NRC Position on the Relationship Between General Design Criteria and Technical Specification Operability, 45282-45285 [2012-18639]
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45282
Proposed Rules
Federal Register
Vol. 77, No. 147
Tuesday, July 31, 2012
This section of the FEDERAL REGISTER
contains notices to the public of the proposed
issuance of rules and regulations. The
purpose of these notices is to give interested
persons an opportunity to participate in the
rule making prior to the adoption of the final
rules.
NUCLEAR REGULATORY
COMMISSION
[NRC–2012–0179]
NRC Position on the Relationship
Between General Design Criteria and
Technical Specification Operability
Nuclear Regulatory
Commission.
ACTION: Draft regulatory issue summary;
public meeting and request for
comment.
AGENCY:
The U.S. Nuclear Regulatory
Commission (NRC or the Commission)
is holding a public meeting to discuss
a draft regulatory issue summary (RIS)
that clarifies the NRC staff’s position on
the relationship between the general
design criteria (GDC) for nuclear power
plants and technical specification
operability. In addition, the draft RIS
clarifies the process for addressing
nonconformances with GDC as
incorporated into a plant’s current
licensing basis. The NRC is also seeking
public comment on the draft RIS.
DATES: Submit comments by September
14, 2012. Comments received after this
date will be considered if it is practical
to do so, but the NRC is able to assure
consideration only for comments
received on or before this date.
ADDRESSES: You may access information
and comment submissions related to
this document, which the NRC
possesses and is publicly available, by
searching on https://www.regulations.gov
under Docket ID NRC–2012–0179. You
may submit comments by any of the
following methods:
• Federal Rulemaking Web Site: Go to
https://www.regulations.gov and search
for Docket ID NRC–2012–0179. Address
questions about NRC dockets to Carol
Gallagher; telephone: 301–492–3668;
email: Carol.Gallagher@nrc.gov.
• Mail comments to: Cindy Bladey,
Chief, Rules, Announcements, and
Directives Branch (RADB), Office of
Administration, Mail Stop: TWB–05–
B01M, U.S. Nuclear Regulatory
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SUMMARY:
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Commission, Washington, DC 20555–
0001.
• Fax comments to: RADB at 301–
492–3446.
For additional direction on accessing
information and submitting comments,
see ‘‘Accessing Information and
Submitting Comments’’ in the
SUPPLEMENTARY INFORMATION section of
this document.
FOR FURTHER INFORMATION CONTACT:
Thomas Alexion, Senior Project
Manager, Generic Communications
Branch, Division of Policy and
Rulemaking, Office Nuclear Reactor
Regulation, Mail Stop: OWFN–12–D–20,
U.S. Nuclear Regulatory Commission,
Washington, DC 20555–0001; telephone:
301–415–1326, email:
Thomas.Alexion@nrc.gov.
SUPPLEMENTARY INFORMATION:
I. Accessing Information and
Submitting Comments
A. Accessing Information
Please refer to Docket ID NRC–2012–
0179 when contacting the NRC about
the availability of information regarding
this document. You may access
information related to this document,
which the NRC possesses and is
publicly available, by any of the
following methods:
• Federal Rulemaking Web Site: Go to
https://www.regulations.gov and search
for Docket ID NRC–2012–0179.
• NRC’s Agencywide Documents
Access and Management System
(ADAMS): You may access publicly
available documents online in the NRC
Library at https://www.nrc.gov/readingrm/adams.html. To begin the search,
select ‘‘ADAMS Public Documents’’ and
then select ‘‘Begin Web-based ADAMS
Search.’’ For problems with ADAMS,
please contact the NRC’s Public
Document Room (PDR) reference staff at
1–800–397–4209, 301–415–4737, or by
email to pdr.resource@nrc.gov. The draft
RIS ‘‘NRC Staff Position on the
Relationship Between GDC
Requirements and Technical
Specification Operability,’’ is available
electronically under ADAMS Accession
No. ML12137A346.
• NRC’s PDR: You may examine and
purchase copies of public documents at
the NRC’s PDR, Room O1–F21, One
White Flint North, 11555 Rockville
Pike, Rockville, Maryland 20852.
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B. Submitting Comments
Please include Docket ID NRC–2012–
0179 in the subject line of your
comment submission, in order to ensure
that the NRC is able to make your
comment submission available to the
public in this docket.
The NRC cautions you not to include
identifying or contact information that
you do not want to be publicly
disclosed in your comment submission.
The NRC will post all comment
submissions at https://
www.regulations.gov as well as enter the
comment submissions into ADAMS.
The NRC does not routinely edit
comment submissions to remove
identifying or contact information.
If you are requesting or aggregating
comments from other persons for
submission to the NRC, then you should
inform those persons not to include
identifying or contact information that
they do not want to be publicly
disclosed in their comment submission.
Your request should state that the NRC
does not routinely edit comment
submissions to remove such information
before making the comment
submissions available to the public or
entering the comment submissions into
ADAMS.
II. Discussion
Addressees
All holders of, and applicants for,
power reactor operating licenses issued
under Title 10 of the Code of Federal
Regulations (10 CFR) Part 50, ‘‘Domestic
Licensing of Production and Utilization
Facilities,’’ except those that have
permanently ceased operations and
have certified that fuel has been
permanently removed from the reactor
vessel.
Intent
The U.S. Nuclear Regulatory
Commission (NRC) is issuing this
regulatory issue summary (RIS) to
clarify the relationship between
Appendix A, ‘‘General Design Criteria
for Nuclear Power Plants,’’ to 10 CFR
part 50, and 10 CFR 50.36, ‘‘Technical
Specifications.’’ In addition, the RIS is
clarifying the process for addressing
nonconformances with general design
criteria (GDC) as incorporated into a
plant’s current licensing basis (CLB).
This RIS does not transmit any new
requirements and does not require any
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specific action or written response on
the part of an addressee.
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Background Information
Recently, the NRC has received
questions about the relationship
between licensing basis design
requirements, such as the GDC as
incorporated into the plant CLB, and
technical specification (TS) operability
requirements. The relationship between
CLB design requirements and the TS
was addressed in a memorandum from
Thomas E. Murley, Director, Office of
Nuclear Reactor Regulation (NRR) to the
NRR staff, dated January 24, 1994
(ADAMS Accession No. ML12115A279).
The positions described in this memo
were incorporated into the Inspection
Manual Part 9900 Technical Guidance,
‘‘Operability Determinations &
Functionality Assessments for
Resolution of Degraded or
Nonconforming Conditions Adverse to
Quality or Safety (Operability
Determination Process),’’ which was
issued as the attachment to RIS 2005–
20, Revision 1, ‘‘Revision to NRC
Inspection Manual Part 9900 Technical
Guidance, ‘Operability Determinations
& Functionality Assessments for
Resolution of Degraded or
Nonconforming Conditions Adverse to
Quality or Safety’’’ (ADAMS Accession
No. ML073531473).
The GDCs or a plant-specific
equivalent,1 as incorporated into the
CLB, have an important relationship to
the operability requirements of the TS.
Comprehending this relationship is
critical to understanding how licensees
should address nonconformances with
CLB design requirements. This RIS
discusses these relationships to promote
a more comprehensive understanding of
how the NRC requirements work in
concert with TS to ensure plant safety.
Relationship of the GDC to the
Technical Specifications
The GDC and the TS differ in that the
GDC specify NRC’s requirements for the
design of nuclear power reactors,
whereas the TS are included in the
license and specify requirements for the
operation of nuclear power reactors.
Design requirements, such as GDCs or
similar requirements, are typically
included in the licensing basis for every
nuclear power plant. GDCs, according to
Appendix A to 10 CFR Part 50,
‘‘establish the necessary design,
1 For example, plants with construction permits
issued prior to May 21, 1971, may have been
approved for construction based on the proposed
General Design Criteria published by the Atomic
Energy Commission (AEC) in the Federal Register
(32 FR 10213) on July 11, 1967, sometimes referred
to as the AEC Draft GDC.
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fabrication, construction, testing, and
performance requirements for
structures, systems, and components
(SSCs) important to safety.’’ As such,
the GDCs cover a broad category of SSCs
that are important to safety, including
those SSCs that are covered by TS. Both
the design capability of the facility to
meet the GDC (or a plant-specific
equivalent) and the operational
restrictions, which are to be included in
the TS, are described in the final safety
analysis report (FSAR). The staff safety
evaluation documents the acceptability
of these analyses, and it is the
combination of the FSAR analyses and
the staff safety evaluation that forms the
bases from which the TS are derived. It
is important to note that the GDCs cover
a broader scope of SSCs than the TS
because the TS establish, among other
things, the limiting conditions for
operations (LCOs). LCOs are the ‘‘lowest
functional capability or performance
levels of equipment required for safe
operation of the facility.’’ Section 182 of
the Atomic Energy Act of 1954, as
amended and as implemented by 10
CFR 50.36, requires that those design
features of the facility that, if altered or
modified, would have a significant
effect on safety, be included in the TS.
Thus, TS are intended to ensure that the
most safety-significant design features of
a plant, as determined by the safety
analysis, maintain their capability to
perform their safety functions.
Technical Specification Operability
Determinations and the GDC
Recently, the NRC staff learned that
some licensees follow their corrective
action program for an identified
nonconformance with a CLB design
requirement, such as a GDC, or a plantspecific equivalent, that is part of the
plant’s CLB without consideration of the
need to apply the Part 9900 operability
determination process. To the NRC staff
it appears that not every licensee
understands the relationship between
CLB design requirements and TS
requirements for nonconforming
conditions or that the Part 9900
operability determination process also
applies to nonconforming conditions.
As noted in the January 24, 1994,
memo, not all GDCs that are included in
the CLB are explicitly identified in TS.
However, those that are not explicitly
identified may still need to be
considered when either determining or
to establish the basis for operability of
TS SSCs. It is the staff’s position that
any nonconformance with a GDC, or a
plant-specific equivalent included in
the CLB should be evaluated to
determine if the nonconformance affects
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or alters the operability status of a TS
SSC.
As set forth in Part 9900, a
documented determination is needed to
establish the basis for concluding that
an SSC remains capable of performing
its safety function in the presence of the
nonconforming condition. Part 9900
states that a ‘‘degraded condition is one
in which the qualification of an SSC or
its functional capability is reduced.’’
Similarly, Part 9900 defines a
nonconforming condition as ‘‘a
condition of an SSC that involves a
failure to meet the CLB or a situation in
which quality has been reduced because
of factors such as improper design,
testing, construction, or modification.’’
Examples of nonconforming conditions
include: (1) An SSC that fails to conform
to one or more applicable codes or
standards (e.g., the CFR, operating
license, TS, updated final safety
analysis report, or licensee
commitments), (2) an as-built or asmodified SSC that does not meet the
current licensing basis, (3) operating
experience or engineering reviews that
identify a design inadequacy, or
(4) documentation required by NRC
requirements such as 10 CFR 50.54,
‘‘Conditions of licenses,’’ or 10 CFR
50.59, ‘‘Changes, Tests, and
Experiments,’’ that is unavailable or
deficient.
Section 3.8 of Part 9900 covers the
definition of operability. The definition
includes the following statement:
In order to be considered operable, an SSC
must be capable of performing the safety
functions specified by its design, within the
required range of design physical conditions,
initiation times, and mission times.
[Emphasis added]
Section 4.0 of Part 9900 states the
following:
Determinations of operability are
appropriate whenever a review, TS
surveillance, or other information calls into
question the ability of SSCs to perform
specified safety functions. The operability
determination process is used to assess
operability of SSCs and support functions for
compliance with TS when a degraded or
nonconforming condition is identified for a
specific SSC described in TS, or when a
degraded or nonconforming condition is
identified for a necessary and related support
function. [Emphasis added]
Section 3.10 of Part 9900 further
defines ‘‘specified function/specified
safety function’’ as follows:
The specified function(s) of the system,
subsystem, train, component, or device
(required by the definition of operability) is
that specified safety function(s) in the CLB
for the facility. In addition to providing the
specified safety function required by the TSs
definition of operability, a system is expected
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to perform as designed, tested and
maintained. When system capability is
degraded to a point where it cannot perform
with reasonable expectation or reliability, the
system should be judged inoperable, even if
at this instantaneous point in time the system
could provide the specified safety function.
[Emphasis added]
Thus, an operability determination (or
functionality assessment) is performed
upon identification of a degraded or
nonconforming condition, including
any nonconforming condition with a
GDC included in either the CLB for an
SSC described in TS or for a necessary
and related support function required
by the definition of operability. If the
licensee determination concludes that
the TS SSC is nonconforming but
operable or the necessary and related
support function is nonconforming but
functional, it would be appropriate to
address the nonconforming condition
through the licensee’s corrective action
program. As stated in Section 6.3 of Part
9900:
The purpose of an operability
determination is to provide a basis for
making a timely decision on plant operation
when a degraded or nonconforming
condition is discovered. Corrective actions
taken to restore full qualification should be
addressed through the corrective action
process. The treatment of operability as a
separate issue from the restoration of full
qualification emphasizes that the operability
determination process is focused on safe
plant operation and should not be impacted
by decisions or actions necessary to plan and
implement corrective action (i.e., restore full
qualification).
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Example: Operability Determination for a
Nonconformance with GDC 2 for Natural
Phenomenon
The following example discusses a
nonconforming condition that involves
a failure to meet the current licensing
basis because of improper construction:
As indicated in the January 24, 1994,
memo, the design bases for protection
against natural phenomena (GDC 2),
when included in the CLB, are
inherently considered in the operability
of safety-related SSCs that satisfy the
criteria for inclusion in the TS. The Part
9900 operability determination process
should be entered when a licensee
identifies any nonconformance with
GDC 2 or its equivalent, as incorporated
into a plant licensing basis (e.g.,
nonconformance with the CLB for
protection against flooding, seismic
events, tornadoes, etc.). Criterion 2 of
the GDC states:
Design bases for protection against natural
phenomena. Structures, systems, and
components important to safety shall be
designed to withstand the effects of natural
phenomena such as earthquakes, tornadoes,
hurricanes, floods, tsunami, and seiches
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without loss of capability to perform their
safety functions. The design bases for these
structures, systems, and components shall
reflect: (1) Appropriate consideration of the
most severe of the natural phenomena that
have been historically reported for the site
and surrounding area, with sufficient margin
for the limited accuracy, quantity, and period
of time in which the historical data have
been accumulated, (2) appropriate
combinations of the effects of normal and
accident conditions with the effects of the
natural phenomena and (3) the importance of
the safety functions to be performed.
Licensees can implement GDC 2 in
the design by specifying design bases for
combinations of normal and accident
conditions to protect SSCs from the
effects of natural phenomena. Failure to
meet GDC 2, as described in the
licensing basis should be treated as a
nonconforming condition and is an
entry point for an operability
determination for any impacted TSrequired SSC or a necessary and related
support function.
For example, if a licensee with GDC
2 in its CLB identified that the exhaust
stacks for the emergency diesel
generators (EDGs) were not protected
from the impact of tornado missiles,
then this condition would call into
question the operability of the EDGs.
EDG operability is called into question
because the exhaust stacks are an
integral component of the EDGs, which,
if crimped by a missile, could prevent
the EDGs from performing their
specified safety function. Accordingly,
the licensee should then enter the
operability determination process to
evaluate the impact of not meeting the
CLB requirement for tornado missile
protection. If the licensee’s evaluation
concludes that the EDGs are inoperable,
then the licensee must enter its TS and
follow the applicable required actions.
As stated in Section 7.3 of Part 9900, the
licensee may implement compensatory
measures to restore ‘‘inoperable SSCs to
an operable but degraded or
nonconforming status. In general, these
measures should have minimal impact
on the operators or plant operations and
should be relatively simple to
implement.’’ If the licensee successfully
implements compensatory measures to
restore the inoperable EDGs to an
operable but nonconforming status; or if
the licensee’s operability determination
evaluation concludes that the EDGs are
operable and nonconforming, then the
licensee should use its corrective action
program to bring the EDGs back into
conformance with the CLB.
Summary
In summary, TS SSCs must be capable
of performing their specified safety
function (i.e., be operable or have
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operability) whenever a plant is
operating in the modes and other
specified conditions of the applicability
of TS limiting conditions for operation.
In addition to providing the safety
function, a system is expected to
perform as designed, tested, and
maintained. Any nonconformance with
a GDC in the CLB has the potential to
negatively impact the operability of a TS
SSC and must be evaluated to determine
if the nonconforming condition has
rendered any TS SSC inoperable. When
system capability is degraded to a point
in which it cannot perform with
reasonable expectation or reliability, the
system should be judged inoperable,
even if the system could provide the
specified safety function at this
instantaneous point in time.
Backfit Discussion
This RIS provides information
concerning the NRC staff position on the
relationship between Appendix A to 10
CFR part 50 and 10 CFR 50.36 so that
the stakeholders may understand the
requirements of the regulations more
broadly. This RIS is identical to earlier
NRC positions on the relationship of the
GDC and the TS and, therefore, is not
a backfit under 10 CFR 50.109,
‘‘Backfitting.’’ Consequently, the NRC
staff did not perform a backfit analysis.
Federal Register Notification
[Discussion to be provided in final RIS]
Congressional Review Act
[Discussion to be provided in final RIS]
Paperwork Reduction Act Statement
This RIS does not contain any new or
amended information collection
requirements subject to the Paperwork
Reduction Act of 1995 (44 U.S.C. 3501
et seq.). Existing collection requirements
under 10 CFR part 50 were approved by
the Office of Management and Budget,
control number 3150–0011.
Public Protection Notification
The NRC may not conduct or sponsor,
and a person is not required to respond
to, an information collection unless the
requesting document displays a
currently valid OMB control number.
III. Public Meeting
The NRC plans to hold a public
meeting on August 8, 2012, to discuss
the draft RIS and to obtain feedback
from members of the public. The public
meeting notice is available
electronically under ADAMS Accession
No. ML12188A402. In addition, the
meeting agenda will be posted on the
NRC’s Public Meeting Schedule Web
site at https://www.nrc.gov/public-
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involve/public-meetings/index.cfm.
Information regarding topics to be
discussed, changes to the agenda,
whether the meeting has been cancelled
or rescheduled, and the time allotted for
public comments can be obtained from
the Public Meeting Schedule Web site.
Dated at Rockville, Maryland, this 24th day
of July 2012.
For the Nuclear Regulatory Commission.
David L. Pelton,
Chief, Generic Communications Branch,
Division of Policy and Rulemaking, Office
of Nuclear Reactor Regulation.
[FR Doc. 2012–18639 Filed 7–30–12; 8:45 am]
BILLING CODE 7590–01–P
NATIONAL CREDIT UNION
ADMINISTRATION
12 CFR Parts 700, 701, 741 and 750
RIN 3133–AD97
Definition of Troubled Condition
National Credit Union
Administration (NCUA).
ACTION: Proposed rule with request for
comments.
AGENCY:
NCUA proposes to amend the
definition of ‘‘troubled condition’’ as
that term appears in § 701.14 and
elsewhere in NCUA’s regulations.
Generally, under the current definition,
only a state supervisory authority (SSA)
may declare a federally insured, statechartered credit union (FISCU) to be in
‘‘troubled condition.’’ The proposal
expands the definition to permit either
NCUA or an SSA to declare a FISCU to
be in ‘‘troubled condition.’’
DATES: Comments must be received on
or before October 1, 2012.
ADDRESSES: You may submit comments
by any of the following methods (Please
send comments by one method only):
• Federal eRulemaking Portal: https://
www.regulations.gov. Follow the
instructions for submitting comments.
• NCUA Web Site: https://
www.ncua.gov/Legal/Regs/Pages/
PropRegs.aspx. Follow the instructions
for submitting comments.
• Email: Address to
regcomments@ncua.gov. Include ‘‘[Your
name]—Comments on Notice of
Proposed Rulemaking for Parts 700, 701,
741 and 750’’ in the email subject line.
• Fax: (703) 518–6319. Use the
subject line described above for email.
• Mail: Address to Mary Rupp,
Secretary of the Board, National Credit
Union Administration, 1775 Duke
Street, Alexandria, Virginia 22314–
3428.
• Hand Delivery/Courier: Same as
mail address.
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SUMMARY:
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Public Inspection: You can view all
public comments on NCUA’s Web site
at https://www.ncua.gov/Legal/Regs/
Pages/PropRegs.aspx as submitted,
except for those we cannot post for
technical reasons. NCUA will not edit or
remove any identifying or contact
information from the public comments
submitted. You may inspect paper
copies of comments in NCUA’s law
library at 1775 Duke Street, Alexandria,
Virginia 22314, by appointment
weekdays between 9 a.m. and 3 p.m. To
make an appointment, call (703) 518–
6546 or send an email to
OGCMail@ncua.gov.
FOR FURTHER INFORMATION CONTACT:
Steven W. Widerman, Staff Attorney,
Office of General Counsel, at the above
address or by telephone: (703) 518–
6557.
SUPPLEMENTARY INFORMATION:
I. Background
1. Notification and Disapproval of
Change in Officials. In 1989, the
Financial Institutions Reform, Recovery
and Enforcement Act, Public Law 101–
73, 103 Stat. 183 (1989), amended the
Federal Credit Union Act (the Act) to
require a federally insured credit union,
under two conditions, to notify NCUA
prior to adding or replacing any
individual serving as a member of the
board of directors or of a committee, or
employed as a senior executive officer
(together, officials). 12 U.S.C. 1790a.
One condition is if the insured credit
union has been chartered less than 2
years. 12 U.S.C. 1790a(a)(1). The other
condition is if the insured credit union
‘‘is in troubled condition, as determined
on the basis of such credit union’s most
recent report of condition or report of
examination.’’ 12 U.S.C. 1790a(a)(2).
An insured credit union that meets
either condition may not add or replace
an official if the NCUA issues a Notice
of Disapproval in response to a
notification of a change in officials. 12
U.S.C. 1790a(b). NCUA may disapprove
an individual when ‘‘the competence,
experience, character, or integrity of the
individual * * * indicates that it would
not be in the best interests’’ of the credit
union’s members or the public for the
individual to serve. 12 U.S.C. 1790a(e).
The credit union may appeal the
disapproval to the NCUA Board. 12 CFR
747.904.
2. Current Definition of ‘‘Troubled
Condition’’. To implement the
notification requirement, the Act
required NCUA to prescribe by
regulation a definition for the term
‘‘troubled condition.’’ 12 U.S.C.
1790a(f). Since 1990, the NCUA Board
has defined a natural person credit
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45285
union in ‘‘troubled condition’’ as either:
(1) A federal credit union that has been
assigned a ‘‘4’’ or ‘‘5’’ composite
CAMEL rating by NCUA; (2) a FISCU
that has been assigned a ‘‘4’’ or ‘‘5’’
composite CAMEL rating by its SSA; (3)
a FISCU that has been assigned a ‘‘4’’ or
‘‘5’’ composite CAMEL rating by NCUA
based on core workpapers received from
an SSA; or (4) a federal credit union or
FISCU that has received special
assistance under sections 208 or 216 of
the Act to avoid liquidation. 12 CFR
701.14(b)(3); 55 FR 43086 (Oct. 26,
1990).
In 1999, the NCUA Board adopted a
separate definition of ‘‘troubled
condition’’ for corporate credit unions
in order to conform to the Corporate
Risk Information System (CRIS). 64 FR
28715 (May 27, 1999). Under that
definition, a corporate credit union that
is in ‘‘troubled condition’’ is either: (1)
A corporate federal credit union that is
assigned a ‘‘4’’ or ‘‘5’’ CRIS rating by
NCUA in either the Financial Risk or
Risk Management composites; (2) a
corporate FISCU that is assigned a ‘‘4’’
or ‘‘5’’ CRIS rating by its SSA in either
the Financial Risk or Risk Management
composites or, if the state has not
adopted CRIS, is assigned a ‘‘4’’ or ‘‘5’’
composite CAMEL rating by its SSA; (3)
a corporate FISCU that is assigned a ‘‘4’’
or ‘‘5’’ CRIS rating in either the
Financial Risk or Risk Management
composites by NCUA based on core
workpapers received from an SSA in a
state that does not use either the CRIS
or CAMEL rating systems; or (4) a
corporate federal credit union or
corporate FISCU that has received
special assistance under sections 208 or
216 of the Act to avoid liquidation. 12
CFR 701.14(b)(4).
The ‘‘troubled condition’’ definitions
for natural person credit unions and
corporate credit unions have until now
remained unchanged through several
modifications to other parts of § 701.14,1
and the definitions have since been
incorporated by reference in parts 711,
741, 747 and 750 of NCUA regulations.
II. Proposed Rule
1. Part 701—Proposed Definition of
‘‘Troubled Condition’’
The proposed amendments to the
definition of ‘‘troubled condition’’
primarily affect natural person FISCUs
and corporate FISCUs. Under current
1 59 FR 36042 (July 15, 1994) (change of NCUA
address); 60 FR 31911 (June 19, 1995) (correcting
U.S. Code citation); 66 FR 65622 (Dec. 20, 2001)
(substitution of new § 216 for repealed § 116 of the
Act); 69 FR 62562 (Oct. 27, 2004) (commencement
of service while notification is pending); 75 FR
34620 (June 18, 2010) (changed ‘‘Camel’’ to
‘‘CAMEL’’).
E:\FR\FM\31JYP1.SGM
31JYP1
Agencies
[Federal Register Volume 77, Number 147 (Tuesday, July 31, 2012)]
[Proposed Rules]
[Pages 45282-45285]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-18639]
========================================================================
Proposed Rules
Federal Register
________________________________________________________________________
This section of the FEDERAL REGISTER contains notices to the public of
the proposed issuance of rules and regulations. The purpose of these
notices is to give interested persons an opportunity to participate in
the rule making prior to the adoption of the final rules.
========================================================================
Federal Register / Vol. 77, No. 147 / Tuesday, July 31, 2012 /
Proposed Rules
[[Page 45282]]
NUCLEAR REGULATORY COMMISSION
[NRC-2012-0179]
NRC Position on the Relationship Between General Design Criteria
and Technical Specification Operability
AGENCY: Nuclear Regulatory Commission.
ACTION: Draft regulatory issue summary; public meeting and request for
comment.
-----------------------------------------------------------------------
SUMMARY: The U.S. Nuclear Regulatory Commission (NRC or the Commission)
is holding a public meeting to discuss a draft regulatory issue summary
(RIS) that clarifies the NRC staff's position on the relationship
between the general design criteria (GDC) for nuclear power plants and
technical specification operability. In addition, the draft RIS
clarifies the process for addressing nonconformances with GDC as
incorporated into a plant's current licensing basis. The NRC is also
seeking public comment on the draft RIS.
DATES: Submit comments by September 14, 2012. Comments received after
this date will be considered if it is practical to do so, but the NRC
is able to assure consideration only for comments received on or before
this date.
ADDRESSES: You may access information and comment submissions related
to this document, which the NRC possesses and is publicly available, by
searching on https://www.regulations.gov under Docket ID NRC-2012-0179.
You may submit comments by any of the following methods:
Federal Rulemaking Web Site: Go to https://www.regulations.gov and search for Docket ID NRC-2012-0179. Address
questions about NRC dockets to Carol Gallagher; telephone: 301-492-
3668; email: Carol.Gallagher@nrc.gov.
Mail comments to: Cindy Bladey, Chief, Rules,
Announcements, and Directives Branch (RADB), Office of Administration,
Mail Stop: TWB-05-B01M, U.S. Nuclear Regulatory Commission, Washington,
DC 20555-0001.
Fax comments to: RADB at 301-492-3446.
For additional direction on accessing information and submitting
comments, see ``Accessing Information and Submitting Comments'' in the
SUPPLEMENTARY INFORMATION section of this document.
FOR FURTHER INFORMATION CONTACT: Thomas Alexion, Senior Project
Manager, Generic Communications Branch, Division of Policy and
Rulemaking, Office Nuclear Reactor Regulation, Mail Stop: OWFN-12-D-20,
U.S. Nuclear Regulatory Commission, Washington, DC 20555-0001;
telephone: 301-415-1326, email: Thomas.Alexion@nrc.gov.
SUPPLEMENTARY INFORMATION:
I. Accessing Information and Submitting Comments
A. Accessing Information
Please refer to Docket ID NRC-2012-0179 when contacting the NRC
about the availability of information regarding this document. You may
access information related to this document, which the NRC possesses
and is publicly available, by any of the following methods:
Federal Rulemaking Web Site: Go to https://www.regulations.gov and search for Docket ID NRC-2012-0179.
NRC's Agencywide Documents Access and Management System
(ADAMS): You may access publicly available documents online in the NRC
Library at https://www.nrc.gov/reading-rm/adams.html. To begin the
search, select ``ADAMS Public Documents'' and then select ``Begin Web-
based ADAMS Search.'' For problems with ADAMS, please contact the NRC's
Public Document Room (PDR) reference staff at 1-800-397-4209, 301-415-
4737, or by email to pdr.resource@nrc.gov. The draft RIS ``NRC Staff
Position on the Relationship Between GDC Requirements and Technical
Specification Operability,'' is available electronically under ADAMS
Accession No. ML12137A346.
NRC's PDR: You may examine and purchase copies of public
documents at the NRC's PDR, Room O1-F21, One White Flint North, 11555
Rockville Pike, Rockville, Maryland 20852.
B. Submitting Comments
Please include Docket ID NRC-2012-0179 in the subject line of your
comment submission, in order to ensure that the NRC is able to make
your comment submission available to the public in this docket.
The NRC cautions you not to include identifying or contact
information that you do not want to be publicly disclosed in your
comment submission. The NRC will post all comment submissions at https://www.regulations.gov as well as enter the comment submissions into
ADAMS. The NRC does not routinely edit comment submissions to remove
identifying or contact information.
If you are requesting or aggregating comments from other persons
for submission to the NRC, then you should inform those persons not to
include identifying or contact information that they do not want to be
publicly disclosed in their comment submission. Your request should
state that the NRC does not routinely edit comment submissions to
remove such information before making the comment submissions available
to the public or entering the comment submissions into ADAMS.
II. Discussion
Addressees
All holders of, and applicants for, power reactor operating
licenses issued under Title 10 of the Code of Federal Regulations (10
CFR) Part 50, ``Domestic Licensing of Production and Utilization
Facilities,'' except those that have permanently ceased operations and
have certified that fuel has been permanently removed from the reactor
vessel.
Intent
The U.S. Nuclear Regulatory Commission (NRC) is issuing this
regulatory issue summary (RIS) to clarify the relationship between
Appendix A, ``General Design Criteria for Nuclear Power Plants,'' to 10
CFR part 50, and 10 CFR 50.36, ``Technical Specifications.'' In
addition, the RIS is clarifying the process for addressing
nonconformances with general design criteria (GDC) as incorporated into
a plant's current licensing basis (CLB). This RIS does not transmit any
new requirements and does not require any
[[Page 45283]]
specific action or written response on the part of an addressee.
Background Information
Recently, the NRC has received questions about the relationship
between licensing basis design requirements, such as the GDC as
incorporated into the plant CLB, and technical specification (TS)
operability requirements. The relationship between CLB design
requirements and the TS was addressed in a memorandum from Thomas E.
Murley, Director, Office of Nuclear Reactor Regulation (NRR) to the NRR
staff, dated January 24, 1994 (ADAMS Accession No. ML12115A279). The
positions described in this memo were incorporated into the Inspection
Manual Part 9900 Technical Guidance, ``Operability Determinations &
Functionality Assessments for Resolution of Degraded or Nonconforming
Conditions Adverse to Quality or Safety (Operability Determination
Process),'' which was issued as the attachment to RIS 2005-20, Revision
1, ``Revision to NRC Inspection Manual Part 9900 Technical Guidance,
`Operability Determinations & Functionality Assessments for Resolution
of Degraded or Nonconforming Conditions Adverse to Quality or Safety'''
(ADAMS Accession No. ML073531473).
The GDCs or a plant-specific equivalent,\1\ as incorporated into
the CLB, have an important relationship to the operability requirements
of the TS. Comprehending this relationship is critical to understanding
how licensees should address nonconformances with CLB design
requirements. This RIS discusses these relationships to promote a more
comprehensive understanding of how the NRC requirements work in concert
with TS to ensure plant safety.
---------------------------------------------------------------------------
\1\ For example, plants with construction permits issued prior
to May 21, 1971, may have been approved for construction based on
the proposed General Design Criteria published by the Atomic Energy
Commission (AEC) in the Federal Register (32 FR 10213) on July 11,
1967, sometimes referred to as the AEC Draft GDC.
---------------------------------------------------------------------------
Relationship of the GDC to the Technical Specifications
The GDC and the TS differ in that the GDC specify NRC's
requirements for the design of nuclear power reactors, whereas the TS
are included in the license and specify requirements for the operation
of nuclear power reactors. Design requirements, such as GDCs or similar
requirements, are typically included in the licensing basis for every
nuclear power plant. GDCs, according to Appendix A to 10 CFR Part 50,
``establish the necessary design, fabrication, construction, testing,
and performance requirements for structures, systems, and components
(SSCs) important to safety.'' As such, the GDCs cover a broad category
of SSCs that are important to safety, including those SSCs that are
covered by TS. Both the design capability of the facility to meet the
GDC (or a plant-specific equivalent) and the operational restrictions,
which are to be included in the TS, are described in the final safety
analysis report (FSAR). The staff safety evaluation documents the
acceptability of these analyses, and it is the combination of the FSAR
analyses and the staff safety evaluation that forms the bases from
which the TS are derived. It is important to note that the GDCs cover a
broader scope of SSCs than the TS because the TS establish, among other
things, the limiting conditions for operations (LCOs). LCOs are the
``lowest functional capability or performance levels of equipment
required for safe operation of the facility.'' Section 182 of the
Atomic Energy Act of 1954, as amended and as implemented by 10 CFR
50.36, requires that those design features of the facility that, if
altered or modified, would have a significant effect on safety, be
included in the TS. Thus, TS are intended to ensure that the most
safety-significant design features of a plant, as determined by the
safety analysis, maintain their capability to perform their safety
functions.
Technical Specification Operability Determinations and the GDC
Recently, the NRC staff learned that some licensees follow their
corrective action program for an identified nonconformance with a CLB
design requirement, such as a GDC, or a plant-specific equivalent, that
is part of the plant's CLB without consideration of the need to apply
the Part 9900 operability determination process. To the NRC staff it
appears that not every licensee understands the relationship between
CLB design requirements and TS requirements for nonconforming
conditions or that the Part 9900 operability determination process also
applies to nonconforming conditions.
As noted in the January 24, 1994, memo, not all GDCs that are
included in the CLB are explicitly identified in TS. However, those
that are not explicitly identified may still need to be considered when
either determining or to establish the basis for operability of TS
SSCs. It is the staff's position that any nonconformance with a GDC, or
a plant-specific equivalent included in the CLB should be evaluated to
determine if the nonconformance affects or alters the operability
status of a TS SSC.
As set forth in Part 9900, a documented determination is needed to
establish the basis for concluding that an SSC remains capable of
performing its safety function in the presence of the nonconforming
condition. Part 9900 states that a ``degraded condition is one in which
the qualification of an SSC or its functional capability is reduced.''
Similarly, Part 9900 defines a nonconforming condition as ``a condition
of an SSC that involves a failure to meet the CLB or a situation in
which quality has been reduced because of factors such as improper
design, testing, construction, or modification.'' Examples of
nonconforming conditions include: (1) An SSC that fails to conform to
one or more applicable codes or standards (e.g., the CFR, operating
license, TS, updated final safety analysis report, or licensee
commitments), (2) an as-built or as-modified SSC that does not meet the
current licensing basis, (3) operating experience or engineering
reviews that identify a design inadequacy, or (4) documentation
required by NRC requirements such as 10 CFR 50.54, ``Conditions of
licenses,'' or 10 CFR 50.59, ``Changes, Tests, and Experiments,'' that
is unavailable or deficient.
Section 3.8 of Part 9900 covers the definition of operability. The
definition includes the following statement:
In order to be considered operable, an SSC must be capable of
performing the safety functions specified by its design, within the
required range of design physical conditions, initiation times, and
mission times. [Emphasis added]
Section 4.0 of Part 9900 states the following:
Determinations of operability are appropriate whenever a review,
TS surveillance, or other information calls into question the
ability of SSCs to perform specified safety functions. The
operability determination process is used to assess operability of
SSCs and support functions for compliance with TS when a degraded or
nonconforming condition is identified for a specific SSC described
in TS, or when a degraded or nonconforming condition is identified
for a necessary and related support function. [Emphasis added]
Section 3.10 of Part 9900 further defines ``specified function/
specified safety function'' as follows:
The specified function(s) of the system, subsystem, train,
component, or device (required by the definition of operability) is
that specified safety function(s) in the CLB for the facility. In
addition to providing the specified safety function required by the
TSs definition of operability, a system is expected
[[Page 45284]]
to perform as designed, tested and maintained. When system
capability is degraded to a point where it cannot perform with
reasonable expectation or reliability, the system should be judged
inoperable, even if at this instantaneous point in time the system
could provide the specified safety function. [Emphasis added]
Thus, an operability determination (or functionality assessment) is
performed upon identification of a degraded or nonconforming condition,
including any nonconforming condition with a GDC included in either the
CLB for an SSC described in TS or for a necessary and related support
function required by the definition of operability. If the licensee
determination concludes that the TS SSC is nonconforming but operable
or the necessary and related support function is nonconforming but
functional, it would be appropriate to address the nonconforming
condition through the licensee's corrective action program. As stated
in Section 6.3 of Part 9900:
The purpose of an operability determination is to provide a
basis for making a timely decision on plant operation when a
degraded or nonconforming condition is discovered. Corrective
actions taken to restore full qualification should be addressed
through the corrective action process. The treatment of operability
as a separate issue from the restoration of full qualification
emphasizes that the operability determination process is focused on
safe plant operation and should not be impacted by decisions or
actions necessary to plan and implement corrective action (i.e.,
restore full qualification).
Example: Operability Determination for a Nonconformance with
GDC 2 for Natural Phenomenon
The following example discusses a nonconforming condition that
involves a failure to meet the current licensing basis because of
improper construction:
As indicated in the January 24, 1994, memo, the design bases for
protection against natural phenomena (GDC 2), when included in the CLB,
are inherently considered in the operability of safety-related SSCs
that satisfy the criteria for inclusion in the TS. The Part 9900
operability determination process should be entered when a licensee
identifies any nonconformance with GDC 2 or its equivalent, as
incorporated into a plant licensing basis (e.g., nonconformance with
the CLB for protection against flooding, seismic events, tornadoes,
etc.). Criterion 2 of the GDC states:
Design bases for protection against natural phenomena.
Structures, systems, and components important to safety shall be
designed to withstand the effects of natural phenomena such as
earthquakes, tornadoes, hurricanes, floods, tsunami, and seiches
without loss of capability to perform their safety functions. The
design bases for these structures, systems, and components shall
reflect: (1) Appropriate consideration of the most severe of the
natural phenomena that have been historically reported for the site
and surrounding area, with sufficient margin for the limited
accuracy, quantity, and period of time in which the historical data
have been accumulated, (2) appropriate combinations of the effects
of normal and accident conditions with the effects of the natural
phenomena and (3) the importance of the safety functions to be
performed.
Licensees can implement GDC 2 in the design by specifying design
bases for combinations of normal and accident conditions to protect
SSCs from the effects of natural phenomena. Failure to meet GDC 2, as
described in the licensing basis should be treated as a nonconforming
condition and is an entry point for an operability determination for
any impacted TS-required SSC or a necessary and related support
function.
For example, if a licensee with GDC 2 in its CLB identified that
the exhaust stacks for the emergency diesel generators (EDGs) were not
protected from the impact of tornado missiles, then this condition
would call into question the operability of the EDGs. EDG operability
is called into question because the exhaust stacks are an integral
component of the EDGs, which, if crimped by a missile, could prevent
the EDGs from performing their specified safety function. Accordingly,
the licensee should then enter the operability determination process to
evaluate the impact of not meeting the CLB requirement for tornado
missile protection. If the licensee's evaluation concludes that the
EDGs are inoperable, then the licensee must enter its TS and follow the
applicable required actions. As stated in Section 7.3 of Part 9900, the
licensee may implement compensatory measures to restore ``inoperable
SSCs to an operable but degraded or nonconforming status. In general,
these measures should have minimal impact on the operators or plant
operations and should be relatively simple to implement.'' If the
licensee successfully implements compensatory measures to restore the
inoperable EDGs to an operable but nonconforming status; or if the
licensee's operability determination evaluation concludes that the EDGs
are operable and nonconforming, then the licensee should use its
corrective action program to bring the EDGs back into conformance with
the CLB.
Summary
In summary, TS SSCs must be capable of performing their specified
safety function (i.e., be operable or have operability) whenever a
plant is operating in the modes and other specified conditions of the
applicability of TS limiting conditions for operation. In addition to
providing the safety function, a system is expected to perform as
designed, tested, and maintained. Any nonconformance with a GDC in the
CLB has the potential to negatively impact the operability of a TS SSC
and must be evaluated to determine if the nonconforming condition has
rendered any TS SSC inoperable. When system capability is degraded to a
point in which it cannot perform with reasonable expectation or
reliability, the system should be judged inoperable, even if the system
could provide the specified safety function at this instantaneous point
in time.
Backfit Discussion
This RIS provides information concerning the NRC staff position on
the relationship between Appendix A to 10 CFR part 50 and 10 CFR 50.36
so that the stakeholders may understand the requirements of the
regulations more broadly. This RIS is identical to earlier NRC
positions on the relationship of the GDC and the TS and, therefore, is
not a backfit under 10 CFR 50.109, ``Backfitting.'' Consequently, the
NRC staff did not perform a backfit analysis.
Federal Register Notification
[Discussion to be provided in final RIS]
Congressional Review Act
[Discussion to be provided in final RIS]
Paperwork Reduction Act Statement
This RIS does not contain any new or amended information collection
requirements subject to the Paperwork Reduction Act of 1995 (44 U.S.C.
3501 et seq.). Existing collection requirements under 10 CFR part 50
were approved by the Office of Management and Budget, control number
3150-0011.
Public Protection Notification
The NRC may not conduct or sponsor, and a person is not required to
respond to, an information collection unless the requesting document
displays a currently valid OMB control number.
III. Public Meeting
The NRC plans to hold a public meeting on August 8, 2012, to
discuss the draft RIS and to obtain feedback from members of the
public. The public meeting notice is available electronically under
ADAMS Accession No. ML12188A402. In addition, the meeting agenda will
be posted on the NRC's Public Meeting Schedule Web site at https://
www.nrc.gov/public-
[[Page 45285]]
involve/public-meetings/index.cfm. Information regarding topics to be
discussed, changes to the agenda, whether the meeting has been
cancelled or rescheduled, and the time allotted for public comments can
be obtained from the Public Meeting Schedule Web site.
Dated at Rockville, Maryland, this 24th day of July 2012.
For the Nuclear Regulatory Commission.
David L. Pelton,
Chief, Generic Communications Branch, Division of Policy and
Rulemaking, Office of Nuclear Reactor Regulation.
[FR Doc. 2012-18639 Filed 7-30-12; 8:45 am]
BILLING CODE 7590-01-P