
There are two mechanisms for transferring implementation authority
to state and local agencies: (1) The EPA approval of a revised/new
state plan after the amended federal plan is in effect; and (2) if a
state does not submit or obtain approval of its own revised/new plan,
the EPA delegation to a state of the authority to implement certain
portions of this amended federal plan to the extent appropriate and if
allowed by state law. Both of these options are maintained from those
which were first outlined in the 2000 federal plan, are described in
more detail below.
1. Federal Plan Becomes Effective Prior to Approval of a State Plan
After HMIWI in a state become subject to the amended federal plan,
the state or local agency may still adopt and submit a revised/new plan
to the EPA. If the EPA determines that the revised/new state plan is as
protective as the revised EG, the EPA will approve the revised/new
state plan. If the EPA determines that the plan is not as protective as
the revised EG, the EPA will disapprove the plan and the HMIWI covered
in the state plan would remain subject to the amended federal plan
until a revised
[[Page 24285]]
state plan covering those HMIWI is approved and effective. Prior to
disapproval, EPA will work with states to attempt to reconcile areas of
the plan that remain not as protective as the revised EG.
Upon the effective date of a revised/new state plan, the amended
federal plan would no longer apply to HMIWI covered by such a plan and
the state or local agency would implement and enforce the revised/new
state plan in lieu of the amended federal plan. When an EPA Regional
Office approves a revised/new state plan, it will amend the appropriate
subpart of 40 CFR part 62 to indicate such approval.
2. State Takes Delegation of the Federal Plan
The EPA, in its discretion, may delegate to state agencies the
authority to implement this amended federal plan. As discussed above,
the EPA believes that it is advantageous and the best use of resources
for state or local agencies to agree to undertake, on the EPA's behalf,
administrative and substantive roles in implementing the amended
federal plan to the extent appropriate and where authorized by state
law. If a state requests delegation, the EPA will generally delegate
the entire amended federal plan to the state agency. These functions
include administration and oversight of compliance reporting and
recordkeeping requirements, HMIWI inspections and preparation of draft
notices of violation but will not include any retained authorities.
State agencies that have taken delegation, as well as the EPA, will
have responsibility for bringing enforcement actions against sources
violating federal plan provisions.
D. Implementing Authority
The EPA Regional Administrators have been delegated the authority
for implementing the HMIWI federal plan amendments. All reports
required by these amendments to the federal plan should be submitted to
the appropriate Regional Office Administrator. Section II.C. of this
preamble includes a table that lists names and addresses of the EPA
Regional Office contacts and the states they cover.
IX. Title V Operating Permits
All existing HMIWI regulated under state or federal plans
implementing the 1997 EG and any HMIWI that was regulated under the
1997 NSPS should have already applied for and obtained Title V
operating permits, as required under the EG. Title V operating permits
assure compliance with all applicable federal requirements for HMIWI,
including all applicable CAA section 129 requirements. (See 40 CFR
70.2,70.6(a)(1), 71.2 and 71.6(a)(1).) Title V operating permits for
the above-noted sources may, however, need to be reopened to
incorporate the requirements of a revised/new state plan, this amended
federal plan or more stringent NSPS requirements.
For more background information on the interface between CAA
section 129 and Title V, including the EPA's interpretation of CAA
section 129(e), as well as information on submitting Title V permit
applications, updating existing Title V permit applications and
reopening existing Title V permits, see the final Federal Plan for
Commercial and Industrial Solid Waste Incinerators, October 3, 2003 (68
FR 57518, 57532). See also the final Federal Plan for Hospital Medical
Infectious Waste Incinerators, August 15, 2000 (65 FR 49868, 49877).
Today's proposed revised federal plan maintains the 2000 federal
plan approach, specifying that owners or operators of HMIWI that burn
only pathological waste, low-level radioactive waste and/or
chemotherapeutic waste and co-fired combustors, as defined in Sec.
62.14490 of subpart HHH, must comply only with certain recordkeeping
and reporting requirements set forth in today's proposed amended
federal plan. (See Sec. 62.14400.) These HMIWI and co-fired combustors
would not be subject to the emissions control-related requirements of
the amended federal plan as long as they complied with the
recordkeeping and reporting requirements set forth as conditions for
their exemption. Consistent with the 2000 federal plan, owners and
operators of these sources as listed above would not be required to
obtain Title V operating permits as a matter of federal law if the only
reason they would potentially be subject to Title V is these non-
emissions control-related recordkeeping and reporting requirements.
(See Sec. 62.14480.) Originally explained in the 2000 federal plan,
today's rule maintains that owners and operators of HMIWI that burn
only pathological waste, low-level radioactive waste and/or
chemotherapeutic waste and co-fired combustors that do not comply with
the recordkeeping and reporting requirements necessary to qualify for
exemption from the other requirements of the amended federal plan would
become subject to those other requirements and would have to obtain
Title V permits. Moreover as stated in the 2000 federal plan and again
in today's proposal, if, in the future, the EPA promulgates regulations
subjecting any of these sources to requirements other than these
recordkeeping and reporting requirements, these sources could become
subject to Title V at that time.
A. Title V and Delegation of a Federal Plan
We have previously stated our position that issuance of a Title V
permit is not equivalent to the approval of a state plan or delegation
of a federal plan.\3\ Legally, delegation of a standard or requirement
results in a delegated state or tribe standing in for the EPA as a
matter of federal law. This means that obligations a source may have to
the EPA under a federally promulgated standard become obligations to a
state (except for functions that the EPA retains for itself) upon
delegation.\4\ Although a state or tribe may have the authority under
state or tribal law to incorporate section 111/129 requirements into
its Title V permits, and implement and enforce these requirements in
these permits without first taking delegation of the section 111/129
federal plan, the state or tribe is not standing in for the EPA as a
matter of federal law in this situation. Where a state or tribe does
not take delegation of a section 111/129 federal plan, obligations that
a source has to the EPA under the federal plan continue after a Title V
permit is issued to the source. As a result, the EPA continues to
maintain that an approved part 70 operating permits program cannot be
used as a mechanism to transfer the authority to implement and enforce
the federal plan from the EPA to a state or tribe. As mentioned above,
a state or tribe may have the authority under state or tribal law to
incorporate section 111/129 requirements into its Title V permits, and
implement and enforce these requirements in that context without first
taking delegation of the section 111/129 federal plan.\5\ Some
[[Page 24286]]
states or tribes, however, may not be able to implement and enforce a
section 111/129 standard in a Title V permit until the section 111/129
standard has been delegated. In these situations, a state or tribe
should not issue a part 70 permit to a source subject to a federal plan
before taking delegation of the section 111/129 federal plan. If a
state or tribe can provide an Attorney General's (AG's) opinion
delineating its authority to incorporate section 111/129 requirements
into its Title V permits, and then implement and enforce these
requirements through its Title V permits without first taking
delegation of the requirements, then a state or tribe does not need to
take delegation of the section 111/129 requirements for purposes of
Title V permittin.\6\ In practical terms, without approval of a state
or tribal plan, delegation of a federal plan, or an adequate AG's
opinion, states and tribes with approved part 70 permitting programs
open themselves up to potential questions regarding their authority to
issue permits containing section 111/129 requirements and to assure
compliance with these requirements. Such questions could lead to the
issuance of a notice of deficiency for a state's or tribe's part 70
program. As a result, prior to a state or tribal permitting authority
drafting a part 70 permit for a source subject to a section 111/129
federal plan, the state or tribe, the EPA Regional Office and source in
question are advised to ensure that delegation of the relevant federal
plan has taken place or that the permitting authority has provided to
the EPA Regional Office an adequate AG's opinion. In addition, if a
permitting authority chooses to rely on an AG's opinion and not take
delegation of a federal plan, a section 111/129 source subject to the
federal plan in that state must simultaneously submit to both the EPA
and the state or tribe all reports required by the standard to be
submitted to the EPA. Given that these reports are necessary to
implement and enforce the section 111/129 requirements when they have
been included in Title V permits, the permitting authority needs to
receive these reports at the same time as the EPA. In the situation
where a permitting authority chooses to rely on an AG's opinion and not
take delegation of a federal plan, the EPA Regional Offices will be
responsible for implementing and enforcing section 111/129 requirements
outside of any Title V permits. Moreover, in this situation, the EPA
Regional Offices will continue to be responsible for developing
progress reports and conducting any other administrative functions
required under this federal plan or any other section 111/129 federal
plan. See the section IV.J. of this preamble titled ``Progress
Reports''. It is important to note that the EPA is not using its
authority under 40 CFR part 70.4(i)(3) to request that all states and
tribes which do not take delegation of this federal plan submit
supplemental AG's opinions at this time. However, the EPA Regional
Offices shall request, and permitting authorities shall provide, such
opinions when the EPA questions a state's or tribe's authority to
incorporate section 111/129 requirements into a Title V permit and
implement and enforce these requirements in that context without
delegation.
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\3\ For the sake of brevity, the discussion from the proposed
federal plan regarding Title V and delegation of a federal plan is
not being repeated. See ``Title V and Delegation of a Federal Plan''
section of the proposed federal plan for CISWI, November 25, 2002
(67 FR 70640, 70652). Nevertheless, the preamble language from this
section in the proposed rule is hereby reaffirmed in this final
rule.
\4\ If the Administrator chooses to retain certain authorities
under a standard, those authorities cannot be delegated, e.g.,
alternative methods of demonstrating compliance.
\5\ The EPA interprets the phrase ``assure compliance'' in
section 502(b)(5)(A) to mean that permitting authorities will
implement and enforce each applicable standard, regulation or
requirement which must be included in the Title V permits the
permitting authorities issue. See definition of ``applicable
requirement'' in 40 CFR 70.2. See also 40 CFR 70.4(b)(3)(i) and
70.6(a)(1).
\6\ It is important to note that an AG's opinion submitted at
the time of initial Title V program approval is sufficient if it
demonstrates that a state or tribe has adequate authority to
incorporate CAA section 111/129 requirements into its Title V
permits and to implement and enforce these requirements through its
Title V permits without delegation.
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X. Statutory and Executive Order Reviews
This section addresses the following administrative requirements:
Executive Orders 12866 and 13563, 13132, 13175, 13045, 13211 and 12898,
PRA, RFA, UMRA and the NTTAA. This two-part action proposes a revised
federal plan and proposes amendments to the final 2009 NSPS. Since this
proposed federal plan rule merely implements the amended HMIWI EG
promulgated on October 6, 2009 (codified at 40 part 60, subpart Ce) as
they apply to HMIWI and the proposed NSPS amendments clarify EPA's
original intent removing the startup, shutdown, and malfunction
exemption in the final NSPS rule October 6, 2009 (codified at 40 part
60, subpart Ec) and does not impose any new requirements, much of the
following discussion of administrative requirements refers to the
documentation of applicable administrative requirements in the preamble
to the 2009 rule promulgating the amended EG and NSPS (74 FR 51368-
51402, October 6, 2009).
A. Executive Order 12866 and 13563: Regulatory Planning and Review
This proposed action is not a ``significant regulatory action''
under the terms of Executive Order 12866 (58 FR 51735; October 4, 1993)
and is, therefore, not subject to review under the Executive Orders
12866 and 13563 (76 FR 3821, January 21, 2011).
The EPA considered the 2009 amendments to the HMIWI EG to be
significant and the rule was reviewed by the Office of Management and
Budget (OMB) in 2009. (See 74 FR 51400.) The federal plan proposed
today would simply implement the EG as amended in 2009 and does not
result in any additional control requirements or impose any additional
costs above those previously considered during promulgation of the 2009
amended EG. Therefore, this regulatory action is considered ``not
significant'' under Executive Order 12866 and 13563.
B. Paperwork Reduction Act (PRA)
This proposed action does not impose any new information collection
burden. This action simply proposes amendments to the hospital/medical/
infectious waste incinerators federal plan to implement the amended
emission guidelines adopted on October 6, 2009, for those states that
do not have an approved revised/new state plan implementing the
emission guidelines. Additionally, today's action also proposes to
amend the new source performance standards to better reflect EPA's
original intent in the October 6, 2009, final rule in eliminating an
exemption during startup, shutdown and malfunction periods from the
requirement to comply with standards at all times. However, the Office
of Management and Budget (OMB) has previously approved the information
collection requirements contained in the existing regulations 40 CFR
part 60 subparts CE and EC under the provisions on the Paperwork
Reduction Act, 44 U.S.C. 3501 et seq. and has assigned OMB Control
Number 2060-0422. The OMB Control Numbers for EPA's regulation in 40
CFR are listed in 40 CFR part 9.
C. Regulatory Flexibility Act (RFA)
The RFA generally requires an agency to prepare a regulatory
flexibility analysis of any rule subject to notice and comment
rulemaking requirements under the Administrative Procedure Act or any
other statute unless the agency certifies that the rule will not have a
significant economic impact on a substantial number of small entities
(SISNOSE). Small entities include small businesses, small organizations
and small governmental jurisdictions.
For purposes of assessing the impacts of this proposed action on
small entities, small entity is defined as follows: (1) A small
business as defined by the Small Business Administration's regulations
at 13 CFR 121.201; (2) a small governmental jurisdiction that is a
government of a city, county, town, school district or special district
with a population of less than 50,000; or (3) a small organization that
is any not-for-profit enterprise that is independently
[[Page 24287]]
owned and operated and is not dominant in its field.
After considering the economic impacts of today's rule on small
entities, I certify that this action will not have a significant
economic impact on a substantial number of small entities. During the
2009 HMIWI EG rulemaking, the EPA estimated that a substantial number
of small entities would not be significantly impacted by the
promulgated EG. (See 74 FR at 51400-51401.) This proposed amended
federal plan does not establish any new requirements.
D. Unfunded Mandates Reform Act (UMRA)
This proposed action does not contain a federal mandate that may
result in expenditures of $100 million or more for state and local
governments, in the aggregate, or the private sector in any 1 year. In
the preamble to the 2009 EG, the national total cost to comply with the
final rule was estimated to be approximately $15.5 million in each of
the first 3 years of compliance. This proposed federal plan, as
amended, will apply to only a subset of the units considered in the
cost analysis for the EG, and less than 10 percent of the units
nationwide are state or locally owned. Thus, the proposed federal plan,
as amended, is not subject to the requirements of sections 202 or 205
of UMRA.
In addition, the EPA has determined that the proposed rule contains
no regulatory requirements that might significantly or uniquely affect
small governments because, as noted above, the burden is small and the
regulation does not unfairly apply to small governments. Therefore, the
proposed rule is also not subject to the requirements of section 203 of
UMRA.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government, as
specified in Executive Order 13132. This proposed action will not
impose substantial direct compliance costs on state or local
governments and will not preempt state law. Thus, Executive Order 13132
does not apply to this proposed action.
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
action from state and local officials.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This proposed action does not have tribal implications, as
specified in Executive Order 13175 (65 FR 67249, November 9, 2000). The
EPA is not aware of any HMIWI owned or operated by Indian tribal
governments. Thus, Executive Order 13175 does not apply to this
proposed action.
G. Executive Order 13045: Protection of Children From Environmental
Health and Safety Risks
The EPA interprets Executive Order 13045 (62 FR 19885; April 23,
1997) as applying to those regulatory actions that concern health or
safety risks, such that the analysis required under section 5-501 of
the Executive Order has the potential to influence the regulation. This
proposed action is not subject to Executive Order 13045 because it is
based solely on technology performance.
H. Executive Order 13211: Actions That Significantly Affect Energy
Supply, Distribution or Use
This action is not subject to Executive Order 13211 (66 FR 28355
(May 22, 2001)), because it is not a significant regulatory action
under Executive Order 12866.
I. National Technology Transfer and Advancement Act (NTTAA)
Section 12(d) of the NTTAA, Public Law 104-113 (15 U.S.C. 272 note)
directs the EPA to use voluntary consensus standards (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 EPA decides not to use available and
applicable VCS.
This proposed rulemaking involves technical standards. The EPA
proposes to use two VCS in today's action. One VCS, ASME PTC 19.10-
1981, ``Flue and Exhaust Gas Analyses,'' is cited in the 2009 EG and
the 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 from the ASME, P.O. Box 2900,
Fairfield, NJ 07007-2900; or Global Engineering Documents, Sales
Department, 15 Inverness Way East, Englewood, CO 80112.
Another VCS, ASTM D6784-02, ``Standard Test Method for Elemental,
Oxidized, Particle-Bound and Total Mercury Gas Generated from Coal-
Fired Stationary Sources (Ontario Hydro Method),'' is cited in the 2009
EG and the proposed rule as an acceptable alternative to EPA Method 29
of appendix A-8 (portion for Hg only) for measuring Hg. This standard
is available from the 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 16 VCS as being potentially applicable
to the 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 proposed rule.
See the docket for the 2009 EG (Docket ID No. EPA-HQ-OAR-2006-0534),
which is being implemented under today's proposed action, for the
reasons for these determinations.
Under 40 CFR 62.14495, the EPA Administrator retains the authority
of approving alternative methods of demonstrating compliance as
established under 40 CFR 60.8(b) and 60.13(i) of 40 CFR part 60,
subpart A (NSPS 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 EPA test methods, performance
specifications or procedures.
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 (EJ) in Minority Populations and Low-Income Populations
Executive Order 12898 (59 FR 7629; Feb. 16, 1994) establishes
federal executive policy on EJ. Its main provision directs federal
agencies, to the greatest extent practicable and permitted by law, to
make EJ part of their mission by identifying and addressing, as
appropriate, disproportionately high and adverse human health or
environmental effects of their programs, policies and activities on
minority populations and low-income populations in the United States.
[[Page 24288]]
The EPA has determined that this proposed action will not have
disproportionately high and adverse human health or environmental
effects on minority or low-income 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 or low-
income population.
This proposed action implements national standards in the 2009
amendments to the HMIWI EG that would result in reductions in emissions
of Cd, CO, dioxins/furans, HCl, Pb, Hg, NOX, PM and
SO2 from all HMIWI and thus decrease the amount of such
emissions to which all affected populations are exposed.
List of Subjects in 40 CFR Parts 60 and 62
Administrative practice and procedure, Air pollution control,
Environmental protection, Intergovernmental relations, Reporting and
recordkeeping requirements.
Dated: March 27, 2012.
Lisa P. Jackson,
Administrator.
PART 60--STANDARDS OF PERFORMANCE FOR NEW STATIONARY SOURCES:
HOSPITAL/MEDICAL/INFECTIOUS WASTE INCINERATORS
For the reasons stated in the preamble, Title 40, chapter I, parts
60 and 62 of the CFR are proposed to be amended as follows:
PART 60--[AMENDED]
1. The authority citation for part 60 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart Ec--[Amended]
2. The subpart heading for subpart Ec is revised to read as
follows:
Subpart Ec--Standards of Performance for New Stationary Sources:
Hospital/Medical/Infectious Waste Incinerators: Final Rule
Amendments
3. Section 60.56c is amended by revising the first sentence of
paragraph (d)(2) to read as follows:
Sec. 60.56c Compliance and performance testing.
(d) * * *
(2) Following the date on which the initial performance test is
completed or is required to be completed under Sec. 60.8, whichever
date comes first, ensure that the affected facility does not operate
above any of the applicable maximum operating parameters or below any
of the applicable minimum operating parameters listed in table 3 of
this subpart and measured as 3-hour rolling averages (calculated each
hour as the average of the previous 3 operating hours) at all times. *
* *
* * * * *
PART 62--FEDERAL PLAN REQUIREMENTS FOR HOSPITAL/MEDICAL/INFECTIOUS
WASTE INCINERATORS CONSTRUCTED ON OR BEFORE DECEMBER 1, 2008
4. The authority citation for part 62 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart HHH--[Amended]
5. The subpart heading for subpart HHH is revised to read as
follows:
Subpart HHH--Federal Plan Requirements for Hospital/Medical/
Infectious Waste Incinerators Constructed On or Before December 1,
2008
6. Section 62.14400 is amended by revising paragraphs (a)
introductory text, (a)(2), and (c) to read as follows:
Sec. 62.14400 Am I subject to this subpart?
(a) You are subject to this subpart if paragraphs (a)(1), (2)(i) or
(ii), and (3) of this section are all true:
* * * * *
(2)(i) Construction of the HMIWI commenced on or before June 20,
1996, or modification of the HMIWI commenced on or before March 16,
1998; or
(ii) Construction of the HMIWI commenced after June 20, 1996 but no
later than December 1, 2008, or modification of the HMIWI commenced
after March 16, 1998 but no later than April 6, 2010; and
* * * * *
(c) Owners or operators of sources that qualify for the exemptions
in paragraphs (b)(1) or (b)(2) of this section must submit records
required to support their claims of exemption to the EPA Administrator
(or delegated enforcement authority) upon request. Upon request by any
person under the regulation at part 2 of this chapter (or a comparable
law or regulation governing a delegated enforcement authority), the EPA
Administrator (or delegated enforcement authority) must request the
records in (b)(1) or (b)(2) from an owner or operator and make such
records available to the requestor to the extent required by part 2 of
this chapter (or a comparable law governing a delegated enforcement
authority). Records required under paragraphs (b)(1) and (b)(2) of this
section must be maintained by the source for a period of at least 5
years. Notifications of exemption claims required under paragraphs
(b)(1) and (b)(2) of this section must be maintained by the EPA or
delegated enforcement authority for as long as the source is operating
under such exempt status. Any information obtained from an owner or
operator of a source accompanied by a claim of confidentiality will be
treated in accordance with the regulations in part 2 of this chapter
(or a comparable law governing a delegated enforcement authority).
7. Section 62.14401 is revised to read as follows:
Sec. 62.14401 How do I determine if my HMIWI is covered by an
approved and effective state or tribal plan?
This part (40 CFR part 62) contains a list of all states and tribal
areas with approved Clean Air Act (CAA) section 111(d)/129 plans in
effect. However, this part is only updated once a year. Thus, if this
part does not indicate that your state or tribal area has an approved
and effective plan, you should contact your state environmental
agency's air director or your EPA Regional Office to determine if
approval occurred since publication of the most recent version of this
part. A state may also meet its CAA section 111(d)/129 obligations by
submitting an acceptable written request for delegation of the federal
plan that meets the requirements of this section. This is the only
other option for a state to meet its 111(d)/129 obligations.
(a) An acceptable federal plan delegation request must include the
following:
(1) A demonstration of adequate resources and legal authority to
administer and enforce the federal plan.
(2) The items under Sec. 60.25(a) and 60.39e(c).
(3) Certification that the hearing on the state delegation request,
similar to the hearing for a state plan submittal, was held, a list of
witnesses and their organizational affiliations, if any, appearing at
the hearing, and a brief written summary of each presentation or
written submission.
(4) A commitment to enter into a Memorandum of Agreement with the
Regional Administrator who sets forth the terms, conditions and
effective date of the delegation and that serves as the mechanism for
the transfer of authority. Additional guidance and information is given
in the EPA's Delegation Manual,
[[Page 24289]]
Item 7-139, Implementation and Enforcement of 111(d)(2) and 111(d)/(2)/
129(b)(3) federal plans.
(b) A state with an already approved HMIWI CAA section 111(d)/129
state plan is not precluded from receiving EPA approval of a delegation
request for the revised federal plan, providing the requirements of
paragraph (a) of this section are met, and at the time of the
delegation request, the state also requests withdrawal of the EPA's
previous state plan approval.
(c) A state's CAA section 111(d)/129 obligations are separate from
its obligations under Title V of the CAA.
8. Section 62.14402 is revised to read as follows:
Sec. 62.14402 If my HMIWI is not listed on the federal plan
inventory, am I exempt from this subpart?
Not necessarily. Sources subject to this subpart include, but are
not limited to, the inventory of sources listed in Docket ID No. EPA-
HQ-OAR-2011-0405 for the federal plan. Review the applicability of
Sec. 62.14400 to determine if you are subject.
9. Section 62.14403 is revised to read as follows:
Sec. 62.14403 What happens if I modify an existing HMIWI?
(a) If you commenced modification (defined in 40 CFR 62.14490) of
an existing HMIWI after April 6, 2010, you are subject to 40 CFR part
60, subpart Ec (40 CFR 60.50c through 60.58c), as amended, and you are
not subject to this subpart, except as provided in paragraph (b) of
this section.
(b) If you made physical or operational changes to your existing
HMIWI solely for the purpose of complying with this subpart, these
changes are not considered a modification and you are not subject to 40
CFR part 60, subpart Ec (40 CFR 60.50c through 60.58c), as amended. You
remain subject to this subpart.
10. Section 62.14412 is revised to read as follows:
Sec. 62.14412 What stack opacity and visible emissions requirements
apply?
(a) Your HMIWI (regardless of size category) must not discharge
into the atmosphere from the stack any gases that exhibit greater than
6 percent opacity (6-minute block average).
(b) Your HMIWI (regardless of size category) must not discharge
into the atmosphere visible emissions of combustion ash from an ash
conveying system (including conveyor transfer points) in excess of 5
percent of the observation period (i.e., 9 minutes per 3-hour period),
as determined by EPA Reference Method 22 of 40 CFR part 60, appendix A-
7, except as provided in paragraphs (b)(1) and (2) of this section.
(1) The emissions limit specified in paragraph (b) of this section
does not cover visible emissions discharged inside buildings or
enclosures of ash conveying systems; however, the emissions limit does
cover visible emissions discharged to the atmosphere from buildings or
enclosures of ash conveying systems.
(2) The provisions specified in paragraph (b) of this section do
not apply during maintenance and repair of ash conveying systems.
Maintenance and/or repair must not exceed 10 operating days per
calendar quarter unless you obtain written approval from the state
agency establishing a date when all necessary maintenance and repairs
of ash conveying systems are to be completed.
11. Section 62.14413 is revised to read as follows:
Sec. 62.14413 When do the emissions limits and stack opacity and
visible emissions requirements apply?
The emissions limits and stack opacity and visible emissions
requirements of this subpart apply at all times.
12. Section 62.14422 is amended by adding paragraph (a)(14) to read
as follows:
* * * * *
(14) Training in waste segregation according to Sec. 62.14430(c).
13. Section 62.14425 is amended by revising paragraph (b) to read
as follows:
* * * * *
(b) You must conduct your initial review of the information listed
in Sec. 62.14424 by [date 6 months after publication of final rule],
or prior to assumption of responsibilities affecting HMIWI operation,
whichever is later.
* * * * *
14. Section 62.14431 is revised to read as follows:
Sec. 62.14431 What must my waste management plan include?
(a) Your waste management plan must identify both the feasibility
of, and the approach for, separating certain components of solid waste
from the health care waste stream in order to reduce the amount of
toxic emissions from incinerated waste. The waste management plan you
develop may address, but is not limited to, elements such as
segregation and recycling of paper, cardboard, plastics, glass,
batteries, food waste and metals (e.g., aluminum cans, metals-
containing devices); segregation of non-recyclable wastes (e.g.,
polychlorinated biphenyl-containing waste, pharmaceutical waste, and
mercury-containing waste such as dental waste); and purchasing recycled
or recyclable products. Your waste management plan may include
different goals or approaches for different areas or departments of the
facility and need not include new waste management goals for every
waste stream. When you develop your waste management plan, it should
identify, where possible, reasonably available additional waste
management measures, taking into account the effectiveness of waste
management measures already in place, the costs of additional measures,
the emissions reductions expected to be achieved, and any other
potential environmental or energy impacts they might have. In
developing your waste management plan, you must consider the American
Hospital Association (AHA) publication titled ``Ounce of Prevention:
Waste Reduction Strategies for Health Care Facilities.'' This
publication (AHA Catalog No. 057007) is available for purchase from the
AHA Services, Inc., Post Office Box 933283, Atlanta, Georgia 31193-
3283.
(b) If you own or operate commercial HMIWI, you must conduct
training and education programs in waste segregation for each of your
waste generator clients and ensure that each client prepares its own
waste management plan that includes, but is not limited to, the
provisions listed in this section.
(c) If you own or operate commercial HMIWI, you must conduct
training and education programs in waste segregation for your HMIWI
operators.
15. Section 62.14432 is revised to read as follows:
Sec. 62.14432 When must my waste management plan be completed?
As specified in Sec. Sec. 62.14463 and 62.14464, you must submit
your waste management plan with your initial report, which is due 60
days after you demonstrate initial compliance with the amended
emissions limits, by conducting an initial performance test or
submitting the results of previous emissions tests, provided the
conditions in Sec. 62.14451(e) are met.
16. Section 62.14440 is revised to read as follows:
Sec. 62.14440 Which HMIWI are subject to inspection requirements?
(a) Small rural HMIWI (defined in Sec. 62.14490) are subject to
the HMIWI inspection requirements.
(b) All HMIWI equipped with one or more air pollution control
devices are subject to the air pollution control device inspection
requirements.
17. Section 62.14441 is revised to read as follows:
[[Page 24290]]
Sec. 62.14441 When must I inspect my HMIWI?
(a) You must inspect your small rural HMIWI by [date 1 year after
publication of final rule].
(b) You must conduct inspections of your small rural HMIWI as
outlined in Sec. 62.14442(a) annually (no more than 12 months
following the previous annual HMIWI inspection).
(c) You must inspect the air pollution control devices on your
large, medium, small or small rural HMIWI by [date 1 year after
publication of final rule].
(d) You must conduct the air pollution control device inspections
as outlined in Sec. 62.14442(b) annually (no more than 12 months
following the previous annual air pollution control device inspection).
18. Section 62.14442 is amended as follows:
a. By redesignating paragraphs (a) through (q) as paragraphs (a)(1)
through (a)(18);
b. By redesignating introductory text as paragraph (a) introductory
text;
c. By revising newly designated paragraph (a) introductory text;
and
d. By adding paragraph (a)(17)
e. By adding paragraph new paragraph (b).
Sec. 62.14442 What must my inspection include?
(a) At a minimum, you must do the following during your HMIWI
inspection:
* * * * *
(17) Include inspection elements according to manufacturer's
recommendations; and
(18) * * *
(b) At a minimum, you must do the following during your air
pollution control device inspection:
(1) Inspect air pollution control device(s) for proper operation,
if applicable;
(2) Ensure proper calibration of thermocouples, sorbent feed
systems and any other monitoring equipment; and
(3) Include inspection elements according to manufacturer's
recommendations; and
(4) Generally observe that the equipment is maintained in good
operating condition.
19. Section 62.14443 is revised to read as follows:
Sec. 62.14443 When must I do repairs?
(a) You must complete any necessary repairs to the HMIWI within 10
operating days of the HMIWI inspection unless you obtain written
approval from the EPA Administrator (or delegated enforcement
authority) establishing a different date when all necessary repairs of
your HMIWI must be completed.
(b) You must complete any necessary repairs to the air pollution
control device within 10 operating days of the air pollution control
device inspection unless you obtain written approval from the EPA
Administrator (or delegated enforcement authority) establishing a
different date when all necessary repairs of your air pollution control
device must be completed. During the time that you effecting repairs to
your air pollution control device, all emissions standards remain in
effect according to Sec. 62.14413.
20. Section 62.14450 is removed and reserved.
21. Section 62.14451 is amended as follows:
a. By revising paragraph (a);
b. By adding paragraph (b)(3);
c. By redesignating paragraph (c) as paragraph (d);
d. By adding new paragraph (c); and
e. By adding paragraph (e).
Sec. 62.14451 What are the testing requirements?
(a) Except as specified in paragraph (e) of this section, you must
conduct an initial performance test for PM, opacity, CO, dioxin/furan,
HCl, Pb, Cd, Hg, SO2, NOX and fugitive ash
emissions using the test methods and procedures outlined in Sec.
62.14452.
(b) * * *
(3) If you use a large HMIWI that commenced construction or
modification according to Sec. 62.14400(a)(2)(ii), determine
compliance with the visible emissions limits for fugitive emissions
from flyash/bottom ash storage and handling by conducting a performance
test using EPA Reference Method 22 of 40 CFR part 60, appendix A-7 on
an annual basis (no more than 12 months following the previous
performance test).
(c) The 2,000 lb/wk limitation for small rural HMIWI does not apply
during performance tests.
* * * * *
(e) You may use the results of previous emissions tests to
demonstrate compliance with the emissions limits, provided that the
conditions in paragraphs (e)(1) through (3) of this section are met:
(1) Your previous emissions tests must have been conducted using
the applicable procedures and test methods listed in Sec. 62.14452.
Previous emissions test results obtained using the EPA-accepted
voluntary consensus standards are also acceptable.
(2) The HMIWI at your facility must currently be operated in a
manner (e.g., with charge rate, secondary chamber temperature, etc.)
that would be expected to result in the same or lower emissions than
observed during the previous emissions test(s), and the HMIWI may not
have been modified such that emissions would be expected to exceed the
results from previous emissions test(s).
(3) The previous emissions test(s) must have been conducted in 1996
or later.
22. Section 62.14452 is amended as follows:
a. By revising paragraphs (c), (d), and (f);
b. By redesignating paragraph (l) as paragraph (o);
c. By revising newly designated paragraph (o);
d. By redesignating paragraph (m) as paragraph (r);
e. By redesignating paragraphs (g) through (k) as paragraphs (i)
through (m);
f. By revising newly designated paragraphs (i) through (m);
g. By adding new paragraphs (g) and (h);
h. By adding paragraphs (n), (p) and (q).
Sec. 62.14452 What test methods and procedures must I use?
* * * * *
(c) You must use EPA Reference Method 1 of 40 CFR part 60, appendix
A-1 to select the sampling location and number of traverse points;
(d) You must use EPA Reference Method 3, 3A or 3B of 40 CFR part
60, appendix A-2 for gas composition analysis, including measurement of
oxygen concentration. You must use EPA Reference Method 3, 3A or 3B of
40 CFR part 60, appendix A-2 simultaneously with each reference method.
You may use ASME PTC-19-10-1981-Part 10 (incorporated by reference in
40 CFR 60.17) as an alternative to EPA Reference Method 3B;
* * * * *
(f) You must use EPA Reference Method 5 of 40 CFR part 60, appendix
A-3 or Method 26A or Method 29 of 40 CFR part 60, appendix A-8 to
measure particulate matter (PM) emissions. You may use bag leak
detection systems, as specified in Sec. 62.14454(e), or PM continuous
emissions monitoring systems (CEMS), as specified in paragraph (o) of
this section, as an alternative to demonstrate compliance with the PM
emissions limit;
(g) You must use EPA Reference Method 6 or 6C of 40 CFR part 60,
appendix A-4 to measure SO2 emissions;
[[Page 24291]]
(h) You must use EPA Reference Method 7 or 7E of 40 CFR part 60,
appendix A-4 to measure NOX emissions;
(i) You must use EPA Reference Method 9 of 40 CFR part 60, appendix
A-4 to measure stack opacity. You may use bag leak detection systems,
as specified in Sec. 62.14454(e), or PM CEMS, as specified in
paragraph (o) of this section, as an alternative to demonstrate
compliance with the opacity requirements;
(j) You must use EPA Reference Method 10 or 10B of 40 CFR part 60,
appendix A-4 to measure the CO emissions. You may use CO CEMS, as
specified in paragraph (o) of this section, as an alternative to
demonstrate compliance with the CO emissions limit;
(k) You must use EPA Reference Method 23 of 40 CFR part 60,
appendix A-7 to measure total dioxin/furan emissions. The minimum
sample time must be 4 hours per test run. You may elect to sample
dioxins/furans by installing, calibrating, maintaining and operating a
continuous automated sampling system, as specified in paragraph (p) of
this section, as an alternative to demonstrate compliance with the
dioxin/furan emissions limit. If you have selected the toxic
equivalency (TEQ) standards for dioxin/furans under Sec. 62.14411, you
must use the following procedures to determine compliance:
(1) Measure the concentration of each dioxin/furan tetra-through
octa-congener emitted using EPA Reference Method 23 of 40 CFR part 60,
appendix A-7;
(2) For each dioxin/furan congener measured in accordance with
paragraph (k)(1) of this section, multiply the congener concentration
by its corresponding TEQ factor specified in Table 2 of this subpart;
(3) Sum the products calculated in accordance with paragraph (k)(2)
of this section to obtain the total concentration of dioxins/furans
emitted in terms of TEQ.
(l) You must use EPA Reference Method 26 or 26A of 40 CFR part 60,
appendix A-8 to measure HCl emissions. You may use HCl CEMS as an
alternative to demonstrate compliance with the HCl emissions limit;
(m) You must use EPA Reference Method 29 of 40 CFR part 60,
appendix A-8 to measure Pb, Cd and Hg emissions. You may use ASTM
D6784-02 (incorporated by reference in 40 CFR 60.17) as an alternative
to EPA Reference Method 29 for measuring Hg emissions. You may also use
Hg CEMS, as specified in paragraph (o) of this section, or a continuous
automated sampling system for monitoring Hg emissions, as specified in
paragraph (q) of this section, as an alternative to demonstrate
compliance with the Hg emissions limit. You may use multi-metals CEMS,
as specified in paragraph (o) of this section, as an alternative to EPA
Reference Method 29 to demonstrate compliance with the Pb, Cd or Hg
emissions limits;
(n) You must use EPA Reference Method 22 of 40 CFR part 60,
appendix A-7 to determine compliance with the fugitive ash emissions
limit under Sec. 60.52c(c). The minimum observation time must be a
series of three 1-hour observations.
(o) If you are using a CEMS to demonstrate compliance with any of
the emissions limits under Sec. Sec. 62.14411 or 62.14412, you:
(1) Must determine compliance with the appropriate emissions
limit(s) using a 12-hour rolling average, calculated as specified in
section 12.4.1 of EPA Reference Method 19 of 40 CFR part 60, appendix
A-7. Performance tests using EPA Reference Methods are not required for
pollutants monitored with CEMS.
(2) Must operate a CEMS to measure oxygen concentration, adjusting
pollutant concentrations to 7 percent oxygen as specified in paragraph
(e) of this section.
(3) Must operate all CEMS in accordance with the applicable
procedures under appendices B and F of 40 CFR part 60. For those CEMS
for which performance specifications have not yet been promulgated
(HCl, multi-metals), this option takes effect on the date a final
performance specification is published in the Federal Register or the
date of approval of a site-specific monitoring plan.
(4) May substitute use of a CO CEMS for the CO annual performance
test and minimum secondary chamber temperature to demonstrate
compliance with the CO emissions limit.
(5) May substitute use of an HCl CEMS for the HCl annual
performance test, minimum HCl sorbent flow rate and minimum scrubber
liquor pH to demonstrate compliance with the HCl emissions limit.
(6) May substitute use of a PM CEMS for the PM annual performance
test and minimum pressure drop across the wet scrubber, if applicable,
to demonstrate compliance with the PM emissions limit.
(p) If you are using a continuous automated sampling system to
demonstrate compliance with the dioxin/furan emissions limits, you must
record the output of the system and analyze the sample according to EPA
Reference Method 23 of 40 CFR part 60, appendix A-7. This option to use
a continuous automated sampling system takes effect on the date a final
performance specification applicable to dioxin/furan from monitors is
published in the Federal Register or the date of approval of a site-
specific monitoring plan. If you elect to continuously sample dioxin/
furan emissions instead of sampling and testing using EPA Reference
Method 23 of 40 CFR part 60, appendix A-7, you must install, calibrate,
maintain and operate a continuous automated sampling system and comply
with the requirements specified in 40 CFR 60.58b(p) and (q) of subpart
Eb.
(q) If you are using a continuous automated sampling system to
demonstrate compliance with the Hg emissions limits, you must record
the output of the system and analyze the sample at set intervals using
any suitable determinative technique that can meet appropriate
performance criteria. This option to use a continuous automated
sampling system takes effect on the date a final performance
specification applicable to Hg from monitors is published in the
Federal Register or the date of approval of a site-specific monitoring
plan. If you elect to continuously sample Hg emissions instead of
sampling and testing using EPA Reference Method 29 of 40 CFR part 60,
appendix A-8, or an approved alternative method for measuring Hg
emissions, you must install, calibrate, maintain and operate a
continuous automated sampling system and comply with the requirements
specified in 40 CFR 60.58b(p) and (q) of subpart Eb.
* * * * *
23. Section 62.14453 is amended as follows:
a. By revising paragraph (a) introductory text;
b. By revising paragraph (a)(2); and
c. By revising paragraph (b).
Sec. 62.14453 What must I monitor?
(a) If your HMIWI uses combustion control only, or your HMIWI is
equipped with a dry scrubber followed by a fabric filter (FF), a wet
scrubber, a dry scrubber followed by a FF and wet scrubber, or a
selective noncatalytic reduction (SNCR) system:
* * * * *
(2) After the date on which the initial performance test is
completed or is required to be completed under Sec. 62.14470,
whichever comes first, your HMIWI must not operate above any of the
applicable maximum operating parameters or below any of the applicable
minimum operating
[[Page 24292]]
parameters listed in Table 3 and measured as 3-hour rolling averages
(calculated each hour as the average of the previous 3 operating
hours), at all times except during performance tests.
(b) If you are using an air pollution control device other than a
dry scrubber followed by a FF, a wet scrubber, a dry scrubber followed
by a FF and a wet scrubber, or a SNCR system to comply with the
emissions limits under Sec. 62.14411, you must petition the EPA
Administrator for site-specific operating parameters to be established
during the initial performance test and you must continuously monitor
those parameters thereafter. You may not conduct the initial
performance test until the EPA Administrator has approved the petition.
24. Section 62.14454 is amended as follows:
a. By revising paragraph (a);
b. By revising paragraph (b);
c. By revising paragraph (c); and
d. By adding paragraph (e).
Sec. 62.14454 How must I monitor the required parameters?
(a) Except as provided in Sec. Sec. 62.14452(o) through (q), you
must install, calibrate (to manufacturers' specifications), maintain
and operate devices (or establish methods) for monitoring the
applicable maximum and minimum operating parameters listed in Table 3
of this subpart (unless CEMS are used as a substitute for certain
parameters as specified) such that these devices (or methods) measure
and record values for the operating parameters at the frequencies
indicated in Table 3 of this subpart at all times. For charge rate, the
device must measure and record the date, time and weight of each charge
fed to the HMIWI. This must be done automatically, meaning that the
only intervention from an operator during the process would be to load
the charge onto the weighing device. For batch HMIWI, the maximum
charge rate is measured on a daily basis (the amount of waste charged
to the unit each day).
(b) For all HMIWI, you must install, calibrate (to manufacturers'
specifications), maintain and operate a device or method for measuring
the use of the bypass stack, including the date, time and duration of
such use.
(c) For all HMIWI, if you are using controls other than a dry
scrubber followed by a FF, a wet scrubber, a dry scrubber followed by a
FF and a wet scrubber, or a SNCR system to comply with the emissions
limits under Sec. 62.14411, you must install, calibrate (to
manufacturers' specifications), maintain and operate the equipment
necessary to monitor the site-specific operating parameters developed
pursuant to Sec. 62.14453(b).
* * * * *
(e) If you use an air pollution control device that includes a FF
and are not demonstrating compliance using PM CEMS, you must determine
compliance with the PM emissions limit using a bag leak detection
system and meet the requirements in paragraphs (e)(1) through (12) of
this section for each bag leak detection system.
(1) Each triboelectric bag leak detection system must be installed,
calibrated, operated and maintained according to the ``Fabric Filter
Bag Leak Detection Guidance,'' (EPA-454/R-98-015, September 1997). This
document is available from the U.S. Environmental Protection Agency
(U.S. EPA); Office of Air Quality Planning and Standards; Sector
Policies and Programs Division; Measurement Policy Group (D-243-02),
Research Triangle Park, NC 27711. This document is also available on
the Technology Transfer Network (TTN) under Emissions Measurement
Center Continuous Emissions Monitoring. Other types of bag leak
detection systems must be installed, operated, calibrated and
maintained in a manner consistent with the manufacturer's written
specifications and recommendations.
(2) The bag leak detection system must be certified by the
manufacturer to be capable of detecting PM emissions at concentrations
of 10 milligrams per actual cubic meter (0.0044 grains per actual cubic
foot) or less.
(3) The bag leak detection system sensor must provide an output of
relative PM loadings.
(4) The bag leak detection system must be equipped with a device to
continuously record the output signal from the sensor.
(5) The bag leak detection system must be equipped with an audible
alarm system that will sound automatically when an increase in relative
PM emissions over a preset level is detected. The alarm must be located
where it is easily heard by plant operating personnel.
(6) For positive pressure FF systems, a bag leak detector must be
installed in each baghouse compartment or cell.
(7) For negative pressure or induced air FF, the bag leak detector
must be installed downstream of the FF.
(8) Where multiple detectors are required, the system's
instrumentation and alarm may be shared among detectors.
(9) The baseline output must be established by adjusting the range
and the averaging period of the device and establishing the alarm set
points and the alarm delay time according to section 5.0 of the
``Fabric Filter Bag Leak Detection Guidance.''
(10) Following initial adjustment of the system, the sensitivity or
range, averaging period, alarm set points or alarm delay time may not
be adjusted. In no case may the sensitivity be increased by more than
100 percent or decreased more than 50 percent over a 365-day period
unless such adjustment follows a complete FF inspection that
demonstrates that the FF is in good operating condition. Each
adjustment must be recorded.
(11) Record the results of each inspection, calibration and
validation check.
(12) Initiate corrective action within 1 hour of a bag leak
detection system alarm; operate and maintain the FF such that the alarm
is not engaged for more than 5 percent of the total operating time in a
6-month block reporting period. If inspection of the FF demonstrates
that no corrective action is required, no alarm time is counted. If
corrective action is required, each alarm is counted as a minimum of 1
hour. If it takes longer than 1 hour to initiate corrective action, the
alarm time is counted as the actual amount of time taken to initiate
corrective action.
25. Section 62.14455 is revised to read as follows:
Sec. 62.14455 What if my HMIWI goes outside of a parameter limit?
(a) Operation above the established maximum or below the
established minimum operating parameter(s) constitutes a violation of
established operating parameter(s). Operating parameter limits do not
apply during performance tests.
(b) Except as provided in paragraph (g) or (h) of this section, if
your HMIWI uses combustion control only:
[[Page 24293]]
------------------------------------------------------------------------
Then you are in
And your HMIWI . . . violation of . . .
------------------------------------------------------------------------
Operates above the maximum charge rate (3-hour The PM, CO and dioxin/
rolling average for continuous and intermittent furan emissions
HMIWI, daily average for batch HMIWI) and below limits.
the minimum secondary chamber temperature (3-
hour rolling average) simultaneously.
------------------------------------------------------------------------
(c) Except as provided in paragraph (f) or (g) of this section, if
your HMIWI is equipped with a dry scrubber followed by a FF:
------------------------------------------------------------------------
Then you are in
And your HMIWI . . . violation of . . .
------------------------------------------------------------------------
(1) Operates above the maximum charge rate (3- The CO emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum secondary chamber
temperature (3-hour rolling average)
simultaneously.
(2) Operates above the maximum FF inlet The dioxin/furan
temperature (3-hour rolling average), above the emissions limit.
maximum charge rate (3-hour rolling average for
continuous and intermittent HMIWI, daily
average for batch HMIWI), and below the minimum
dioxin/furan sorbent flow rate (3-hour rolling
average) simultaneously.
(3) Operates above the maximum charge rate (3- The HCl emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum HCl sorbent flow
rate (3-hour rolling average) simultaneously.
(4) Operates above the maximum charge rate (3- The Hg emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum Hg sorbent flow
rate (3-hour rolling average) simultaneously.
(5) Uses the bypass stack....................... The PM, dioxin/furan,
HCl, Pb, Cd and Hg
emissions limits.
(6) Operates above the CO emissions limit as The CO emissions
measured by a CO CEMS, as specified in Sec. limit.
62.14452(o).
(7) Uses a bag leak detection system, as The PM emissions
specified in Sec. 62.14454(e), to demonstrate limit.\a\
compliance with the PM emissions limit and
either fails to initiate corrective action
within 1 hour of a bag leak detection system
alarm or fails to operate and maintain the FF
such that the alarm is not engaged for more
than 5 percent of the total operating time in a
6-month block reporting period.
(8) Uses a bag leak detection system, as The opacity limit.\a\
specified in Sec. 62.14454(e), to demonstrate
compliance with the opacity limit and either
fails to initiate corrective action within 1
hour of a bag leak detection system alarm or
fails to operate and maintain the FF such that
the alarm is not engaged for more than 5
percent of the total operating time in a 6-
month block reporting period.
(9) Operates above the PM emissions limit as The PM emissions
measured by a PM CEMS, as specified in Sec. limit.
62.14452(o).
(10) Operates above the HCl emissions limit as The HCl emissions
measured by an HCl CEMS, as specified in Sec. limit.
62.14452(o).
(11) Operates above the Pb emissions limit as The Pb emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(12) Operates above the Cd emissions limit as The Cd emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(13) Operates above the Hg emissions limit as The Hg emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(14) Operates above the dioxin/furan emissions The dioxin/furan
limit as measured by a continuous automated emissions limit.
sampling system, as specified in Sec.
62.14452(p).
(15) Operates above the Hg emissions limit as The Hg emissions
measured by a continuous automated sampling limit.
system, as specified in Sec. 62.14452(q).
------------------------------------------------------------------------
\a\ If inspection of the FF demonstrates that no corrective action is
required, no alarm time is counted. If corrective action is required,
each alarm is counted as a minimum of 1 hour. If it takes longer than
1 hour to initiate corrective action, the alarm time is counted as the
actual amount of time taken to initiate corrective action.
(d) Except as provided in paragraph (g) or (h) of this section, if
your HMIWI is equipped with a wet scrubber:
------------------------------------------------------------------------
Then you are in
And your HMIWI . . . violation of . . .
------------------------------------------------------------------------
(1) Operates above the maximum charge rate (3- The CO emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum secondary chamber
temperature (3-hour rolling average)
simultaneously.
(2) Operates above the maximum charge rate (3- The PM emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum pressure drop
across the wet scrubber (3-hour rolling
average) or below the minimum horsepower or
amperage to the system (3-hour rolling average)
simultaneously.
(3) Operates above the maximum charge rate (3- The dioxin/furan
hour rolling average for continuous and emissions limit.
intermittent HMIWI, daily average for batch
HMIWI), below the minimum secondary chamber
temperature (3-hour rolling average), and below
the minimum scrubber liquor flow rate (3-hour
rolling average) simultaneously.
(4) Operates above the maximum charge rate (3- The HCl emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum scrubber liquor pH
(3-hour rolling average) simultaneously.
(5) Operates above the maximum flue gas The Hg emissions
temperature (3-hour rolling average) and above limit.
the maximum charge rate (3-hour rolling average
for continuous and intermittent HMIWI, daily
average for batch HMIWI) simultaneously.
(6) Uses the bypass stack....................... The PM, dioxin/furan,
HCl, Pb, Cd and Hg
emissions limits.
[[Page 24294]]
(7) Operates above the CO emissions limit as The CO emissions
measured by a CO CEMS, as specified in Sec. limit.
62.14452(o).
(8) Operates above the PM emissions limit as The PM emissions
measured by a PM CEMS, as specified in Sec. limit.
62.14452(o).
(9) Operates above the HCl emissions limit as The HCl emissions
measured by an HCl CEMS, as specified in Sec. limit.
62.14452(o).
(10) Operates above the Pb emissions limit as The Pb emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(11) Operates above the Cd emissions limit as The Cd emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(12) Operates above the Hg emissions limit as The Hg emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(13) Operates above the dioxin/furan emissions The dioxin/furan
limit as measured by a continuous automated emissions limit.
sampling system, as specified in Sec.
62.14452(p).
(14) Operates above the Hg emissions limit as The Hg emissions
measured by a continuous automated sampling limit.
system, as specified in Sec. 62.14452(q).
------------------------------------------------------------------------
(e) Except as provided in paragraph (g) or (h) of this section, if
your HMIWI is equipped with a dry scrubber followed by a FF and a wet
scrubber:
------------------------------------------------------------------------
Then you are in
And your HMIWI . . . violation of . . .
------------------------------------------------------------------------
(1) Operates above the maximum charge rate (3- The CO emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum secondary chamber
temperature (3-hour rolling average)
simultaneously.
(2) Operates above the maximum fabric filter The dioxin/furan
inlet temperature (3-hour rolling average), emissions limit.
above the maximum charge rate (3-hour rolling
average for continuous and intermittent HMIWI,
daily average for batch HMIWI), and below the
minimum dioxin/furan sorbent flow rate (3-hour
rolling average) simultaneously.
(3) Operates above the maximum charge rate (3- The HCl emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum scrubber liquor pH
(3-hour rolling average) simultaneously.
(4) Operates above the maximum charge rate (3- The Hg emissions
hour rolling average for continuous and limit.
intermittent HMIWI, daily average for batch
HMIWI) and below the minimum Hg sorbent flow
rate (3-hour rolling average) simultaneously.
(5) Uses the bypass stack....................... The PM, dioxin/furan,
HCl, Pb, Cd and Hg
emissions limits.
(6) Operates above the CO emissions limit as The CO emissions
measured by a CO CEMS, as specified in Sec. limit.
62.14452(o).
(7) Uses a bag leak detection system, as The PM emissions
specified in Sec. 62.14454(e), to demonstrate limit.\a\
compliance with the PM emissions limit and
either fails to initiate corrective action
within 1 hour of a bag leak detection system
alarm or fails to operate and maintain the FF
such that the alarm is not engaged for more
than 5 percent of the total operating time in a
6-month block reporting period.
(8) Uses a bag leak detection system, as The opacity limit.\a\
specified in Sec. 62.14454(e), to demonstrate
compliance with the opacity limit and either
fails to initiate corrective action within 1
hour of a bag leak detection system alarm or
fails to operate and maintain the FF such that
the alarm is not engaged for more than 5
percent of the total operating time in a 6-
month block reporting period.
(9) Operates above the PM emissions limit as The PM emissions
measured by a PM CEMS, as specified in Sec. limit.
62.14452(o).
(10) Operates above the HCl emissions limit as The HCl emissions
measured by an HCl CEMS, as specified in Sec. limit.
62.14452(o).
(11) Operates above the Pb emissions limit as The Pb emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(12) Operates above the Cd emissions limit as The Cd emissions
measured by a multi-metals CEMS, as specified limit.
in Sec. 62.14452(o).
(13) Operates above the Hg emissions limit as The Hg emissions limit
measured by a multi-metals CEMS, as specified
in Sec. 62.14452(o).
(14) Operates above the dioxin/furan emissions The dioxin/furan
limit as measured by a continuous automated emissions limit.
sampling system, as specified in Sec.
62.14452(p).
(15) Operates above the Hg emissions limit as The Hg emissions
measured by a continuous automated sampling limit.
system, as specified in Sec. 62.14452(q).
------------------------------------------------------------------------
\a\ If inspection of the FF demonstrates that no corrective action is
required, no alarm time is counted. If corrective action is required,
each alarm is counted as a minimum of 1 hour. If it takes longer than
1 hour to initiate corrective action, the alarm time is counted as the
actual amount of time taken to initiate corrective action.
(f) Except as provided in paragraph (g) or (h) of this section, if
your HMIWI is equipped with a SNCR system:
------------------------------------------------------------------------
Then you are in
And your HMIWI . . . violation of . . .
------------------------------------------------------------------------
Operates above the maximum charge rate (3-hour The NOX emissions
rolling average for continuous and intermittent limit.
HMIWI, daily average for batch HMIWI), below
the minimum secondary chamber temperature (3-
hour rolling average), and below the minimum
reagent flow rate (3-hour rolling average)
simultaneously.
------------------------------------------------------------------------
(g) You may conduct a repeat performance test within 30 days of
violation of applicable operating parameter(s) to demonstrate that your
HMIWI is not in violation of the applicable emissions limit(s). You
must conduct repeat performance tests pursuant to this paragraph using
the identical operating parameters that indicated a violation under
paragraph (b), (c), (d), (e), or (f) of this section.
[[Page 24295]]
(h) If you are using a CEMS to demonstrate compliance with any of
the emissions limits in table 1 of this subpart or Sec. 62.14412, and
your CEMS indicates compliance with an emissions limit during periods
when operating parameters indicate a violation of an emissions limit
under paragraphs (b), (c), (d), (e) or (f) of this section, then you
are considered to be in compliance with the emissions limit. You need
not conduct a repeat performance test to demonstrate compliance.
26. Section 62.14460 is amended as follows:
a. By redesignating paragraphs (b)(7) through (b)(15) as paragraphs
(b)(8) through (b)(16);
b. By revising newly designated paragraph (b)(16);
c. By adding new paragraph (b)(7);
d. By adding paragraphs (b)(17) through (b)(19); and
e. By revising paragraphs (c), (e), and (f).
Sec. 62.14460 What records must I maintain?
* * * * *
(b) * * *
(7) Amount and type of NOX reagent used during each hour
of operation, as applicable;
* * * * *
(16) All operating parameter data collected, if you are complying
by monitoring site-specific operating parameters under Sec.
62.14453(b).
(17) Concentrations of CO, PM, HCl, Pb, Cd, Hg and dioxin/furan, as
applicable, as determined by the CEMS or continuous automated sampling
system, as applicable.
(18) Records of the annual air pollution control device
inspections, any required maintenance and any repairs not completed
within 10 days of an inspection or the timeframe established by the
Administrator.
(19) Records of each bag leak detection system alarm, the time of
the alarm, the time corrective action was initiated and completed and a
brief description of the cause of the alarm and the corrective action
taken, as applicable.
(c) Identification of calendar days for which data on emissions
rates or operating parameters specified under paragraph (b)(1) through
(17) of this section were not obtained, with an identification of the
emissions rates or operating parameters not measured, reasons for not
obtaining the data, and a description of corrective actions taken;
* * * * *
(e) Identification of calendar days for which data on emissions
rates or operating parameters specified under paragraphs (b)(1) through
(17) of this section exceeded the applicable limits, with a description
of the exceedances, reasons for such exceedances and a description of
corrective actions taken.
(f) The results of the initial, annual and any subsequent
performance tests conducted to determine compliance with the emissions
limits and/or to establish or re-establish operating parameters, as
applicable, including sample calculations, of how the operating
parameters were established or re-established, if applicable.
* * * * *
27. Section 62.14463 is amended as follows:
a. By redesignating paragraphs (a) through (c) as paragraphs (a)(1)
through (a)(3);
b. By revising newly designated paragraphs (a)(1) and (a)(2);
c. By adding paragraph (a)(4);
d. By redesignating introductory text as paragraph (a) introductory
text;
e. By redesignating paragraphs (d) through (k) as paragraphs (a)(5)
through (a)(12);
f. By revising newly designated paragraphs (a)(5), (a)(11), and
(a)(12);
g. By adding paragraphs (a)(13) through (a)(15); and
h. By adding new paragraph (b).
Sec. 62.14463 What reporting requirements must I satisfy?
(a) * * *
(1) The initial performance test data as recorded under Sec.
62.14451(a);
(2) The values for the site-specific operating parameters
established pursuant to Sec. 62.14453, as applicable, and a
description, including sample calculations, of how the operating
parameters were established during the initial performance test;
* * * * *
(4) If you use a bag leak detection system, analysis and supporting
documentation demonstrating conformance with the EPA guidance and
specifications for bag leak detection systems in Sec. 62.14454(e);
(5) The highest maximum operating parameter and the lowest minimum
operating parameter, as applicable, for each operating parameter
recorded for the calendar year being reported, pursuant to Sec.
62.14453, as applicable;
* * * * *
(11) Any use of the bypass stack, duration of such use, reason for
malfunction and corrective action taken;
(12) Records of the annual equipment inspections, any required
maintenance and any repairs not completed within 10 days of an
inspection or the time frame established by the EPA Administrator (or
delegated enforcement authority);
(13) Records of the annual air pollution control device
inspections, any required maintenance and any repairs not completed
within 10 days of an inspection or the time frame established by the
EPA Administrator (or delegated enforcement authority);
(14) Concentrations of CO, PM, HCl, Pb, Cd, Hg and dioxin/furan, as
applicable, as determined by the CEMS or continuous automated sampling
system, as applicable; and
(15) Petition for site-specific operating parameters under Sec.
62.14453(b).
(b) If you choose to submit an electronic copy of stack test
reports to the EPA's WebFIRE database, as of December 31, 2011, you
must enter the test data into the EPA's database using the Electronic
Reporting Tool (ERT) located at https://www.epa.gov/ttn/chief/ert/ert_tool.html.
28. Section 62.14464 is amended as follows:
a. By revising paragraph (a);
b. By revising paragraph (b); and
c. By adding paragraph (d).
Sec. 62.14464 When must I submit reports?
(a) You must submit the information specified in Sec. Sec.
62.14463(a)(1) through (4) no later than 60 days following the initial
performance test.
(b) You must submit an annual report to the EPA Administrator (or
delegated enforcement authority) no more than 1 year following the
submission of the information in paragraph (a) of this section, and you
must submit subsequent reports no more than 1 year following the
previous report (once the unit is subject to permitting requirements
under Title V of the CAA, you must submit these reports semiannually).
The annual report must include the information specified in Sec. Sec.
62.14463(a)(5) through (14), as applicable.
* * * * *
(d) You must submit your petition for site-specific operating
parameters specified in Sec. 62.14463(a)(15) prior to your initial
performance test. You may not conduct the initial performance test
until the EPA Administrator has approved the petition.
29. Section 62.14470 is amended as follows:
a. By revising paragraph (a) introductory text;
b. By revising paragraphs (a)(1) through (a)(3);
c. By revising paragraph (b) introductory text;
d. By revising paragraph (b)(1);
e. By revising paragraphs (b)(2)(i) through (b)(2)(v); and
[[Page 24296]]
f. By revising paragraph (b)(3).
Sec. 62.14470 When must I comply with this subpart if I plan to
continue operation of my HMIWI?
* * * * *
(a) If you plan to continue operation and come into compliance with
the requirements of this subpart by [date 1 year after publication of
final rule], then you must complete the requirements of paragraphs
(a)(1) through (a)(4) of this section.
(1) You must comply with the operator training and qualification
requirements and inspection requirements (if applicable) of this
subpart by [date 1 year after publication of final rule].
(2) You must achieve final compliance by [date 1 year after
publication of final rule]. This includes incorporating all process
changes and/or completing retrofit construction, connecting the air
pollution control equipment or process changes such that the HMIWI is
brought online, and ensuring that all necessary process changes and air
pollution control equipment are operating properly.
(3) You must conduct the initial performance test required by Sec.
62.14451(a) within 180 days after the date when you are required to
achieve final compliance under paragraph (a)(2) of this section.
* * * * *
(b) If you plan to continue operation and come into compliance with
the requirements of this subpart after [date 1 year after publication
of final rule], but before October 6, 2014, then you must complete the
requirements of paragraphs (b)(1) through (b)(4) of this section.
(1) You must comply with the operator training and qualification
requirements and inspection requirements (if applicable) of this
subpart by [date 1 year after publication of final rule].
(2) * * *
(i) You must submit a final control plan by October 6, 2012. Your
final control plan must, at a minimum, include a description of the air
pollution control device(s) or process changes that will be employed
for each unit to comply with the emissions limits and other
requirements of this subpart.
(ii) You must award contract(s) for on-site construction, on-site
installation of emissions control equipment or incorporation of process
changes by May 6, 2013. You must submit a signed copy of the
contract(s) awarded.
(iii) You must begin on-site construction, begin on-site
installation of emissions control equipment or begin process changes
needed to meet the emissions limits as outlined in the final control
plan by January 6, 2014.
(iv) You must complete on-site construction, installation of
emissions control equipment or process changes by August 6, 2014.
(v) You must achieve final compliance by October 6, 2014. This
includes incorporating all process changes and/or completing retrofit
construction as described in the final control plan, connecting the air
pollution control equipment or process changes such that the HMIWI is
brought online and ensuring that all necessary process changes and air
pollution control equipment are operating properly.
(3) You must conduct the initial performance test required by Sec.
62.14451(a) within 180 days after the date when you are required to
achieve final compliance under paragraph (b)(2)(v) of this section.
* * * * *
30. Section 62.14471 is amended as follows:
a. By revising paragraph (a);
b. By revising paragraph (b) introductory text;
c. By revising paragraphs (b)(1) and (b)(1)(i); and
d. By revising paragraphs (b)(2) and (b)(3).
Sec. 62.14471 When must I comply with this subpart if I plan to
shutdown?
* * * * *
(a) If you plan to shutdown by [date 1 year after publication of
final rule], rather that come into compliance with the requirements of
this subpart, then you must shutdown by [date 1 year after publication
of final rule], to avoid coverage under any of the requirements of this
subpart.
(b) If you plan to shutdown rather than come into compliance with
the requirements of this subpart but are unable to shutdown by [date 1
year after publication of final rule], then you may petition the EPA
for an extension by following the procedures outlined in paragraphs
(b)(1) through (b)(3) of this section.
(1) You must submit your request for an extension to the EPA
Administrator (or delegated enforcement authority) by [date 90 days
after publication of final rule]. Your request must include:
(i) Documentation of the analyses undertaken to support your need
for an extension, including an explanation of why your requested
extension date is sufficient time for you to shutdown while [date 1
year after publication of final rule], does not provide sufficient time
for shutdown. Your documentation must include an evaluation of the
option to transport your waste offsite to a commercial medical waste
treatment and disposal facility on a temporary or permanent basis; and
* * * * *
(2) You must shutdown no later than October 6, 2014.
(3) You must comply with the operator training and qualification
requirements and inspection requirements (if applicable) of this
subpart by [date 1 year after publication of final rule].
31. Section 62.14472 is amended as follows:
a. By revising paragraph (a) introductory text;
b. By revising paragraph (b) introductory text;
c. By revising paragraphs (b)(1) and (b)(4);
d. By revising paragraph (c) introductory text; and
e. By revising paragraph (c)(1).
Sec. 62.14472 When must I comply with this subpart if I plan to
shutdown and later restart?
* * * * *
(a) If you plan to shutdown and restart prior to October 6, 2014,
then you must:
(1) Meet the compliance schedule outlined in Sec. 63.14470(a) if
you restart prior to [date 1 year after publication of final rule]; or
(2) Meet the compliance schedule outlined in Sec. 62.14470(b) if
you restart after [date 1 year after publication of final rule]. Any
missed increments of progress need to be completed prior to or upon the
date of restart.
(b) If you plan to shutdown by [date 1 year after publication of
final rule], and restart after October 6, 2014, then you must complete
the requirements of paragraphs (b)(1) through (b)(5) of this section.
(1) You must shutdown by [date 1 year after publication of final
rule].
* * * * *
(4) You must conduct the initial performance test required by Sec.
62.14451(a) within 180 days after the date when you restart.
* * * * *
(c) If you plan to shutdown after [date 1 year after publication of
final rule], and restart after October 6, 2014, then you must complete
the requirements of paragraphs (c)(1) and (c)(2) of this section.
(1) You must petition the EPA for an extension by following the
procedures outlined in Sec. 63.14471(b)(1) through (b)(3).
* * * * *
32. Section 62.14490 is amended as follows:
[[Page 24297]]
a. By adding a definition for ``Bag leak detection system'';
b. By adding a definition for ``Commercial HMIWI'';
c. By revising the definition for ``Maximum design waste burning
capacity'';
d. By adding a definition for ``Minimum reagent flow rate'';
e. By revising the definition for ``Minimum secondary chamber
temperature''; and
f. By revising the introductory text to the definition for
``Modification'' or ``Modified HMIWI.''
Sec. 62.14490 Definitions.
Bag leak detection system means an instrument that is capable of
monitoring PM loadings in the exhaust of a FF in order to detect bag
failures. A bag leak detection system includes, but is not limited to,
an instrument that operates on triboelectric, light-scattering, light-
transmittance or other effects to monitor relative PM loadings.
* * * * *
Commercial HMIWI means a HMIWI which offers incineration services
for hospital/medical/infectious waste generated offsite by firms
unrelated to the firm that owns the HMIWI.
* * * * *
Maximum design waste burning capacity means:
(1) For intermittent and continuous HMIWI,
C = Pv x 15,000/8,500 (Eq. 2)
Where:
C = HMIWI capacity, lb/hr
PV = primary chamber volume, ft\3\
15,000 = primary chamber heat release rate factor, Btu/ft\3\/hr
8,500 = standard waste heating value, Btu/lb;
(2) For batch HMIWI,
C = Pv x 4.5/8 (Eq. 3)
Where:
C = HMIWI capacity, lb/hr
PV = primary chamber volume, ft\3\
4.5 = waste density, lb/ft\3\
8 = typical hours of operation of a batch HMIWI, hours.
* * * * *
Minimum reagent flow rate means 90 percent of the highest 3-hour
average reagent flow rate at the inlet to the SNCR technology (taken,
at a minimum, once every minute) measured during the most recent
performance test demonstrating compliance with the NOX
emissions limit.
* * * * *
Minimum secondary chamber temperature means 90 percent of the
highest 3-hour average secondary chamber temperature (taken, at a
minimum, once every minute) measured during the most recent performance
test demonstrating compliance with the PM, CO, dioxin/furan or
NOX emissions limits.
Modification or Modified HMIWI means any change to a HMIWI unit
after April 6, 2010, such that:
* * * * *
33. Section 62.14495 is amended as follows:
a. By revising paragraph (b);
b. By adding paragraph (c);
c. By adding paragraph (d); and
d. By adding paragraph (e).
Sec. 62.14495 What authorities will be retained by the EPA
Administrator?
* * * * *
(b) Approval of alternative methods of demonstrating compliance
under 40 CFR 60.8, including:
(1) Approval of CEMS for PM, HCl, multi-metals and Hg where used
for purposes of demonstrating compliance,
(2) Approval of continuous automated sampling systems for dioxin/
furan and Hg where used for purposes of demonstrating compliance, and
(3) Approval of major alternatives to test methods;
(c) Approval of major alternatives to monitoring;
(d) Waiver of recordkeeping requirements; and
(e) Performance test and data reduction waivers under 40 CFR
60.8(b).
33. Table 1 to Subpart HHH is revised to read as follows:
Table 1 to Subpart HHH of Part 62--Emissions Limits for Small Rural, Small, Medium and Large HMIWI
--------------------------------------------------------------------------------------------------------------------------------------------------------
You must meet this emissions limit
------------------------------------------------------------------------ With these units Using this And determining
For the air pollutant HMIWI size (7 percent averaging time compliance
------------------------------------------------------------------------ oxygen, dry \a\ using this
Small rural Small Medium Large basis) method \b\
--------------------------------------------------------------------------------------------------------------------------------------------------------
Particulate matter......... 87 (0.038)...... 66 (0.029)...... 46 (0.020) \c\.. 25 (0.011)...... Milligrams per 3-run average (1- EPA Reference
34 (0.015) \d\.. dry standard hour minimum Method 5 of
cubic meter sample time per appendix A-3
(grains per dry run). of part 60, or
standard cubic EPA Reference
foot). Method M 26A
or 29 of
appendix A-8
of part 60.
Carbon monoxide............ 20.............. 20.............. 5.5............. 11.............. Parts per 3-run average (1- EPA Reference
million by hour minimum Method 10 or
volume. sample time per 10B of
run). appendix A-4
of part 60.
Dioxins/furans............. 240 (100) or.... 16 (7.0) or..... 0.85 (0.37) or 9.3 (4.1) or.... Nanograms per 3-run average (4- EPA Reference
5.1 (2.2)....... 0.013 (0.0057).. 0.020 (0.0087).. 0.054 (0.024)... dry standard hour minimum Method 23 of
cubic meter sample time per appendix A-7
total dioxins/ run). of part 60.
furans (grains
per billion dry
standard cubic
feet) or
nanograms per
dry standard
cubic meter TEQ
(grains per
billion dry
standard cubic
feet).
Hydrogen chloride.......... 810............. 44 \c\, 15 \d\.. 7.7............. 6.6............. Parts per 3-run average (1- EPA Reference
million by hour minimum Method 26 or
volume. sample time per 26A of
run). appendix A-8
of part 60.
Sulfur dioxide............. 55.............. 4.2............. 4.2............. 9.0............. Parts per 3-run average (1- EPA Reference
million by hour minimum Method 6 or 6C
volume. sample time per of appendix A-
run). 4 of part 60.
Nitrogen oxides............ 130............. 190............. 190............. 140............. Parts per 3-run average (1- EPA Reference
million by hour minimum Method 7 or 7E
volume. sample time per of appendix A-
run). 4 of part 60.
[[Page 24298]]
Lead....................... 0.50 (0.22)..... 0.31 (0.14)..... 0.018 (0.0079).. 0.036 (0.016)... Milligrams per 3-run average (1- EPA Reference
dry standard hour minimum Method 29 of
cubic meter sample time per appendix A-8
(grains per run). of part 60.
thousand dry
standard cubic
feet).
Cadmium.................... 0.11 (0.048).... 0.017 (0.0074).. 0.013 (0.0057).. 0.0092 (0.0040). Milligrams per 3-run average (1- EPA Reference
dry standard hour minimum Method 29 of
cubic meter sample time per appendix A-8
(grains per run). of part 60.
thousand dry
standard cubic
feet).
Mercury.................... 0.051 (0.0022).. 0.014 (0.0061).. 0.025 (0.011)... 0.018 (0.0079).. Milligrams per 3-run average (1- EPA Reference
dry standard hour minimum Method 29 of
cubic meter sample time per appendix A-8
(grains per run). of part 60.
thousand dry
standard cubic
feet).
--------------------------------------------------------------------------------------------------------------------------------------------------------
\a\ Except as allowed under Sec. Sec. 62.14452(o)-(q) for HMIWI equipped with CEMS or continuous automated sampling systems.
\b\ Does not include CEMS, continuous automated sampling systems, and approved alternative non-EPA test methods allowed under Sec. 62.14452(d) and
(m).
\c\ Limits for those HMIWI for which construction or modification was commenced according to Sec. 62.14400(a)(2)(i).
\d\ Limits for those HMIWI for which construction or modification was commenced according to Sec. 62.14400(a)(2)(ii).
34. Table 2 to Subpart HHH is revised to read as follows:
Table 2 to Subpart HHH of Part 62--Toxic Equivalency Factors
------------------------------------------------------------------------
Toxic equivalency
Dioxin/furan congener factor
------------------------------------------------------------------------
2,3,7,8-tetrachlorinated dibenzo-p-dioxin.......... 1
1,2,3,7,8-pentachlorinated dibenzo-p-dioxin........ 1
1,2,3,4,7,8-hexachlorinated dibenzo-p-dioxin....... 0.1
1,2,3,7,8,9-hexachlorinated dibenzo-p-dioxin....... 0.1
1,2,3,6,7,8-hexachlorinated dibenzo-p-dioxin....... 0.1
1,2,3,4,6,7,8-heptachlorinated dibenzo-p-dioxin.... 0.01
Octachlorinated dibenzo-p-dioxin................... 0.0003
2,3,7,8-tetrachlorinated dibenzofuran.............. 0.1
2,3,4,7,8-pentachlorinated dibenzofuran............ 0.3
1,2,3,7,8-pentachlorinated dibenzofuran............ 0.03
1,2,3,4,7,8-hexachlorinated dibenzofuran........... 0.1
1,2,3,6,7,8-hexachlorinated dibenzofuran........... 0.1
1,2,3,7,8,9-hexachlorinated dibenzofuran........... 0.1
2,3,4,6,7,8-hexachlorinated dibenzofuran........... 0.1
1,2,3,4,6,7,8-heptachlorinated dibenzofuran........ 0.01
1,2,3,4,7,8,9-heptachlorinated dibenzofuran........ 0.01
Octachlorinated dibenzofuran....................... 0.0003
------------------------------------------------------------------------
35. Table 3 to Subpart HHH is revised to read as follows:
Table 3 to Subpart HHH of Part 62--Operating Parameters To Be Monitored and Minimum Measurement and Recording Frequencies
--------------------------------------------------------------------------------------------------------------------------------------------------------
Minimum frequency HMIWI
------------------------------------------------------------------------------------------------------------------
HMIWI with
HMIWI with dry
Operating parameters to be monitored HMIWI with dry HMIWI with scrubber HMIWI with
Data measurement Data recording combustion scrubber wet followed SNCR
control followed scrubber by FF and system
only by FF wet
scrubber
--------------------------------------------------------------------------------------------------------------------------------------------------------
Maximum operating parameters:
Maximum charge rate.............. Once per charge........ Once per charge........ [check] [check] [check] [check] [check]
Maximum FF inlet temperature..... Continuous............. Once per minute........ ........... [check] ........... [check] ...........
Maximum flue gas temperature......... Continuous............. Once per minute........ ........... ........... [check] [check] ...........
Minimum operating parameters:
[[Page 24299]]
Minimum secondary chamber Continuous............. Once per minute........ [check] [check] [check] [check] [check]
temperature.
Minimum dioxin/furan sorbent flow Hourly................. Once per hour.......... ........... [check] ........... [check] ...........
rate.
Minimum HCl sorbent flow rate.... Hourly................. Once per hour.......... ........... [check] ........... [check] ...........
Minimum mercury (Hg) sorbent flow Hourly................. Once per hour.......... ........... [check] ........... [check] ...........
rate.
Minimum pressure drop across the Continuous............. Once per minute........ ........... ........... [check] [check] ...........
wet scrubber or minimum
horsepower or amperage to wet
scrubber.
Minimum scrubber liquor flow rate Continuous............. Once per minute........ ........... ........... [check] [check] ...........
Minimum scrubber liquor pH....... Continuous............. Once per minute........ ........... ........... [check] [check] ...........
Minimum reagent flow rate........ Hourly................. Once per hour.......... ........... ........... ........... ........... [check]
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[FR Doc. 2012-9093 Filed 4-20-12; 8:45 am]
BILLING CODE 6560-50-P