Nonconformance Penalties for On-Highway Heavy-Duty Diesel Engines, 54384-54402 [2012-21967]
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Federal Register / Vol. 77, No. 172 / Wednesday, September 5, 2012 / Rules and Regulations
paragraphs (r)(5), (z)(5), (aa)(5), (dd)(5),
and (gg)(5) to read as follows:
APPENDIX A TO PART 70—
APPROVAL STATUS OF STATE AND
LOCAL OPERATING PERMITS
PROGRAMS
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(5) Revisions were submitted on November
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(5) Revisions were submitted on August 19,
2011. Approval became effective on October
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(5) Revisions were submitted on April 21,
2011. Approval became effective on October
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(5) Revisions were submitted on November
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(5) Revisions were submitted on August 19,
2011. Approval became effective on October
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[FR Doc. 2012–21683 Filed 9–4–12; 8:45 am]
BILLING CODE 6560–50–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 86
[AMS–FRL–9716–5]
Nonconformance Penalties for OnHighway Heavy-Duty Diesel Engines
Environmental Protection
Agency (EPA).
AGENCY:
ACTION:
Final rule.
EPA is taking final action to
establish nonconformance penalties
(NCPs) for manufacturers of heavy
heavy-duty diesel engines (HHDDE) in
model years 2012 and later for
emissions of oxides of nitrogen (NOX)
because we have found the criteria for
NCPs and the Clean Air Act have been
met. The NOX standards to which these
NCPs apply were established by a rule
published on January 18, 2001. In
general, NCPs allow a manufacturer of
heavy-duty engines (HDEs) whose
engines do not conform to applicable
emission standards, but do not exceed a
designated upper limit, to be issued a
certificate of conformity upon payment
of a monetary penalty to the United
States Government. The upper limit
associated with these NCPs is 0.50
grams of NOX per brake horsepowerhour (g/bhp-hr).
This Final Rule specifies certain
parameters that are entered into the
preexisting penalty formulas along with
the emissions of the engine and the
incorporation of other factors to
determine the amount a manufacturer
must pay. Key parameters that
determine the NCP a manufacturer must
pay are EPA’s estimated cost of
compliance for a near worst-case engine
and the degree to which the engine
exceeds the emission standard (as
measured from production engines).
EPA proposed NCPs for medium
heavy duty diesel engines. However,
EPA is not taking final action with
regard to NCPs for these engines at this
time because EPA has not completed its
review of the data and comments
regarding these engines.
DATES: This rule is effective September
5, 2012.
ADDRESSES: EPA has established a
docket for this action under Docket ID
SUMMARY:
Industry ....................................................................................................................................
Chuck Moulis, U.S. EPA, National
Vehicle and Fuel Emissions Laboratory,
2000 Traverwood, Ann Arbor, MI
48105; Telephone (734) 214–4826;
Email moulis.charles@epa.gov.
SUPPLEMENTARY INFORMATION:
Regulated Entities
This action could affect you if you
produce or import new heavy-duty
diesel engines which are intended for
use in highway vehicles such as trucks
and buses or heavy-duty highway
vehicles. The table below gives some
examples of entities that may be affected
by these regulations. However, because
these are only examples, you should
carefully examine the regulations in 40
CFR part 86. If you have questions, call
the person listed in the FOR FURTHER
INFORMATION CONTACT section above.
Examples of potentially regulated
entities
336112
336120
Engine and truck manufacturers.
American Industry Classification System (NAICS).
Table of Contents
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FOR FURTHER INFORMATION CONTACT:
NAICS a
Codes
Category
a North
EPA–HQ–OAR–2011–1000. All
documents in the docket are listed in
the https://www.regulations.gov index.
Although listed in the index, some
information is not publicly available,
e.g., confidential business information
or other information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy in the docket. Publicly available
docket materials are available either
electronically in https://
www.regulations.gov or in hard copy at
the following location: EPA: 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 Air Docket is (202) 566–1742.
I. Executive Summary
A. Purpose of This Action
B. Summary of Today’s Action
C. Impacts of This Action
II. Overview and Background
A. Overview
B. Statutory Authority
C. Background Regarding Nonconformance
Penalty Rules
D. 2007 and 2010 NOX Standards
III. Previous Interim Final Rule
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IV. NCP Eligibility
A. First Criterion—Whether the MY2010
NOX Standard Is More Stringent than the
Previous NOX Standard
B. Second Criterion—Whether Substantial
Work Will Be Required To Meet the
MY2010 NOX Standard
C. Third Criterion—Whether There Is
Likely To Be a Technological Laggard
D. Issues Raised by the D.C. Circuit Court
of Appeals
V. Penalty Rates
A. Upper Limit
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B. Cost Parameter Values
C. Resulting Penalties
D. Consideration of Other Methodologies
VI. Economic Impact
VII. Environmental Impact
VIII. Emission Standards for Which We Are
Not Establishing NCPs in This Final Rule
A. Medium Heavy Duty Diesel NOX
Standards
B. Light Heavy-Duty Diesel NOX Standards
C. Heavy-Duty Gasoline Engine Standards
D. Heavy-duty Diesel Engine NMHC, CO,
and PM Standards
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E. Heavy-duty CO2 Standards
IX. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132 (Federalism)
F. Executive Order 13175 (Consultation
and Coordination With Indian Tribal
Governments)
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211 (Energy Effects)
I. National Technology Transfer
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
K. Congressional Review Act
X. Statutory Provisions and Legal Authority
I. Executive Summary
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A. Purpose of This Action
Section 206(g) of the Clean Air Act
(the Act), 42 U.S.C. 7525(g), directs EPA
to promulgate regulations permitting
manufacturers of heavy-duty engines or
heavy-duty vehicles to receive a
certificate of conformity for engines or
vehicles that exceed an EPA emissions
standard if the manufacturer pays a
nonconformance penalty (NCP). This
action adopts NCPs for MY2012 and
later heavy heavy-duty diesel engines
(HHDDE) with respect to the NOX
emissions standards applicable to these
engines. Engine manufacturers will be
able to receive a certificate of
conformity based on either
demonstrating compliance with the 0.20
g/bhp-hr NOX emission standard, or
paying NCPs under the penalty formula
established in this rule. This provides
an alternative compliance option in
situations where, as here, EPA has
determined that the criteria for
establishing NCPs have been met.
B. Summary of Today’s Action
EPA proposed that the criteria for
setting NCPs had been met for the 0.20
g/bhp-hr NOX emission standard for
HHDDEs, and we are setting NCPs for
these diesel engines in this final action.1
The final NCPs for HHDDE are
approximately twice the values
proposed. This difference is primarily
because of new information received
during the public comment period
related to fuel and diesel exhaust fluid
(DEF) prices. The derivation of the final
penalties is described in a support
document titled ‘‘Nonconformance
1 The
proposed rule was published at 77 FR 4736
(January 31, 2012).
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Penalties for 2012 and later Highway
Heavy-Duty Diesel Engines: Technical
Support Document’’ (Technical Support
Document), which is available in the
public docket for this rulemaking.
Under the final penalty regulations,
nonconforming manufacturer with
engines at the upper NOX limit of 0.50
g/bhp-hr would pay a penalty of $3,775
for each model year 2012 engine it
produces. Manufacturers would pay a
lesser penalty if the NOX emissions of
the engine are lower. For example, the
penalty for a 2012 engine with NOX
emissions at 0.30 g/bhp-hr would be
$1,259.
C. Impacts of This Action
NCPs have a small environmental
impact. We expect relatively few engine
families to be certified under these
provisions. Any impacts should be
short-term in nature because the
penalties are structured to increase over
time to discourage use in later model
years and because the penalty figures
are high enough, such that the increase
in the maximum penalty in later model
years will likely limit the practical
availability of NCPs in future years. In
addition, Navistar, the only company
that has requested certificates based on
the use of NCPs, has publicly
announced it will introduce new
technology engines in 2013 which will
meet the 0.20 g/hp-hr NOX standard
without the need for NCPs.
NCPs generally also have minimal
adverse economic impacts. Their use is
optional, and manufacturers have
historically chosen to use NCPs only
when they are otherwise unable to
comply with emissions standards.
Manufacturers that choose to make use
of the NCPs will incur those costs,
which are based on the cost of
complying with the emission standards.
II. Overview and Background
A. Overview
Section 206(g) of the Clean Air Act
(the Act), 42 U.S.C. 7525(g), directs EPA
to promulgate regulations permitting
manufacturers of heavy-duty engines
(HDEs) or heavy-duty vehicles (HDVs)
to receive a certificate of conformity for
HDEs or HDVs that exceed a Federal
emissions standard if the manufacturer
pays a nonconformance penalty (NCP).
Congress adopted section 206(g) in the
Clean Air Act Amendments of 1977 as
a response to a concern about
manufacturers unable to comply with
technology-forcing emissions standards
for heavy-duty engines in the lead-time
provided for the emissions standards.
NCPs were intended to remedy this
concern, while ensuring that
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conforming manufacturers would not
suffer a competitive disadvantage
compared to nonconforming
manufacturers.
The first NCP rule, sometimes referred
to as the ‘‘generic’’ NCP rule,
established three basic criteria for
determining the emission standards for
which nonconformance penalties would
be established in any given model year.
50 FR 35374 (August 30, 1985). The first
criterion is that the emission standard in
question is a new emission standard or
that the standard is an existing standard
and becomes more difficult to meet.
This can occur in two ways, either by
the emission standard itself becoming
more stringent, or due to its interaction
with another emission standard that has
become more stringent. Second, EPA
must find that substantial work is
required in order to meet the emission
standard. Third, EPA must find that it
is likely that a manufacturer will be
unable to comply by the end of the lead
time provided for technological reasons
(referred to in earlier rules as a
‘‘technological laggard’’). The first NCP
rule also established the formula for
determining the amount of an NCP. In
subsequent NCP rules, EPA made
determinations about which emissions
standards met the criteria for
establishing NCPs, and specified the
values for various parameters that are
used in the formula to calculate the
dollar value of a manufacturer’s NCP.
The regulations addressing these
provisions are in Subpart L of 40 CFR
part 86.
EPA proposed that these criteria had
been met for the 0.20 g/bhp-hr NOX
emission standard for heavy heavy-duty
diesel engines. 77 FR 4736 (January 31,
2012).2 Although we did not identify
the technological laggard in the NPRM,
we have since identified Navistar as the
manufacturer that needs NCPs. We
proposed to establish NCPs because
Navistar was unable to achieve the 0.20
g/bhp-hr NOX standard and did not
have sufficient emission credits to cover
the 2012 model year. At the time of the
proposal, Navistar was attempting to
meet the NOX emission standard with a
technology that is different than the
approach used by other engine
manufacturers. However, Navistar
recently announced that it would switch
its approach to use the same general
technology as the other
enginemanufacturers—a catalytic
approach called selective catalytic
reduction (SCR). As described in
Section IV. C., we have determined that
2 EPA simultaneously published an Interim Final
Rule establishing interim NCPs for heavy heavyduty engines (77 FR 4678, January 31, 2012).
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penalties each year for later model
years.
The NCPs being finalized for HHDDE
are approximately twice the values
proposed. This difference is primarily
because of new information received
during the public comment period
related to fuel and diesel exhaust fluid
(DEF) prices. The derivation of the final
penalties is described in a support
document titled ‘‘Nonconformance
Penalties for 2012 and later Highway
Heavy-Duty Diesel Engines: Technical
Support Document’’ (Technical Support
Document), which is available in the
public docket for this rulemaking.
It is important to note that the NCP
parameters being finalized were
developed using the same basic
methodology described in the NPRM.
As in all NCP rules, the final NCPs are
based on the estimated difference in
compliance costs for engines at the
upper limit and engines at the standard.
Thus, engines with emissions at the
upper limit can be considered to be
baseline engines for the analysis. These
baseline engines also represent the
engines against which complying
engines could compete in the
marketplace.
As shown in Figure 1, a
nonconforming manufacturer with
engines at the upper NOX limit of 0.50
g/bhp-hr would pay a penalty of $3,775
for each model year 2012 engine it
produces. For later model years, this
maximum penalty will increase by
several hundred dollars per year as
specified in 40 CFR 86.1113–87. While
the exact rate of increase will depend on
the number of engines for which NCPs
are used, the penalty for engines at the
upper limit could be more than $5,000
by 2015. Manufacturers would pay a
lesser penalty if the NOX emissions of
the nonconforming engine are lower.
For example, the penalty for a 2012
engine with NOX emissions at 0.30 g/
bhp-hr would be $1,259.
We received numerous comments on
our proposal to establish NCPs. Our
detailed analysis of these comments is
contained in the Response to Comments
document for this rulemaking. The
major comments are summarized briefly
below.
• Several commenters questioned
whether the regulatory criteria for
establishing NCPs had been met. These
comments are addressed in Section IV.
• Several commenters addressed the
level of the penalty, mostly claiming
that the penalty needed to be higher to
meet the statutory requirement to
remove the competitive disadvantage for
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Navistar will be unable to apply this
technology to all of its engine families
sold in the U.S. to achieve 0.20 g/hp-hr
NOX for at least several months, and
will need NCPs until it completes its
transition to the new technology.
We proposed to base the calculation
of the NCPs on the existing regulatory
framework, revising only the upper
limit and the cost parameters. We also
proposed to set the upper limit at 0.50
g/bhp-hr, which means that no
manufacturer paying NCPs would be
allowed to certify engines with NOX
emissions above this limit. The
proposed penalty for HHDDEs at that
limit was $1,919 for model year 2012.
Consistent with the provisions of the
existing regulations, this value reflected
our best estimate of the near-worst case
cost difference between an engine with
NOX emissions at the upper limit and a
compliant engine. The regulations
contain provisions to increase the
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Federal Register / Vol. 77, No. 172 / Wednesday, September 5, 2012 / Rules and Regulations
complying manufacturers. These
comments are addressed in Section V.
• The few comments we received on
the upper limit supported setting it at
0.50 g/bhp-hr. These comments are
addressed in Section V. A.
• Comments on the methodology
used to calculate costs addressed both
our proposed methodology and
alternative methodologies. Comments
on our proposed methodology are
discussed in Section V. B. and
comments on alternative methodologies
are discussed in Section V. D.
NCPs have a small environmental
impact. We expect relatively few engine
families to be certified under these
provisions. Any impacts should be
short-term in nature because the
increase in the maximum penalty in
later model years will likely limit the
practical availability of NCPs in future
years. The structure of the penalties, by
increasing over time, discourages use in
later model years; and because the
penalty figures are high enough, such
that use in later model years is unlikely
to be a viable option for any
manufacturer.
NCPs generally also have minimal
adverse economic impacts. Their use is
optional, and manufacturers have
historically chosen to use NCPs only
when they are otherwise unable to
comply with emissions standards.
Manufacturers that choose to make use
of the NCPs will incur those costs,
which are based on the cost of
complying with the emission standards.
Section 553(d) of the Administrative
Procedure Act (APA), 5 U.S.C. chapter
5, generally provides that rules may not
take effect earlier than 30 days after they
are published in the Federal Register.
APA section 553(d) excepts from this
provision any action that grants or
recognizes an exemption or relieves a
restriction. Since today’s action can be
considered to relieve a restriction that
would otherwise prevent a
manufacturer from certifying, EPA is
making this action effective
immediately upon publication. This
Final Rule does not set new
requirements, but rather creates an
optional path by which a manufacturer
unable to meet the NOX standard may
obtain a certificate of conformity that
they could not otherwise obtain without
this Final Rule. Thus, the NCPs
promulgated in this Final Rule will
apply for all engines introduced into
commerce on or after September 5,
2012.
B. Statutory Authority
Section 206(g) of the Act, 42 U.S.C.
7525(g), directs EPA to promulgate
regulations permitting manufacturers of
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heavy-duty engines (HDEs) or heavyduty vehicles (HDVs) to receive a
certificate of conformity for HDEs or
HDVs that exceed a Federal emissions
standard, but do not exceed an upper
limit associated with that standard, if
the manufacturer pays a
nonconformance penalty (NCP) .
Congress adopted section 206(g) in the
Clean Air Act Amendments of 1977 as
a response to a concern with requiring
technology-forcing emissions standards
for heavy-duty engines. The concern
was if strict technology-forcing
standards were promulgated, then some
manufacturers might be unable to
comply in the lead-time provided for
the emissions standards and would be
forced out of the marketplace. NCPs
were intended to remedy this concern.
The nonconforming manufacturers
would have a temporary alternative that
would permit them to receive a
certificate of conformity by payment of
a penalty, allowing the engines or
vehicles to be introduced into
commerce and sold. At the same time,
conforming manufacturers would not
suffer compared to nonconforming
manufacturers, because the NCPs would
remove the competitive disadvantage to
them. NCPs would be based, in part, on
money saved by the nonconforming
manufacturer. Providing this relief
facilitated EPA’s authority to set
technology forcing standards. Without
this relief, EPA may have needed to be
more cautious in setting standards,
given the possibility that a lagging
manufacturer might not be able to meet
the standards in the lead-time provided.
Under section 206(g)(1), NCPs may be
offered for HDVs or HDEs. The penalty
may vary by pollutant and by class or
category of vehicle or engine. No NCPbased certificate may be issued if the
engine or vehicle exceeds the degree of
reduction determined by the
Administrator to be practicable. This
emission level is identified in the
regulations as the upper limit. Section
206(g)(3) requires that NCPs:
• Account for the degree of emission
nonconformity;
• Increase periodically to provide
incentive for nonconforming
manufacturers to achieve the emission
standards; and
• Remove the competitive
disadvantage to conforming
manufacturers.
Section 206(g) authorizes EPA to
require testing of production vehicles or
engines in order to determine the
emission level upon which the penalty
is based. If the emission level of a
vehicle or engine exceeds an upper limit
of nonconformity established by EPA
through regulation, the vehicle or
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engine would not qualify for an NCP
under section 206(g) and no certificate
of conformity could be issued to the
manufacturer. If the emission level is
below the upper limit but above the
standard, that emission level becomes
the ‘‘compliance level,’’ which is also
the benchmark for warranty and recall
liability. The manufacturer who elects
to pay the NCP is liable for vehicles or
engines that exceed the compliance
level in use. The manufacturer does not
have in-use warranty or recall liability
for emissions levels above the standard
but below the compliance level.
C. Background Regarding
Nonconformance Penalty Rules
Since the promulgation of the first
NCP rule in 1985, subsequent NCP rules
generally have been described as
continuing ‘‘phases’’ of the initial NCP
rule. The first NCP rule (Phase I),
sometimes referred to as the ‘‘generic’’
NCP rule, established three basic criteria
for determining the eligibility of
emission standards for nonconformance
penalties in any given model year. 50
FR 35374 (August 30, 1985). When
adopted in 1985, EPA intended to use
the criteria of 40 CFR 86.1103–87 in
determining whether to establish NCPs.
They were included in the regulations
to clarify that EPA’s obligation under
the generic rule to establish NCPs only
applied where these criteria were met.
As described in Section V. of this Final
Rule, we have determined that these
criteria have been met.3
The first criterion is that the emission
standard in question is a new emission
standard or that the standard is an
existing standard and becomes more
difficult to meet. This can occur in two
ways, either by the emission standard
itself becoming more stringent, or due to
its interaction with another emission
standard that has become more
stringent. Under the second criterion,
EPA must find that substantial work is
required in order to meet the emission
standard. As described in § 86.1103–
87(b), EPA considers ‘‘substantial work’’
to mean the application of technology
not previously used in that vehicle or
engine class/subclass, or a significant
modification of existing technology, in
order to bring that vehicle/engine into
compliance. EPA does not consider
minor modifications or calibration
changes to be classified as substantial
work. EPA considers that substantial
work is required if such work is needed
to bring emissions from the level of the
3 We note that EPA may revise the criteria at any
time through notice and comment rulemaking.
Thus, these criteria do not constrain EPA from
adopting NCPs in other circumstances, as long as
the statutory criteria of section 206(g) are met.
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previous standard to the level of the
new or revised standard, even if at the
time the NCP rulemaking is taking
place, some manufacturers have already
completed that work. Third, EPA must
find that a manufacturer is likely to be
noncomplying for technological reasons
(referred to in earlier rules as a
‘‘technological laggard’’). Prior NCP
rules have considered such a
technological laggard to be a
manufacturer who cannot meet a
particular emission standard due to
technological (not economic) difficulties
and who, in the absence of NCPs, might
be forced from the marketplace.
The criteria and methodologies
established in the 1985 NCP rule have
since been used to determine eligibility
and to establish NCPs for a number of
heavy-duty emission standards. Phases
II, III, IV, V, and VI published in the
period from 1985 to 2002, established
NCPs that, in combination, cover the
full range of heavy-duty; from heavy
light-duty trucks (6,000–8,500 pounds
gross vehicle weight) to the largest
diesel truck and urban bus engines.
NCPs have been established for
hydrocarbons (HC), carbon monoxide
(CO), nitrogen oxides (NOX), and
particulate matter (PM). The most recent
NCP rule (67 FR 51464, August 8, 2002)
established NCPs for the 2004 and later
model year NOX standard for heavyduty diesel engines (HDDEs). The NCP
rulemaking phases are summarized in
greater detail in the Technical Support
Document for this rulemaking.
D. 2007 and 2010 NOX Standards
The 0.20 g/bhp-hr NOX standard that
applies for current and future heavyduty engines was adopted January 18,
2001 (66 FR 5001), and first applied in
the 2007 model year. However, because
of phase-in provisions adopted in that
rule and use of emission credits
generated by manufacturers for early
compliance, manufacturers have been
able to continue to produce engines
with NOX emissions greater than 0.20 g/
bhp-hr. Most engines during the phasein had NOX emissions near 1.2 g/bhphr. The phase-in provisions ended after
model year 2009 so that the 0.20 g/bhphr NOX standard was fully phased-in for
model year 2010. Equally important, the
cap applicable to Family Emission
Limits (FELs) 4 for credit-using engine
families was lowered to 0.50 g/bhp-hr
beginning in model year 2010. Because
of these changes that occurred in model
4 FELs are emission levels specified by the
manufacturer that serve as the applicable emission
standard for engines participating in the emission
averaging program. The FEL cap is the highest FEL
to which a manufacturer may certify an engine
using emission credits.
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year 2010, the 0.20 g/bhp-hr NOX
emission standard is often referred to as
the 2010 NOX emission standard, even
though it applied to engines as early as
model year 2007.
have been met for heavy heavy-duty
diesel engines, and it is therefore
appropriate to establish NCPs for this
standard for the current model year and
later.
III. Previous Interim Final Rule
On January 31, 2012, EPA
simultaneously published an Interim
Final Rule establishing interim NCPs for
heavy heavy-duty engines and a parallel
Notice of Proposed Rulemaking
(NPRM). The NCPs in this Final Rule
will supersede the NCPs that were
promulgated in the Interim Final Rule
as of September 5, 2012.
Several engine manufacturers
petitioned EPA to rescind that Interim
Final Rule. These petitions and EPA’s
responses denying them have been
placed into the Docket for this rule.
These engine manufacturers also filed
judicial challenges to the Interim Final
Rule. Mack Trucks, et al. v. EPA, No.
12–1077 (DC Cir). They challenged
EPA’s decision to establish NCPs in an
interim final rule without going through
notice and comment. They also
challenged our finding that the
regulatory criteria had been met to
promulgate NCPs for the 2010 NOX
standard, as well as our conclusion that
the interim NCP levels removed the
competitive disadvantage for complying
manufacturers. On June 12, 2012, the
Court of Appeals for the DC Circuit
issued an opinion holding that EPA
violated the procedural requirements for
rulemaking because EPA did not have
good cause to issue the rule without
providing notice and opportunity for
comment. Id., 2012 U.S. App. LEXIS
11851 (June 12, 2012). The Court did
not rule on the merits of EPA’s findings
about the regulatory criteria or the level
of the NCP. Nevertheless, it stated in
dicta its concerns about these issues,
which are discussed below in Sections
IV. (NCP Eligibility) and V. (Penalty
Rates).
A. First Criterion—Whether the MY2010
and Later NOX Standard Is More
Stringent Than the Previous NOX
Standard
The first criterion requires that the
emission standard in question must be
more stringent than the previous
standard. This is the case with the 2010
NOX standard. The previous emission
standard for this category is a combined
NMHC + NOX standard of 2.4 g/bhp-hr,
or optionally a 2.5 g/bhp-hr NMHC +
NOX with a limit of 0.5 g/bhp-hr
NMHC.5 The 2010 (i.e., current)
standards are 0.20 g/bhp-hr for NOX and
0.14 g/bhp-hr for NMHC.
Some commenters argued that this
standard should no longer be
considered a new standard because it
went into full effect two model years
ago. We did not promulgate NCPs for
the 2010 and 2011 model years because
we had no basis for concluding it was
likely that any manufacturer would
qualify as a technological laggard, as all
manufacturers met the standard either
directly or through application of
credits. However, the fact that we did
not promulgate NCPs for the first year
a standard went into effect does not
preclude us from promulgating NCPs for
such standard at a later time, when it is
determined the regulatory criteria have
been met. While it is not a path we have
generally taken, nothing in the statute or
in our regulations, which refer to new
or revised standards, precludes EPA
from promulgating NCPs after the first
year a new or revised standard goes into
effect. See 50 FR 35374, 35376 (August
30, 1985), and 50 FR 9204, 9206 (March
6, 1985).
The first criterion, as with the other
two criteria, reflects the key concepts
underlying the NCP program—NCPs are
designed to address situations where
technological laggards are likely to
develop in response to the adoption of
technology forcing emission standards
for this sector under CAA section
202(a)(3)(A). One purpose of section
206(g) is to avoid, at least temporarily,
the problem of technological laggards
being driven out of the market because
of their inability to meet technology
forcing emission standards in the leadtime provided. 50 FR 9204, 9205 (March
IV. NCP Eligibility
Section II. C. of this Final Rule notes
that EPA regulations provide for three
criteria to be met in order to determine
that an NCP should be established in
any given model year. As is described
below, these three criteria address
different aspects of the appropriateness
of NCPs, and it is important to consider
each criterion separately in its own
proper context. In general, the first two
criteria address whether the standard in
question created the possibility that a
technological laggards could develop,
while the third criterion addresses the
likelihood that there will be a
technological laggard. For the 2010 NOX
standard, we find that these criteria
PO 00000
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5 NMHC stands for non-methane hydrocarbons,
which is a measure of total hydrocarbons with the
methane emissions subtracted out. For typical onhighway diesel fueled heavy-duty engines, methane
emissions are on the order of 10 percent of the total
hydrocarbon emissions.
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6, 1985), 50 FR 35375 (August 30, 1985)
(‘‘The possibility of a technological
laggard is a key concept in the NCP
availability scheme.’’). The first
criterion is directly linked to this—
‘‘This condition creates the possibility
for a technological laggard to exist.’’ 50
FR 9204, 9206 (March 6,1985).
Given this purpose, the appropriate
way to consider whether the new or
revised standard is more stringent is to
consider it from the point of adoption of
the standard, by comparing it to the
prior standard. It is at the point that
EPA has adopted a standard that may
force technology changes, and it is the
difference in stringency between the old
and the new or revised standard, that
raises the possibility of a technological
laggard. The passage of time after
adoption of the standard does not
change the analysis of whether the new
or revised standard is or is not more
stringent than the previous standard. 50
FR 9204, 9206 (March 6, 1985). Even if
EPA considers NCPs some model years
after adoption of the standard the
comparison under the first criterion is
still between the new or revised
standard and the prior standard, and
their relative stringency.
The first criterion establishes one
circumstance that must occur to
establish NCPs under the generic rule: a
new or revised standard must be more
stringent than the previous standard for
the pollutant, or an existing standard
must become more difficult to achieve.
The passage of time by itself, from
MY2010 to MY2012, does not change
the fact that the MY2010 NOX standard
was and continues to be more stringent
than the standard applicable to model
years before 2010, and this increase in
stringency created the possibility for a
technological laggard to exist. The first
criterion is thus more in the nature of
a static or historic fact, a threshold
determination typically made based on
the facts in existence at the time of
adoption of the new or revised standard,
a comparison of the stringency of the
previous and the new or revised
standard.
Based on this, EPA rejects
commenters’ arguments. Even though
the determination on the first criterion
is not being made until some model
years after adoption of the 2010
standard, the 2010 NOX standard has
always been a new or revised standard
compared to the prior standard, and the
2010 standard was and continues to be
more stringent than the preexisting NOX
standard. The passage of time does not
change the fact that adoption of a more
stringent standard for MY2010 created
the possibility for a technological
laggard to exist. The 2010 standard is
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certainly a new or revised standard and
certainly is more stringent than the
previous standard for NOX. The fact that
we are now in MY2012 does not change
this conclusion.
B. Second Criterion—Whether
Substantial Work Will Be Required To
Meet the MY2010 NOX Standard
Under the second criterion,
substantial work must be required to
meet the standard. When we first
established the 2010 NOX standard, we
considered it to be a technology-forcing
standard and subsequent history has
shown that substantial work has been
required to meet this emission standard.
More importantly, all heavy heavy-duty
diesel engines currently certified to the
0.20 g/bhp-hr standard without using
credits are using new aftertreatment
systems (that were generally not used in
2009) to meet this standard.6 Indeed,
even Navistar substantially redesigned
its emission control system in its
attempt to achieve lower emissions
without NOX aftertreatment. This work
clearly meets the definition of
substantial work, as it involves the use
of either: New catalytic controls and
related technology not previously used
in these engines, or the significant
modification of existing EGR and related
technology. None of the complying
manufacturers dispute that they have
done substantial work to achieve the
0.20 g/bhp-hr NOX standard. In fact,
they emphasized in their comments
how much work they have done to meet
the standard.
The second criterion builds on the
first criterion, as it involves an
evaluation of the nature and degree of
the technological challenge of the new
or revised standard. If the new or
revised standard increases the
stringency to such a degree that it
cannot be met by simple modifications
to existing technology (i.e., that
substantial work will be required to
comply), then this criterion is satisfied.
Like the first criterion, the second
criterion reflects the key concern with
the issue of a technological laggard—
‘‘When manufacturers must perform
substantial work, it is possible that at
least one will be unsuccessful and will
become a laggard.’’ 50 FR 9204, 9206
6 For this Final Rule, EPA describes those
manufacturers that have achieved the 0.20 g/hp-hr
emission standard as ‘‘conforming’’, ‘‘compliant’’ or
‘‘complying’’ manufacturers, and those that have
not as the ‘‘nonconforming’’, ‘‘noncompliant’’ or
‘‘noncomplying’’ manufacturers. However, it is
important to clarify that manufacturers certifying
above the 0.20 g/hp-hr NOX emission standard
using emission credits are in compliance with
regulations as long as they have enough emission
credits to offset their total NOX emissions above the
standard.
PO 00000
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54389
(March 6,1985). Like the first criterion,
it is a determination of circumstances
that establish a threshold or baseline for
setting NCPs under the generic rule. It
identifies circumstances that mean there
is a possibility that a laggard may exist.
Given this purpose, the appropriate
way to consider the second criterion is
to evaluate all of the work that must be
accomplished to move from compliance
with the previous standard to
compliance with the new or revised
standard. The possibility of a
technological laggard is created by this
entire amount of work that must be
done, not any one subset or increment
of the work. Thus, if EPA evaluates this
criterion at some point after adoption of
the new or revised standard, EPA still
considers all of the work to go from the
previous to the new or revised standard,
and not just the work remaining as of
the date the determinations are made
about compliance with the criteria
under the generic NCP rule.
While commenters did not dispute
that substantial work was required to
meet the 2010 standard, some
commenters claim it is no longer true
that substantial work is required
because some manufacturers have met
the standard. Some commented that
these determinations must be based on
the factual circumstances at the time of
the NCP rulemaking and not the time
the revised standard was issued. We
disagree with these claims for two
reasons.
First, this criterion is to be evaluated
based on the total amount of work
needed to go from meeting the previous
standard to meeting the current
standard, regardless of the timing of
such changes. Indeed, the commenters’
approach would seem to be directly
contrary to the purpose of the statute.
The NCP program is designed to allow
technological laggards to be able to
certify engines even if other
manufacturers have met the standard.
There is a clear expectation that some
manufacturers might be technological
laggards. 50 FR 9204, 9206 (March
6,1985) (‘‘When manufacturers must
perform substantial work, it is possible
that at least one will be unsuccessful
and will become a laggard.’’) Where
there is a technological laggard, it is the
typical situation that other
manufacturers have already complied or
will comply on time. The fact that some
manufacturers have surpassed the
technological hurdles and achieved
compliance with the new or revised
standard does not in any way show that
there is or cannot be a technological
laggard who at least temporarily has not
surpassed the technological hurdles.
Refusing to establish NCPs solely
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because some manufacturers comply at
the time NCPs are established would
frustrate Congress’ purpose by
preventing establishment of NCPs when
there is a technological laggard who
temporarily can not comply with the
standards and cannot certify engines
without the NCP program.
Thus, EPA bases the determination of
substantial work on the total amount of
work to go from compliance with the
prior standard to compliance with the
new standard, even if at the time of the
NCP rulemaking some manufacturers
have already completed some or all of
such work. Under this criterion, the
important question is whether
manufacturers who were using
technology that met the previous
standard would need to conduct
significant work to develop new
technology or to build upon/change the
old technology to meet the revised
standard. Questions about work that
still needs to be done at the point EPA
begins an NCP rulemaking are relevant
only in the context of the third criterion,
whether there is likely to be a
technological laggard. To avoid this
confusion for future NCPs, we are
clarifying in the regulatory text that this
criterion is to be evaluated based on the
need for new or modified technology or
design to meet the new or revised
standard regardless of the timing for
such changes.
Second, even under the current
circumstances, we find that Navistar has
needed to do substantial work to meet
the standard. This is the case whether
one considers the total amount of work
to go from the previous standard to the
MY2010 NOX standard, or whether one
only considers the amount of work to go
from the current status of its technology
to compliance with the MY2010
standard. See the discussion below
concerning the work conducted by
Navistar to date and expected in the
future.
We informed engine manufacturers in
2010 that we believed the first two
criteria had been met.7 We note that the
commenters now questioning whether
these criteria have been met did not
dispute our earlier view that we could
have set NCPs at that time had we
determined that a technological laggard
was likely to develop. At that point,
EPA was clear that the reason we were
not establishing NCPs at that time was
because we had not determined that a
7 ‘‘Nonconformance Penalties for Heavy-Duty
Diesel Engines in 2010 Model Year’’, Letter from
Karl J. Simon, Director, EPA Compliance and
Innovative Strategies Division, February 22, 2010.
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technological laggard was likely to
develop.
C. Third Criterion—Whether There Is
Likely To Be a Technological Laggard
Under the third criterion, EPA
considers all of the circumstances to
determine whether there is likely to be
a technological laggard. In the 1985
generic rule EPA indicated that:
Third, EPA must find that there is likely
to be a technological laggard. Even when a
standard becomes more stringent (or there is
an adverse effect on a previously attainable
standard), and even when manufacturers
must perform substantial work, all
manufacturers may still be able to meet the
more stringent standard. For instance,
compliance with a standard may involve
merely the transference of technology from a
similar application. Thus, EPA must make a
determination whether the circumstances
will likely give rise to a laggard.50 FR 9204,
9206 (March 6, 1985).
One of the concepts underlying a
technological laggard is that a
manufacturer faced with a new or
revised standard, especially one that is
technology forcing, will direct
substantial resources and effort to
develop and employ technology aimed
at achieving compliance with the more
stringent standard. Whether the
manufacturer develops and employs the
same or different technology than other
manufacturers, there is a possibility that
such a manufacturer will be temporarily
unable to achieve the emissions
standard in the lead time provided
based on technological reasons. Instead
of refusing to certify the manufacturer’s
engines, and driving them out of the
market, the NCP program is specifically
designed to provide a temporary path
for certification until the remaining
technological issues are resolved and
the manufacturer achieves the standard.
50 FR 9204 (March 6,1985). The third
criterion is designed to implement this
concept, based on EPA’s evaluation of
all of the circumstances.
In this case, all of the circumstances
indicate that there is more than a
likelihood that there is an engine
manufacturer that has not yet achieved
the MY2010 NOX standard for
technological reasons—we have
determined that Navistar is in fact such
a manufacturer. Unlike the rest of the
industry, Navistar attempted to comply
without SCR to reduce NOX emissions.8
However, to date Navistar has not
succeeded in reaching the 0.20 g/bhp-hr
emission level. At this time, the only
engine families Navistar has certified
since the MY2010 standard took effect
8 This technology is based on internal engine
controls and advanced exhaust gas recirculation
technology.
PO 00000
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have used advanced EGR technology,
and have been certified based on either
banked emission credits or on Navistar’s
payment of the interim NCPs. Navistar
does not have sufficient credits to cover
its entire model year 2012 production
without NCPs. Navistar has
acknowledged in its public comments
on this rule that it is effectively a
technological laggard. On July 6, 2012,
Navistar announced that it has begun
the process of redesigning its trucks to
use SCR engines in addition to their incylinder emission control technology.
Navistar expects the SCR engines to be
available beginning in early 2013. We
have determined that Navistar will need
access to NCPs to lawfully produce
engines during this multi-month
transition process.
Several commenters noted that
Navistar cannot be a technological
laggard as it has applied for certification
of an engine family using this
technology, seeking a certificate for a
0.20 g/bhp-hr engine that complies
without the use of credits. However,
Navistar has withdrawn that application
based on EPA concerns that the engine
design (with its current hardware) does
not meet the 0.20 g/bhp-hr NOX
standard.
While Navistar has announced that it
will switch to SCR-based emission
controls, we have determined that the
work needed for Navistar to redesign all
of its U.S. engines and vehicles for its
announced alternate compliance path
based on SCR cannot be completed
immediately. Thus, Navistar will need
NCPs during this transition period.
These limitations are technological
rather than economic in nature. Among
the steps Navistar must complete, it
must:
• Select an SCR system design
• Make arrangements with component
suppliers
• Validate components
• Recalibrate its engine to work with the SCR
system
• Redesign it trucks to fit the SCR hardware
• Complete its emission testing and
durability testing for certification
• Obtain EPA approval for the new engineSCR system
We do not have a precise estimate of
how long this will take for Navistar’s
entire U.S. production of heavy heavyduty diesel engines and associated
vehicles. However, based on our
experience and knowledge of this
industry, this type of technology
introduction is not finished in a one or
two month period. Navistar has
acknowledged as much in their July 6,
2012 announcement, which stated they
will begin making the new technology
products available in early 2013.
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Several commenters argued Navistar
voluntarily chose a different technology
path than other manufacturers, and
could have complied in the lead time
provided if it had developed and
employed SCR technology from the
beginning. Since Navistar chose what
the commenters consider to be the
wrong technology path, they argue it is
a laggard based on its own business
decision and not technological
limitations. They stated that NCPs
should not be established under these
circumstances. We generally would
agree with commenters’ assertions that
Navistar presumably could have chosen
the same SCR technology path as other
manufacturers some time ago, and
presumably could have already
achieved compliance with the MY2010
standard in the same timeframe they
did. If that had occurred, there would be
no basis for establishing NCPs.
However, we disagree with commenters’
conclusions that NCPs should not be
established based on this difference in
choice of technology pathway.
Navistar made a decision to attempt to
meet the emission standard using a
different technology path, without SCR.
As with most of EPA’s mobile source
emissions standards, the MY2010
emission standard is a performance
standard, and does not specify what
technology must be used or require that
all manufacturers use the same
technology. Commenters’ approach
would penalize a manufacturer who
attempts to innovate and develop a
technology pathway different from its
competitors. This would effectively
discourage technological innovation by
requiring all manufacturers to use the
same technology once one manufacturer
has met the standard using that
technology. Otherwise they would risk
being driven from the market as no
NCPs would be established. Such an
interpretation would undercut the
purpose of technology forcing
standards—to adopt standards where
manufacturers may have to develop
advanced technology or technology that
is at the cutting edge of emissions
control. This interpretation would
suppress technological innovation out
of fear that a wrong technological choice
will lead to having to leave a market
without the temporary benefit of NCPs.
This approach would also ignore the
premise of promulgating NCPs, which is
that they are appropriate when one or
more manufacturers have not met the
standard, while one or more others
have. Whether the laggard is not able to
achieve compliance because of a
technological hurdle in developing the
same or different technology as their
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competitors, the result is the same—
they risk being removed from the market
based on technological issues, if NCPs
are not established. EPA does not see a
valid basis for drawing such a
distinction between technology
pathways in deciding whether there is
likely to be a technological laggard.
As discussed later, in Section V. on
the penalty rate, the provision of NCPs
is only a temporary solution for the
noncomplying technological laggard.
The first-year penalty rate is designed to
remove the economic disadvantage for
the complying manufacturers,
preventing harm to the competitors. The
NCP rate also increases over time, such
that in a short period of time the
noncomplying manufacturer needs to
achieve compliance or the increasing
penalty rate will in effect drive it from
the market. Since the NCP protects a
complying manufacturer from a
competitive disadvantage irrespective of
the technology path chosen by its
competitor, it is appropriate that EPA
not draw a distinction based on whether
the technological laggard chose the
same or a different technology path than
the complying manufacturers. This
helps to preserve the nature of EPA’s
standards as technology forcing
performance standards that promote
technological innovation across this
sector of industry.
Having made its decision to pursue a
non-SCR technology to meet the
standards, Navistar has not been able to
produce engines that have been certified
to meet the 0.020 standard without
credits. The evidence is clear that
Navistar chose to develop a different
technological solution than other
manufacturers, and that technological
issues concerning this solution have
delayed Navistar’s ability to meet the
standard. It is for this technological
reason that Navistar cannot meet the
standard, not for economic reasons.
D. Issues Raised by the DC Circuit Court
of Appeals
As noted above, in Mack Trucks, et al.
v. EPA, No. 12–1077 (DC Cir), the court
included comments in its opinion, in
dicta, concerning the appropriateness of
NCPs under the circumstances
presented in the Interim Final Rule. The
court stated that:
We do recognize the pending final rule
means our vacatur of the IFR on these
procedural grounds will be of limited
practical impact. Before the ink is dry on that
final rule, we offer two observations about
the parameters of this rulemaking. First,
NCPs are meant to be a temporary bridge to
compliance for manufacturers that have
‘‘made every effort to comply.’’ United States
v. Caterpillar, Inc., 227 F. Supp. 2d 73, 88
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54391
(D.D.C. 2002). As EPA itself has explained,
NCPs are not designed to bail out
manufacturers that voluntarily choose, for
whatever reason, not to adopt an existing,
compliant technology. See 77 Fed. Reg.
4,736, 4,739 (Jan. 31, 2012) (‘‘NCPs have
always been intended for manufacturers that
cannot meet an emission standard for
technological reasons rather than
manufacturers choosing not to comply.’’); 50
Fed. Reg. 35,402, 35,403 (Aug. 30, 1985)
(stating that NCPs are inappropriate ‘‘if many
manufacturers’ vehicles/engines were already
meeting the revised standard or could do so
with relatively minor calibration changes or
modifications’’). Based solely on what EPA
has offered in the IFR, it at least appears to
us that NCPs are likely inappropriate in this
case.9
The court noted that NCPs are
intended to be a temporary bridge to
compliance for manufacturers who have
‘‘made every effort to comply’’ and are
not designed for manufacturers that
voluntarily choose, for whatever reason,
not to adopt an existing, compliant
technology. EPA agrees with these
general concepts, but they do not apply
in this case. The court’s comments
concern the issue of whether substantial
work is needed to achieve compliance
with the MY2010 NOX standard, and
whether Navistar is properly considered
likely to be a technological laggard in
achieving compliance with this
standard in light of the technology
pathway it chose. Based on all of the
circumstances before EPA, it is
reasonable to determine that Navistar
has made every effort to comply, for the
technology pathway it chose. The need
for NCPs is based on the failure to
achieve the emissions standards using
this technology. This failure is based on
technological reasons, and not other
reasons.
The court’s statement that NCPs were
intended for manufacturers that ‘‘made
every effort to comply’’ (United States v.
Caterpillar, Inc., 227 F. Supp. 2d 73, 88
(D.D.C. 2002)) was made in a different
context and does not apply here. This
comment was in response to a
suggestion from Caterpillar in that
earlier case that the consent decree at
issue should have been interpreted in a
certain way (or modified) as EPA failed
to issue an NCP rule with enough lead
time. Caterpillar argued that it was
harmed by this delay because the
purpose of the NCPs was to allow a
manufacturer to weigh the costs of
compliance against the costs of paying
NCPs. The court rejected this view, as
it would allow ‘‘engine manufacturers
* * * to calibrate the intensity of their
compliance efforts to the NCP for each
new standard, allowing them to opt for
9 Id.,
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noncompliance when compliance
becomes more expensive than the NCP.
This kind of second-guessing, however,
was clearly not Congress’ intent in
providing for NCPs.’’ 227 F.Supp. at 88.
The court noted that ‘‘[i]nstead, NCPs
were intended to give a manufacturer
that has made every effort to comply,
but has been unable to achieve
compliance, a chance to continue to
participate in the market. Thus, NCPs
serve their purpose even if promulgated
after a company has made its engine
design decisions, since those decisions
should be based on whether compliance
can be achieved, not on whether
compliance is less expensive than
paying NCPs.’’ Id. at 88–89.
In that context, it is clear that the
court’s prior statement addressed the
claim that a manufacturer should be
able to base their engine design
decisions on the availability of NCPs,
weighing which costs more and
deciding based on this whether to
pursue a technology pathway to
compliance or pay NCPs. The court
made clear that providing this kind of
economic choice on compliance is not
the purpose of an NCP. The court
specifically noted that NCPs are
appropriate in a case where the failure
to achieve compliance is based on
technological concerns encountered
along the path to achieving
compliance—that is, in circumstances
like those in this current rulemaking.
The court’s statement was not related
to whether, evaluating in retrospect at
the point an NCP is established, a
manufacturer had made every effort to
comply prior to adoption of the NCPs.
Navistar chose to pursue an engine
emissions control design that is nonSCR based several years before NCPs
were proposed. NCPs would be used by
Navistar while it addresses the
technology-based hurdles it now faces
in switching to SCR controls. It faces
these technology hurdles now as a result
of the technology pathway it chose years
before the NCP was adopted. The NCPs
would not be used, as Caterpillar asked
the court to allow in the earlier case, to
decide what technology path to follow
and how hard to pursue it based on the
economics of the cost of NCPs. In this
case, Navistar made considerable efforts
to develop and employ the non-SCR
technology. Its choice of technological
pathway to compliance was not based
on weighing the costs of compliance
with the cost of NCPs. The court’s
concerns in Caterpillar are not
applicable to the facts in this NCP
rulemaking.
The court also quoted from the
generic 1985 rulemaking, noting that
NCPs would not be appropriate if
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‘‘many manufacturers were already
meeting the standard, or could do so
with relatively minor calibration
changes or modifications.’’ This
language from the 1985 rulemaking
refers to the second criterion, whether
substantial work is required to achieve
compliance with the more stringent new
or revised standard. As discussed above,
this is based on all of the work that must
be done to move from the previous
standard to the more stringent new or
revised standard. This criterion is to be
evaluated based on actual work needed
to go from meeting the previous
standard to meeting the current
standard, regardless of the timing of
such changes. Based on this, the amount
of work remaining to be done when the
NCP rulemaking occurs is not relevant
to the second criterion. Likewise,
whether some manufacturers have
already achieved compliance at the time
of the NCP rulemaking is also not
relevant to determining whether the
second criterion has been met. As noted
above, it is not unexpected that at the
time of this NCP rulemaking that ‘‘many
manufacturers’ vehicles/engines were
already meeting the revised standard or
could do so with relatively minor
calibration changes or modifications.’’
However, rejecting NCPs solely because
some manufacturers have achieved or
are on a path to achieve compliance,
while one or more other manufacturers
are not in the same position, would
prevent lagging manufacturers from
certifying in exactly those
circumstances Congress contemplated
providing for NCPs—some
manufacturers are able to achieve
compliance in the lead time provided,
but for technological reasons others are
not. NCPs are designed to address just
this situation, to temporarily avoid
driving these manufactories out of the
market. 50 FR 35374 (August 30,1985).
Clearly, in this case, substantial work
was required to meet the 0.20 g/bhp-hr
standard. Every manufacturer has
included (or will soon include) for the
first time NOX aftertreatment (selective
catalytic reduction), on their engines to
meet the standard. Prior to deciding to
change its technology approach,
Navistar also greatly modified its
exhaust gas recirculation (EGR) system
to reduce NOX emissions and would
likely have needed to do significantly
more work to further reduce its NOX
emissions to meet the standard. These
are substantial changes to the emission
control systems of these engines. While
several manufacturers are currently
using SCR systems, they were not doing
so until they were required to meet the
2010 NOX standard. Therefore, it is clear
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that substantial work was needed to go
from the previous standard to achieve
compliance with the 2010 NOX
standard, and the second criterion is
satisfied.
The court also noted that NCPs are
not intended in a situation where the
failure to achieve compliance is not
related to technological reasons, but to
a manufacturer’s choosing to not
employ an available complying
technology. As discussed above, EPA
agrees that the basis for establishing
NCPs must be a technological based
laggard. The reasons for not achieving
the emissions standard in the lead time
provided must be based on a
technological failure in developing and
employing the chosen technology
pathway. The court refers to a statement
made by EPA when discussing the
relationship between NCPs for the 2010
NOX standard and credits for the CO2
emissions standards adopted for heavyduty engines and trucks.10 77 FR 4739
(January 31, 2012). EPA stated it was not
providing NCPs for the new CO2
emissions standard as it was not in a
position to determine that a
technological laggard was likely to
develop for that CO2 standard. In that
context, EPA also determined that an
engine that was certified to the 2010
NOX standard using NCPs should not be
able to generate credits at the same time
under the CO2 emissions standards. EPA
recognized that there was an interplay
between NOX control and CO2 control,
such that higher levels of NOX could
lead to lower levels of CO2 emissions.
Under those circumstances, providing
credits for the CO2 program could
provide an incentive for a manufacturer
to increase NOX emissions but still
certify an engine using NCPs, where
they could otherwise achieve the NOX
standard without NCPs. That
manufacturer could then generate
credits under the CO2 program for the
decrease in CO2 emissions resulting
from the increase in NOX emissions.
Thus, the manufacturer would be
choosing to not comply with a standard
for which it was technologically capable
of complying, and would be doing so to
generate emission credits that would
provide it some advantage in the future.
This would not be consistent with either
the purpose of the CO2 credit program
(to provide an incentive for
manufacturers to take technological and
other efforts to over comply with the
CO2 standard) or the purpose of the NCP
program (to provide relief to
10 EPA stated ‘‘NCPs have always been intended
for manufacturers that cannot meet an emission
standard for technological reasons rather than
manufacturers choosing not to comply.’’
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manufacturers that fail to achieve the
standard on time for technological
reasons, not for other reasons such as
the economic benefit of generating CO2
credits by voluntarily increasing
emissions of NOX).
EPA’s observation in the proposal
confirmed that the basic purpose of
NCPs is to provide relief where there is
a laggard for technological reasons, not
other reasons. The concerns raised
regarding CO2 credits and NOX NCPs are
not related to our finding that Navistar
is a technological laggard. No one argues
that Navistar has failed to achieve a
technological solution because of a
decision to generate credits or reap
economic benefits elsewhere. Instead
Navistar’s failure to achieve the
standard as of this date is based on
technological and not other reasons.
This is similar to the circumstances in
2002 when Caterpillar developed its
‘‘ACERT’’ technology rather than use
cooled EGR technology, which it had
been developing until 2001. It needed to
use NCPs because of delays in
developing ACERT. In that case,
Caterpillar did not dispute that cooledEGR would achieve the necessary
emission reductions; rather it chose to
attempt to meet the standard using what
it believed to be a superior technology.
The court also noted its concern with
the level of the penalty in the Interim
Final Rule, and whether it adequately
removed the economic disadvantage to
conforming manufacturers. That issue is
addressed in Section V. below.
V. Penalty Rates
This rulemaking is the most recent in
a series of NCP rulemakings. These are
referred to as Phases and are referenced
below.11 The discussions of penalty
rates and related reports and analyses in
those rulemakings are incorporated by
reference. This section briefly reviews
the penalty rate formula originally
promulgated in the Phase I rule
(currently found at 40 CFR 86.1113–87)
and discusses how EPA arrived at the
penalty rates in this Final Rule.
The penalty rates being established in
this rule rely on the existing NCP
regulatory structure. Only a few changes
are being made to the regulations. As
proposed, we are setting of the upper
limit at 0.50 g/hp-hr and are clarifying
in § 86.1104–91 that EPA may set the
upper limit at: (1) a level below the
previous standard if we determine that
11 The previous NCP rules include: the Phase VI
rulemaking (67 FR 51464, August 8, 2002), Phase
IV rulemaking (58 FR 68532, December 28, 1993),
Phase III rulemaking (55 FR 46622, November 5,
1990), the Phase II rulemaking (50 FR 53454,
December 31, 1985) as well as the Phase I
rulemaking (50 FR 35374, August 30, 1985).
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the lower level is achievable by all
engines, or (2) a level above the
previous standard if we determine that
the standard is not achievable by all
engines. We also proposed cost
parameters to reflect the compliance
costs for the 2010 standards and are
finalizing these cost parameters, after
revising them based on comments.
Finally, in response to comments, we
are clarifying that the second NCP
criterion is to be evaluated without
regard to the specific timing of the NCP
rule.
We received many comments
supporting higher or lower penalties for
a variety of reasons. However, the most
important criteria in evaluating the
penalties are how they conform to the
statutory requirements and how they
conform to the regulatory requirements.
With respect to the statutory
requirements for the penalties in the
first year, we note that the purpose of
adopting NCPs is to allow a
noncompliant manufacturer to continue
selling its engines, provided it pays the
penalty. However, section 206(g) of the
Clean Air Act directs EPA to set the
NCPs at a level that will ‘‘remove any
competitive disadvantage’’ to complying
manufacturers. Contrary, to what some
commenters suggested, this first year
penalty level is not intended to punish
the noncomplying manufacturer beyond
the level needed to remove any
competitive disadvantage for complying
manufacturers.
EPA has also set regulatory
requirements for penalty levels. Most
significantly, the regulations require
that penalties be based on total
incremental costs of compliance relative
to engines at the upper limit, which we
have done. In the first NCP rule, it was
determined that compliance cost
differences between engines at the
upper limit and engines at the standard
would be appropriate measures of the
competitive disadvantage for complying
manufacturers.12 We believe that the
final NCPs being established conform to
both the regulatory requirements and
the statutory requirements.
The NCP rates being adopted in this
FRM are specified for model year 2012.
As required by section 206(g) of the Act,
the existing regulations include a
formula that increases (or ‘‘escalates’’)
the penalty rates with each new model
year. The purpose of the escalator is to
provide an incentive for manufacturers
who use NCPs for more than one model
12 While we have followed the regulatory formula
for determining penalties for this rule, it should be
noted that if we were to find that conforming to the
regulatory requirements would not conform to the
statutory requirements, we would need to revise the
regulatory requirements through rulemaking.
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year to achieve compliance quickly
rather than continuing to use NCPs for
multiple model years.
As proposed, we will apply this
annual adjustment formula to the NCPs
by setting the 2012 model year as year
number one. This is consistent with the
existing regulatory text that states that
year one is the first year that NCPs are
available (see 40 CFR 1113–87(a)(4)).
Traditionally, when NCPs are adopted,
they are available the first model year
the new or revised emission standard
applies and there is no question about
which model year should be year one
for purposes of the annual escalator.
However, this is less straightforward for
this NCP rule. First, the 0.20 g/bhp-hr
first applied beginning in the 2007
model year, as part of a phase-in, but
did not take full effect until MY2010. In
addition, we are adopting NCPs more
than two model years later. While we
received comments supporting setting
2010 as the base year, we continue to
believe the 2012 model year is the
correct year for the first year of the
escalator calculation. As discussed
further in the Response to Comments
document, we are not revising the
regulatory text that specifies that year
one is the first year that NCPs are
available. Using the first year of NCP
availability as the first year for the
escalator calculation, the initial NCPs
(i.e., NCPs during the first model year of
availability) remove the disadvantage
for the complying manufacturers, as
Congress intended. Under this
approach, the escalator would apply
staring in MY2013, the earliest that any
manufacturers could be using NCPs for
more than one model year. This ties the
initiation of the escalator, and the start
of the economic incentive it provides, to
the first year in which circumstances
that call for such an incentive can
exist—the second year of availability.
MY2013 is the first year any
manufacturer could use this NCP for
multiple years. Adding an extra penalty
equivalent to two years of escalation is
contrary to the intent for this escalation.
No manufacturer had access to NCPs
prior to 2012, and requiring an escalator
based on the two previous years of the
standard would treat a manufacturer
who uses NCPs in either 2012 or 2013
as if they had already used NCPs for
several more years than the actual
usage. The additional escalator and
related additional incentive is more
than is needed to meet the objective of
the escalator provision, and therefore is
consistent with the purpose of the
escalator provision.
We are specifying the NCP formula
using the normal NCP parameters:
COC50, COC90, MC50, F, and UL. The
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NCP formula is the same as that
promulgated in the Phase I rule. As was
done in previous NCP rules, we
consider incremental manufacturer
costs and incremental owner costs (for
complying engines relative to the upper
limit), but do not consider certification
costs because both complying and
noncomplying manufacturers must
incur certification costs. COC50 is an
estimate of the industry-wide average
incremental cost per engine (references
to engines are intended to include
vehicles as well) associated with
meeting the standard for which an NCP
is established, compared with meeting
the upper limit. COC90 is an estimate of
the 90th percentile incremental cost per
engine associated with meeting the
standard for which an NCP is
established, compared with meeting the
associated upper limit. Conceptually,
COC50 represents costs for a typical or
average manufacturer, while COC90
represents costs for the manufacturers
with the highest compliance costs.
MC50 is an estimate of the industrywide average marginal cost of
compliance per unit of reduced
pollutant associated with the least cost
effective emission control technology
installed to meet the new standard.
MC50 is measured in dollars per g/bhphr for heavy-duty engines. F is a factor
used to derive MC90, the 90th percentile
marginal cost of compliance with the
NCP standard for engines in the NCP
category. MC90 defines the slope of the
penalty rate curve near the standard and
is equal to MC50 multiplied by F. UL is
the upper limit above which no engine
may be certified.
The derivation of the cost parameters
is described in a support document
titled ‘‘Technical Support Document:
Nonconformance Penalties for 2012 and
later Highway Heavy-Duty Diesel
Engines’’ (Technical Support
Document), which is available in the
public docket for this rulemaking. All
costs are presented in 2011 dollars. The
Technical Support Document also
includes alternative cost analyses that
were considered. These alternative
analyses are discussed in Section V.D of
this preamble.
A. Upper Limit
The upper limit (UL) is the emission
level established by regulation above
which NCPs are not available. A heavy
duty engine cannot use NCPs to be
certified for a level above the upper
limit. CAA section 206(g)(2) refers to the
upper limit as a percentage above the
emission standard, set by regulation,
that corresponds to an emission level
EPA determines to be ‘‘practicable.’’ The
upper limit is an important aspect of the
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NCP regulations not only because it
establishes an emission level above
which no engine may be certified using
NCPs, but it is also a critical component
of the cost analysis used to develop the
penalty rates. The regulations specify
that the relevant costs for determining
the COC50 and the COC90 factors are the
difference between an engine at the
upper limit and one that meets the
applicable standards (see 40 CFR
86.1113–87).
The regulatory approach adopted
under the prior NCP rules sets the upper
limit at the prior emission standard
when a prior emission standard exists
and is then changed to become more
stringent. EPA concluded that this
upper limit should be reasonably
achievable by all manufacturers with
engines or vehicles in the relevant class.
It should be within reach of all
manufacturers of HDEs or HDVs that are
currently allowed so that they can
continue to sell their engines and
vehicles while finishing their
development of fully complying
engines. A manufacturer of a previously
certified engine or vehicle should not be
forced to immediately remove an HDE
or HDV from the market when an
emission standard becomes more
stringent. The prior emissions standard
generally meets these goals because
manufactures have already certified
their vehicles to that standard.
In the NPRM, we proposed to revise
the regulations in § 86.1104–91 to
clarify that EPA may set the upper limit
at a level below the previous standard
if we determine that the lower level is
achievable by all engines or vehicles in
the relevant subclass. That provision of
the regulations was not opposed by any
commenters and is included in this final
rule. We are also finalizing the upper
limit at 0.50 g/bhp-hr, which was
widely supported by commenters. For
this rule, all manufacturers are currently
certifying all of their engines at or below
the 0.50 g/bhp-hr FEL cap, providing
clear evidence that this level can be met
by all manufacturers. The reason EPA
has rejected past suggestions that the
upper limit should be more stringent
than the prior emission standard does
not apply here, as there is no difficulty
in this case in identifying a limit that
could be met by all manufacturers. See
50 FR 35377 (August 30, 1985). Thus,
setting the upper limit for this NCP rule
at 0.50 g/bhp-hr NOX conforms to the
purpose of the upper limit in setting
NCPs.
As proposed, we are also specifying
that EPA could set the upper limit at a
level above the previous standard in
unusual circumstances, such as where a
new standard for a different pollutant or
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other requirement effectively increases
the stringency of the standard for which
NCPs would apply. This occurred for
heavy heavy-duty engines with the 2004
standards. While this change would not
apply for this current NCP rulemaking,
we proposed to add this clarification to
make the regulations consistent with
past practices.
B. Cost Parameter Values
The regulations being adopted specify
that the values in Table 1 be used in the
NCP formula for the 2012 and later
model year NOX standard of 0.20 g/bhphr for heavy heavy-duty diesel engines.
The basis is summarized here. The
complete derivation of these parameters
and a discussion of other approaches
that were considered are described in
the Technical Support Document for
this rulemaking.
TABLE 1—NCP CALCULATION
PARAMETERS
Parameter
Heavy heavy-duty
diesel engines
COC50 .......................
COC90 .......................
MC50 .........................
F ................................
UL .............................
3,219
$3,775
$10,729 per g/bhp-hr
1.173
0.50 g/bhp-hr
Some commenters argued that EPA
should not deviate from prior
precedents for calculating costs.
However, EPA has not used the same
methodology in calculating costs in
each of the previous NCP rules. In each
of our six previous NCP rulemakings,
we estimated costs using a methodology
appropriate for the specific
circumstances that applied at the time.
None were approached in exactly the
same way. In each case we considered
key factors such as differences in
calibration, hardware, and operating
costs, but there have been some NCP
calculations where other potential
individual cost or cost saving elements
have been included or excluded for
various reasons. In determining how to
calculate costs of compliance, EPA
considers not only what data are
available, but also the extent to which
each cost element may affect the
competitive balance of the market.
The NCP parameters being finalized
were developed using the same basic
methodology described in the NPRM.
As in all NCP rules, the final NCPs are
based on the estimated difference in
compliance costs for engines at the
upper limit and engines at the standard.
Thus, engines with emissions at the
upper limit can be considered to be
baseline engines for the analysis. These
baseline engines also represent the
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engines against which complying
engines could compete in the
marketplace. In this analysis, the most
important baseline engine is the engine
used as the baseline for calculating the
nominally worst case compliance costs
(COC90). As is described later, because
the penalty curve being finalized in this
NCP rule is a straight line, the value of
COC50 does not affect the penalty curve.
The cost parameters being finalized
are higher than the values proposed.
These changes reflect new information
received during the public comment
period, most notably new updated
information about fuel and DEF prices
that was not available at the time we
completed the cost analysis for the
proposal. EPA also received comments
suggesting that the effectiveness of the
heavy heavy-duty NCPs in meeting the
statutory requirement to remove
competitive disadvantage for complying
manufacturer needs to be evaluated
relative to engines that could be
developed in the near term (such as a
reoptimized SCR engine). In response to
these comments and the new
information received, EPA is revising
the COC90 baseline engine because we
believe that the revised baseline engine
better represents an optimized engine
than the baseline engine used for the
proposal. These changes are discussed
in more detail below.
The Clean Air Act’s requirements to
‘‘remove any competitive disadvantage’’
to complying manufacturers effectively
requires EPA to consider not only
existing engines with NOX emissions
over the standard, but also engines that
could reasonably be developed during
the period in which NCPs are available.
Thus, the NCPs must be high enough to
protect complying manufacturers from a
competitive disadvantage relative both
to SCR engines that are optimized to
emit NOX at a level of 0.50 g/bhp-hr and
to engines without SCR that emit at that
level. We considered several
methodologies for estimating the
incremental compliance costs between
the upper limit and the standard and
selected the approach that best removes
the potential competitive disadvantage
for complying manufacturers. See
Section V. D. for additional discussion
of these alternate approaches.
It is important to note that while we
received comments stating that the level
of our proposed NCP was not high
enough to remove the competitive
advantage Navistar has selling non-SCR
engines, none of the commenters
provided evidence that this was the case
(such as evidence of increased market
share or increased profits for Navistar).
None of the commenters provided any
method by which the value of Navistar’s
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(1) General Methodology
Our approach to estimating
compliance costs differs slightly from
that used in recent NCP rules, where
EPA based the NCPs directly on the
actual compliance cost increases
associated with meeting the standard for
complying manufacturers (borne by the
complying manufacturers and the
operators who purchase their compliant
engines), whether provided by the
manufacturers or estimated by EPA.
This was appropriate in those prior
rules because each of the manufacturers
had actually produced engines at the
upper limit (which was usually the
previous emission standard) and had
reengineered those engines to meet the
new or revised standard, so the costs
associated with that change were
straightforward to calculate. We
determined that the manufacturers’
input accurately reflected the
manufacturers’ actual costs because the
costs were derived directly from actual
in-production engine information. In the
case of this NCP rule, however,
compliant manufacturers have generally
not designed and optimized their inproduction engines for the U.S. market
at 0.50 g/bhp-hr NOX (the upper limit)
and then reengineered their engines to
meet the 0.20 g/bhp-hr standard.13
Thus, a compliance cost estimate based
directly on actual experience for the full
range of in-production engines was not
available for this NCP rule.
Instead of averaging actual cost
increases relative to the upper limit
(because none were available), the NCP
penalty formulas for this rule are based
primarily on EPA’s estimate of the cost
difference between a hypothetical
engine emitting at the upper limit (the
‘‘baseline engine’’) and one emitting at
the standard (the ‘‘compliant engine’’).
We received compliance cost
information from several engine
manufacturers, both before the proposal
and during the comment period, and
used that information to inform our own
analysis of compliance costs, as
described in the Technical Support
Document.
It is worth noting that each of the
engine manufacturers that provided cost
information before the proposal
considered baseline engines with
different technology packages. However
in their comments on the proposal,
complying manufacturers based their
compliance costs on either a baseline
engine equipped with similar hardware
as EPA’s revised baseline engine, or
based on a pre-2010 non-SCR engine
with NOX emissions near 1.2 g/bhp-hr.
See Section V. D. of this notice for a
discussion of why using the 1.2 g/bhphr baseline engine is not appropriate.
As noted earlier, with NCPs available,
a complying manufacturer could
compete against not only EGR-equipped
engines, but also against SCR-equipped
engines that could be reoptimized to
emit at 0.50 g/hr-hr. Since engine
manufacturers are not currently
producing SCR-equipped heavy heavyduty engines at the upper limit, such
engines must be considered based on
our best estimate of how such an engine
would be manufactured. Based on our
review of the various hypothetical
baseline engine designs, we proposed to
use as a baseline engine our best
estimate of an optimized SCR engine,
because we believed it would be the
most competitive 0.50 g/bhp-hr engine.
Information available at that time
projected little difference when
comparing fuel and DEF prices, so for
the proposal we assumed the baseline
engine would have been optimized to
use less DEF compared to 0.20 g/bhp-hr
engines but had the same fuel
consumption rates.14 We did not believe
there would be a significant difference
in costs using a baseline engine
optimized for better fuel consumption,
because we projected that fuel savings
would have been offset by increased
DEF costs. As is described in the
Technical Support Document, for the
proposal we also believed estimating
costs by this approach was the least
speculative method to determine
compliance costs, and we did not
believe there were competing designs
that were substantially more
competitive based on the compliance
cost inputs we used.
13 Note that Cummins is using emission credits to
certify one medium heavy-duty engine family with
a NOX FEL at 0.50 g/hp-hr. While costs associated
with this medium heavy-duty engine cannot be
used directly for heavy heavy-duty engines, as
described in the Final TSD, related confidential cost
information provided by Cummins was used to
significantly inform our cost analysis.
14 The proposal was based on the Energy
Information Administration’s 2011 fuel price
projections and the retail price of DEF in October
2011; this Final Rule is based on the Energy
Information Administration’s 2012 fuel price
projections and the DEF price projection from
Integer Research. See Chapter 3 of the Technical
Support Document for additional detail.
actual competitive advantage could be
calculated. Nevertheless, we have
determined based on the information
available to us that Navistar’s
competitive advantage is not greater
than the competitive advantage based
on compliance costs that we calculated
relative to the reoptimized SCR baseline
engine we have used as the basis of our
COC90 costs.
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designing engines for 0.50 g/bhp-hr NOX
would have responded (and could still
respond) to this price difference by
optimizing their existing 0.20 g/bhp-hr
SCR engine designs to have slightly
higher engine-out NOX, which would
reduce fuel consumption, and reduce
the excess NOX by increasing DEF
consumption. Thus compared to this
revised baseline engine, a compliant
engine would have higher fuel
consumption but lower DEF
consumption.
We are now projecting that DEF prices
will be at least one dollar less per gallon
than diesel fuel prices for the
foreseeable future (as shown in Figure
2), and the appropriate baseline engine
is one that would have been designed to
take advantage of this price difference.
We have updated our fuel price
projections using the Energy
Information Administration’s (EIA)
Annual Energy Outlook 2012
(AEO2012) to project fuel prices through
2035. EIA is now projecting diesel fuel
prices will be about fifty cents more per
gallon than was projected in 2011. We
have also revised our projection of DEF
prices based on information from
Integer Research provide by
commenters. While we proposed using
a constant DEF price through 2042
(because we did not have any
projections for future DEF prices at the
time we developed the proposal), we are
now projecting that DEF prices will fall
for the next few years, and then increase
as the price of natural gas increases
(using AEO2012 projections).15
The current baseline engine is similar,
but not identical, to what we proposed
with respect to hardware. As proposed,
the baseline engine technology package
would employ the same basic emission
controls used to meet the 2007 NOX and
PM emission standards (e.g. cooled
exhaust gas recirculation (EGR),
optimized turbo-charging, optimized
fuel injection, diesel particulate filters),
plus liquid urea based selective catalytic
reduction (SCR) NOX emissions control
technology with an appropriately sized
tank for the liquid urea (also known as
diesel emission fluid or ‘‘DEF’’).
However, we now believe the baseline
engine could have used less expensive
hardware than we proposed. We
continue to believe that manufacturers
could reduce the size of the SCR catalyst
if they were allowed to meet a higher
NOX emission limit. In addition, we
now believe that they could also reduce
the precious metal loading of the diesel
oxidation catalyst (DOC), and lower the
cost of the turbocharger. Thus, the
hardware component of the compliance
costs has gone up from what we
proposed (i.e., the cost of the hardware
on the baseline engine has gone down).
Further details are provided in this
rule’s Technical Support Document.
(a) Calculated Values
The most significant of the NCP
parameters is the 90th percentile costs
15 Natural gas is used in the production of urea,
a primary component of DEF.
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Based on new information and
comments we received, we are revising
our baseline engine for the heavy heavyduty service class. Specifically, as is
described below, we are revising the
COC90 baseline engine to be more
optimized for low fuel consumption at
0.50 g/bhp-hr NOX than was assumed
for the proposal. For the proposal, we
estimated that reducing NOX emissions
from 0.50 g/bhp-hr to 0.20 g/bhp-hr
would require an increase in DEF
consumption but would not change fuel
consumption because we projected that
there would be little price difference
between DEF and fuel. However, we
now have new information indicating
that fuel prices will likely be at least one
dollar per gallon higher than DEF prices
for the foreseeable future. We agree with
commenters that engine manufacturers
Federal Register / Vol. 77, No. 172 / Wednesday, September 5, 2012 / Rules and Regulations
of compliance, COC90, which defines
the penalty for engines emitting at the
upper limit. The value of COC50 is
important only when EPA estimates that
marginal compliance costs change as the
compliance level approaches the
standard. In such cases, COC50 defines
that point on the curve at which the
slope changes. However, for this NCP
rule we believe that because of the
narrow emission range between the
upper limit and the standard (0.20 to
0.50 g/bhp-hr), it is appropriate to
assume that marginal compliance costs
are constant. Thus, we are not
summarizing our derivation of COC50 in
this preamble since its value does not
affect the penalty amounts. See the
Technical Support Document for a
discussion of COC50.
We estimated COC90 by assuming the
baseline engine would have been an
SCR equipped engine with tailpipe NOX
emissions at 0.50 g/bhp-hr and that it
would have looked very similar to an
engine with tailpipe NOX emissions at
0.20 g/bhp-hr. However, as noted above,
the higher NOX emissions of the
baseline engine would allow the use of
less expensive hardware and would be
calibrated to minimize the combined
consumption of fuel and DEF. As
described in more detail in the
Technical Support Document, we
estimated reasonable 90th percentile (or
worst case) costs associated with
bringing such a baseline engine into full
compliance with the 0.20 g/bhp-hr NOX
emission standard.16 We note that the
average costs associated with SCR may
well be lower than the 90th percentile
costs presented here.
We estimate that the SCR hardware
used by a complying manufacturer (i.e.,
an SCR system that would achieve 0.20
g/bhp-hr NOX) cost the manufacturer
$5,522 per engine for the 90th percentile
engine compared to an engine emitting
at 1.2 g/bhp-hr. We estimate that the
baseline hardware (i.e., an engine and
SCR system that would achieve 0.50 but
not 0.20 g/bhp-hr NOX) for the 90th
percentile engine would have cost the
manufacturers only $4,441 (including
54397
R&D, warranty, and other overhead
costs) after hardware savings associated
with the DOC and turbocharger are
deducted. Therefore, the manufacturers
would have to spend $1,081 more in
hardware, R&D, warranty and other
overhead costs to produce a 0.20 g/bhphr engine than it would have cost to
produce a 0.50 g/bhp-hr engine. We
calculated the difference in operating
costs the same way.
These COC90 costs are summarized in
the Table 2. The values in the tables are
the costs that would be incurred by a
manufacturer or operator for a model
year 2012 0.20 g/bhp-hr engine relative
to a 0.50 g/bhp-hr baseline engine. All
operating costs are presented as net
present value (NPV) relative to 2012
using a 7 percent discount rate.17 For
example, we estimate that the NPV of
the lifetime fuel cost of a 0.20 g/bhp-hr
engine would be $8,833 higher than the
fuel cost for a baseline engine, but the
NPV of DEF costs would be $6,191
lower.
TABLE 2—COC90 DOLLAR-PER-ENGINE † COSTS
[2011 dollars]
FRM COC90
NPRM
COC90
Lifetime Fuel Costs ..........................................................................................................................................................
Lifetime DEF Costs (Savings) .........................................................................................................................................
Hardware Costs ...............................................................................................................................................................
Research and Development Cost ...................................................................................................................................
Warranty and Other Manufacturer Costs ........................................................................................................................
Operator Repair Costs .....................................................................................................................................................
$8,833
(6,191)
927
19
135
52
$0
1,374
474
9
62
0
Total Cost .................................................................................................................................................................
3,775
1,919
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† Although
penalties are accessed per engine, costs include vehicle costs.
We estimated the marginal costs of
compliance as being equal to the total
incremental costs of compliance divided
by 0.30 g/bhp-hr (the difference between
the upper limit and the standard). This
assumes that the cost to reduce
emissions from 0.30 g/bhp-hr to 0.20 g/
bhp-hr is not significantly different from
the cost to reduce emissions from 0.50
g/bhp-hr to 0.40 g/bhp-hr. This results
in a penalty curve that is a straight line,
which in turn makes our estimate of the
average cost of compliance irrelevant to
the calculation of the penalty. In other
words, the COC50 point lies directly
between zero cost at 0.20 g/bhp-hr and
COC90 at the Upper Limit of 0.50 g/bhphr NOX. The penalty paid for engines at
any compliance level between the
standard and the upper limit would be
equal to EPA’s estimate of the highest
marginal cost paid by a complying
manufacturer for the same emission
range.
16 The Act requires that we remove competitive
disadvantage for complying manufacturers. We
recognize that there is uncertainty in our estimates.
To ensure that we protect the complying
manufacturer our overall approach is somewhat
conservative. See the Technical Support Document
for additional discussion of how we addressed
uncertainty in our estimates.
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C. Resulting Penalties
The calculation parameters listed in
Table 1are used to calculate the penalty
rate. These parameters are used in the
penalty rate formulas which are defined
in the existing NCP regulations (See 40
CFR 86.1113(a)(1) and (2)). Using the
parameters in Table 1, and the equations
in the existing NCP regulations, we have
plotted penalty rates versus compliance
levels in Figure 1 above. This penalty
curve is for the first year of use of the
NCPs (i.e., the annual adjustment factors
specified in the existing NCP
regulations have been set equal to one).
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The maximum first year penalty is equal
to COC90, which is $3,775.
The Clean Air Act NCP provisions
require that the penalty be set at such
a level that it removes competitive
disadvantage for a complying
manufacturer. For the reasons described
in the Technical Support Document, we
believe that the NCPs being established
in this rulemaking fulfills this
requirement.
D. Consideration of Other
Methodologies
We received comments suggesting
how we should revise our estimated
costs, if we continued to use the
proposed methodology. Where
appropriate, we incorporated these
concepts into our final cost
17 Penalties are calculated based on costs for a
model year 2012 engine. The regulations include
separate provisions to increase penalties for later
model years.
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Federal Register / Vol. 77, No. 172 / Wednesday, September 5, 2012 / Rules and Regulations
methodology. We also received
comments arguing that we should
change our methodology. However, as
described in the Technical Support
Document, we determined that the other
methodologies were not appropriate.
Our primary methodology estimates
the difference in lifetime compliance
costs between a compliant 0.20 g/bhphr engine and a 0.50 g/bhp-hr engine
that we believe would have the greatest
competitive advantage over the
compliant engine. As noted earlier, we
believe that an SCR engine optimized
for 0.50 g/bhp-hr would have the
greatest competitive advantage over
compliant engines. Two of the other
approaches we considered would have
involved using non-SCR engines as the
baseline engines, as suggested by some
commenters. However, as described
below, we determined that these
approaches would not sufficiently
remove the potential competitive
advantage of an optimized SCR engine.
In the first approach we considered
using a 0.50 g/bhp-hr EGR engine (such
as the engines Navistar is currently
selling) as the baseline engine. This
option was supported by one
manufacturer during preproposal
discussion, but was not supported in
any comments on the NPRM.
Nevertheless, we evaluated this
approach to ensure that our
methodology is the most appropriate
one. Specifically, we estimated the
hardware and operating costs associated
with adding SCR to a non-SCR engine
to meet the 0.20 g/bhp-hr standard. As
is described in the Technical Support
Document, we estimated that there
would be significant hardware costs to
add SCR plus significant operating costs
for DEF consumption. However, these
would be mostly offset by the fuel
savings associated with SCR engines,
plus hardware savings from down-sizing
the EGR system. The combined effect
would be to make the costs of going
from the EGR engine to the compliant
engine lower than the costs of going
from the baseline SCR engine to the
compliant engine. Put another way, this
means that the cost savings of changing
from a compliant engine to an EGR-only
engine are smaller than the cost savings
of changing from a compliant engine to
the baseline SCR engine, indicating that
an EGR engine at 0.50 g/bhp-hr would
have a smaller competitive advantage
than the baseline engine we used to
develop the final NCPs. Moreover, this
means that NCPs based on this approach
would not remove the competitive
disadvantage to complying
manufacturers, where manufacturers of
optimized SCR engines could pay the
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lower NCP and still have a competitive
advantage over compliant engines.
In the second approach, we
considered setting an upper limit at 1.2
g/bhp-hr and including the full cost of
SCR as the compliance cost. As was true
for the previous approach, we estimated
that most of the hardware and DEF costs
would be offset by the fuel savings,
making the NCP at 0.50 g/bhp-hr lower
than our estimate of the competitive
advantage for SCR engines optimized for
0.50 g/bhp-hr. This means that setting
the upper limit at 1.2 and calculating
costs in this way would not remove the
competitive disadvantage for complying
manufacturers compared to a
manufacturer who optimized its SCR
engine for 0.50 g/bhp-hr NOX. Note that
while we evaluated this approach with
respect to costs and competitive
disadvantage, we think that there are
other reasons why it would not be
appropriate to set the upper limit at 1.2
g/bhp-hr. In particular, the upper limit
may not be set at a level that is higher
than the level that EPA determines is
practicable, which would be no higher
than 0.50 g/bhp-hr.
Finally, we considered other
scenarios in which the baseline engine
would have been an SCR engine that
was fundamentally redesigned to have
NOX emissions at 0.50 g/bhp-hr (rather
than reoptimizing an existing design).
For example, some manufacturers have
suggested that it would be possible to
redesign engines to meet 0.50 g/bhp-hr
without cooled EGR. This could result
in significant savings for hardware and
warranty costs. We determined that,
while it may well be technologically
possible to redesign current SCR
engines to meet 0.50 g/bhp-hr NOX with
significantly lower hardware costs, there
is no business scenario in which such
savings would justify paying an NCP.
Fundamentally redesigning an engine
would take a minimum of two years and
involve substantial capital costs. So a
manufacturer that began redesigning its
engines today could not expect to have
the new engine ready for production
before model year 2015. At that point,
the annual adjustments to the NCPs
would have increased the penalty
substantially. Moreover, using NCPs in
model year 2015 and later would result
in a rapidly increasing penalty due to
the annual adjustment factors, so a
manufacturer would need to recover all
of its investments within one or two
model years. However, this would
require the manufacturer to raise its
prices so much that it would make its
engines uncompetitive in the
marketplace.
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VI. Economic Impact
Because the use of NCPs is optional,
manufacturers have the flexibility and
will likely choose whether or not to use
NCPs based on their ability to comply
with emissions standards. If no
manufacturer elects to use NCPs, these
manufacturers and the users of their
products will not incur any additional
costs related to NCPs. NCPs remedy the
potential problem of having a
manufacturer forced out of the
marketplace due to that manufacturer’s
inability to conform to new, strict
emission standards in a timely manner.
Without NCPs, a manufacturer which
has difficulty certifying HDEs in
conformance with emission standards or
whose engines fail a Selective
Enforcement Audit (SEA) has only two
alternatives: fix the nonconforming
engines, perhaps at a prohibitive cost, or
prevent their introduction into
commerce. The availability of NCPs
provides manufacturers with a third
alternative: continue production and
introduce into commerce upon payment
of a penalty an engine that exceeds the
standard until an emission conformance
technique is developed. Therefore,
NCPs represent a regulatory mechanism
that allows affected manufacturers to
have increased flexibility. A decision to
use NCPs may be a manufacturer’s only
way to continue to introduce its
products into commerce.
VII. Environmental Impact
When evaluating the environmental
impact of this rule, one must keep in
mind that, under the Act, NCPs are a
consequence of enacting new, more
stringent emissions requirements for
heavy duty engines. Emission standards
are set at a level that most, but not
necessarily all, manufacturers can
achieve by the model year in which the
standard becomes effective. Following
International Harvester v. Ruckelshaus,
478 F. 2d 615 (DC Cir. 1973), Congress
realized the dilemma that technologyforcing standards could potentially
cause, and allowed manufacturers of
heavy-duty engines to certify
nonconforming vehicles/engines upon
the payment of an NCP, under certain
terms and conditions. This mechanism
was intended to allow manufacturer(s)
who cannot meet technology-forcing
standards immediately to continue to
manufacture nonconforming engines
while they tackle the technological
problems associated with meeting new
emission standard(s). Thus, as part of
the statutory structure to force
technological improvements without
driving manufacturers or individual
engine models out of the market, NCPs
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provide a flexibility that fosters longterm emissions improvement through
the setting of lower emission standards
at an earlier date than could otherwise
be feasible. Because NCPs are designed
to increase with time, manufacturers
using NCPs are likely to reduce
emission levels to meet the standard as
quickly as possible, which minimizes
the environmental impact.
As is always the case with NCPs, the
potential exists for there to be more
extensive use of NCPs beyond what is
projected at this time, where we project
use by one manufacturers for a limited
number of model years. For example,
depending upon the penalty rate and
other factors, some otherwise fully
compliant manufacturers could elect to
pay the NCP in order to reconfigure
their 0.20 g/bhp-hr NOX compliant
engines to emit up to 0.50 g/bhp-hr so
that they can re-optimize engine
hardware and vehicle operating costs.
This potential action is not without R&D
and other financial costs to the
manufacturer and thus is not a decision
which would be taken lightly.
Furthermore, we believe that any such
impacts would be short-term and selflimiting in nature because the NCP
annual adjustment factor, established
via prior NCP rules, increases the levels
of the penalties over time and based on
the extent of the use of NCPs by all
manufacturers. In other words the NCP
program is structured such that the
incentives to produce engines that meet
the standard increase year-by-year and
increase upon NCP use. The practical
impact of this adjustment factor is that
the NCPs will rapidly become an
undesirable option for all manufacturers
that may elect to use them. However,
while we expect their use to be limited,
we have no way of predicting at this
time exactly how many engines will
make use of the NCPs. Navistar has
indicated that it will use NCPs until
sometime in 2013, when it begins
introducing vehicles with SCR
technology that meet the 0.20 g/hp-hr
standard. Because of these uncertainties
we are unable to accurately quantify the
potential impact the NCPs might have
on emission inventories, although, as
stated above, any impacts are expected
to be short-term and self-limiting in
nature.
VIII. Emission Standards for Which We
Are Not Establishing NCPs in This Final
Rule
This section identifies the emission
standards for which we are not
establishing NCPs in this Final Rule.
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A. Medium Heavy Duty Diesel NOX
Standards
EPA proposed to find that the criteria
for providing NCPs had been met for
medium heavy duty diesel engines, and
we proposed NCPs for these engines.
However, EPA is not taking final action
with regard to NCPs for these engines at
this time because EPA has not
completed its review of the comments
and the technical data regarding
establishing NCPs for these engines. A
full discussion of compliance costs for
medium heavy-duty engines is
contained in Appendix C of the TSD for
this rule. Parties may provide comments
regarding these estimates by submitting
comments to the docket for this rule.
B. Light Heavy-Duty Diesel NOX
Standards
EPA believes that the first two NCP
criteria have been met for the 2010 NOX
standard for light heavy-duty diesel
engines. However, we have not
determined that there is likely to be a
technological laggard. We are unaware
of any manufacturer that will be unable
to either achieve 0.20 g/bhp-hr for the
2012 and 2013 model year or will not
have sufficient NOX emission credits to
continue certifying light heavy-duty
engines for the foreseeable future.
C. Heavy-Duty Gasoline Engine
Standards
In a final rule published on January
18, 2001 (66 FR 5001), EPA established
more stringent emission standards for
all heavy-duty gasoline (or ‘‘Otto-cycle’’)
vehicles and engines. These standards
took two forms: a chassis-based set of
standards for complete vehicles under
14,000 pounds GVWR (the chassisbased program), and an engine-based set
of standards for all other Otto-cycle
heavy-duty engines (the engine-based
program). Each of the two programs has
an associated averaging, banking, and
trading (ABT) program. The new
standards generally took effect starting
with the 2008 model year, and since all
manufacturers are in compliance with
them, the criteria for establishing NCPs
has not been met and we are not
establishing NCPs for gasoline engines
or vehicles.
D. Heavy-duty Diesel Engine NMHC,
CO, and PM Standards
EPA adopted new NMHC and PM for
model year 2007 and later heavy-duty
engines in the same rule that set the
2010 NOX emission standard (66 FR
5001, January 18, 2001). The CO
standard was not changed. We are not
establishing NCPs for any of these other
standards because all manufacturers are
already fully compliant with them.
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54399
E. Heavy-duty CO2 Standards
In a final rule published on
September 15, 2011 (76 FR 57106), EPA
established new CO2 emission standards
for all heavy-duty vehicles and engines.
We are not considering NCPs for any of
these standards at this time because we
currently do not have a basis to
conclude that a technological laggard is
likely to develop.
As proposed, we are adding a new
regulatory provision related to these
CO2 emission standards. The provision
prohibits generating emission credits for
CO2 or any other pollutant from engines
paying NCPs for NOX. Given the general
tradeoff between CO2 and NOX
emissions, we were concerned that a
manufacturer capable of meeting the
0.20 g/bhp-hr NOX emission standard
could choose to pay an NCP in order to
generate CO2 credits by recalibrating its
engines for higher NOX emissions and
lower CO2. There are two reasons this
would be inappropriate. It would not be
consistent with either the purpose of the
CO2 credit program (to provide an
incentive for manufacturers to take
technological and other efforts to over
comply with the CO2 standard) and
would not be consistent with the
purpose of the NCP program (to provide
relief to manufacturers that fail to
achieve the standard on time for
technological reasons, not for other
reasons such as the economic benefit of
generating CO2 credits by voluntarily
increasing emissions of NOX).
IX. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), this action is a
‘‘significant regulatory action’’ because
it raises novel legal and policy issues.
Accordingly, EPA submitted this action
to the Office of Management and Budget
(OMB) for review under Executive
Orders 12866 and 13563 (76 FR 3821,
January 21, 2011) and any changes made
in response to OMB recommendations
have been documented in the docket for
this action.
B. Paperwork Reduction Act
This action does not impose any new
information collection burden. It only
updates the penalty amounts to
correspond to the current emission
standards. However, the Office of
Management and Budget (OMB) has
previously approved the information
collection requirements contained in the
existing regulations 40 CFR part 86,
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D. Unfunded Mandates Reform Act
subpart L under the provisions of the
Paperwork Reduction Act, 44 U.S.C.
3501 et seq. and has assigned OMB
control number 2060–0132. The OMB
control numbers for EPA’s regulations
in 40 CFR are listed in 40 CFR part 9.
C. Regulatory Flexibility Act
(1) Overview
The Regulatory Flexibility Act
generally requires an agency to prepare
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements under the
Administrative Procedure Act or any
other statute, unless the agency certifies
that the rule will not have a significant
economic impact on a substantial
number of small entities. Small entities
include small businesses, small
organizations, and small governmental
jurisdictions.
For purposes of assessing the impacts
of these rules on small entities, small
entity is defined as: (1) a small business
as defined by SBA regulations at 13 CFR
121.201; (2) a small governmental
jurisdiction that is a government of a
city, county, town, school district or
special district with a population of less
than 50,000; and (3) a small
organization that is any not-for-profit
enterprise which is independently
owned and operated and is not
dominant in its field.
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(2) Summary of Potentially Affected
Small Entities
After considering the economic
impacts of this rule on small entities, I
certify that this action will not have a
significant impact on a substantial
number of small entities.
When these emission standards were
established, the final rulemaking (66 FR
5001, January 18, 2001) noted that we
were not aware of ‘‘any manufacturers
of heavy-duty engines that meet SBA’s
definition of a small business.’’ Based
on an updated assessment, EPA has
identified a total of about 14
manufacturers that produce diesel cycle
heavy-duty motor vehicle engines. Of
these, none of these are small businesses
that are producing engines with NOX
emissions above 0.20 g/bhp-hr. Based
on this, we are certifying that this rule
will not have a significant economic
impact on a substantial number of small
entities.
(3) Conclusions
I therefore certify that this Final Rule
will not have a significant economic
impact on a substantial number of small
entities.
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This rule does not contain a Federal
mandate that may result in expenditures
of $100 million or more for State, local,
and tribal governments, in the aggregate,
or the private sector in any one year.
The agency has determined that this
action does not contain a Federal
mandate that may result in expenditures
of $100 million or more for the private
sector in any one year. Because the use
of NCPs is optional, manufacturers have
the flexibility and will likely choose
whether or not to use NCPs based on
their ability to comply with emissions
standards. The availability of NCPs
provides manufacturers with a third
alternative: to continue production and
introduce into commerce upon payment
of a penalty an engine that exceeds the
standard until an emission conformance
technique is developed. Therefore,
NCPs represent a regulatory mechanism
that allows affected manufacturers to
have increased flexibility. Thus, this
action is not subject to the requirements
of sections 202 or 205 of the UMRA.
This action is also not subject to the
requirements of section 203 of the
UMRA because it contains no regulatory
requirements that might significantly or
uniquely affect small governments.
E. Executive Order 13132 (Federalism)
Executive Order 13132, entitled
‘‘Federalism’’ (64 FR 43255, August 10,
1999), requires EPA to develop an
accountable process to ensure
‘‘meaningful and timely input by State
and local officials in the development of
regulatory policies that have federalism
implications.’’ ‘‘Policies that have
federalism implications’’ is defined in
the Executive Order to include
regulations that have ‘‘substantial direct
effects on the States, on the relationship
between the national government and
the States, or on the distribution of
power and responsibilities among the
various levels of government.’’
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. These rules will
apply to manufacturers of on-highway
engines and not to state or local
governments. Thus, Executive Order
13132 does not apply to this action.
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F. Executive Order 13175 (Consultation
and Coordination With Indian Tribal
Governments)
This Final Rule does not have tribal
implications, as specified in Executive
Order 13175 (65 FR 67249, November 9,
2000). This rule will be implemented at
the Federal level and impose
compliance costs only on engine
manufacturers who elect to use the NCP
regulatory flexibility to comply with
emissions standards. Tribal
governments would be affected only to
the extent they purchase and use
engines and vehicles to which an NCP
has been applied. Thus, Executive Order
13175 does not apply to this rule.
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
Executive Order 13045: Protection of
Children from Environmental Health
Risks and Safety Risks (62 FR 19885,
April 23, 1997) applies to any rule that:
(1) is determined to be ‘‘economically
significant’’ as defined under Executive
Order 12866, and (2) concerns an
environmental health or safety risk that
EPA has reason to believe may have a
disproportionate effect on children. If
the regulatory action meets both criteria,
the agency must evaluate the
environmental health or safety effects of
the planned rule on children, and
explain why the planned regulation is
preferable to other potentially effective
and reasonably feasible alternatives
considered by the agency.
EPA interprets Executive Order 13045
as applying only to those regulatory
actions that are based on health or safety
risks, such that the analysis required
under section 5–501 of the Order has
the potential to influence the regulation.
This rule is not subject to Executive
Order 13045 because it does not
establish an environmental standard
intended to mitigate health or safety
risks.
H. Executive Order 13211 (Energy
Effects)
This action is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211 (66 FR 28355 (May 22,
2001)), because it is not likely to have
a significant adverse effect on the
supply, distribution, or use of energy.
We have concluded that any energy
impacts of this rule will be small
because:
• The NCPs will be used for a limited
duration.
• This rule will affect a small number
of heavy duty vehicles relative to the
total in-use fleet.
• The per-vehicle impact of this rule
will be small.
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I. National Technology Transfer
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law
104–113, 12(d) (15 U.S.C. 272 note)
directs the agencies to use voluntary
consensus standards 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 voluntary consensus
standards bodies. NTTAA directs EPA
to provide Congress, through OMB,
explanations when the EPA decides not
to use available and applicable
voluntary consensus standards.
This rule does not involve technical
standards. Therefore, EPA is not
considering the use of any voluntary
consensus standards.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
populations and low-income
populations in the United States.
EPA has determined that this action
will not have disproportionately high
and adverse human health or
environmental effects on minority or
low-income populations. The overall
environmental impacts of this action are
expected to be small and of limited
duration. Moreover, there is no reason
to believe that trucks using NCP engines
will be more likely to operate near any
minority or low-income populations
than other trucks.
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K. Congressional Review Act
The Congressional Review Act, 5
U.S.C. 801 et seq., as added by the Small
Business Regulatory Enforcement
Fairness Act of 1996, generally provides
that before a rule may take effect, the
agency promulgating the rule must
submit a rule report, which includes a
copy of the rule, to each House of the
Congress and to the Comptroller General
of the United States. EPA will submit a
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report containing this rule and other
required information to the U.S. Senate,
the U.S. House of Representatives, and
the Comptroller General of the United
States prior to publication of the rule in
the Federal Register.
Nonconformance Penalties for Onhighway Heavy-Duty Diesel Engines
Major rule cannot take effect until 60
days after it is published in the Federal
Register. This action is not a ‘‘major
rule’’ as defined by 5 U.S.C. 804(2). This
rule will be effective September 5, 2012.
X. Statutory Provisions and Legal
Authority
Statutory authority for the vehicle
controls in these rules is found in CAA
sections 202 and 206(g), of the CAA, 42
U.S.C. 7521 and 7525(g).
List of Subjects in 40 CFR Part 86
Administrative practice and
procedure, Confidential business
information, Motor vehicle pollution,
Reporting and recordkeeping
requirements.
Dated: August 30, 2012.
Lisa P. Jackson,
Administrator.
For the reasons set forth in the
preamble, the Environmental Protection
Agency is amending 40 CFR chapter I of
the Code of Federal Regulations as
follows:
PART 86—CONTROL OF EMISSIONS
FROM NEW AND IN–USE HIGHWAY
VEHICLES AND ENGINES
1. The authority citation for part 86
continues to read as follows:
■
Authority: 42 U.S.C. 7401–7671q.
Subpart L—[Amended]
2. Section 86.1103–87 is revised to
read as follows:
■
§ 86.1103–87 Criteria for availability of
nonconformance penalties.
(a) EPA shall establish for each
subclass of heavy-duty engines and
heavy-duty vehicles (other than
motorcycles), an NCP for a motor
vehicle pollutant, when any new or
revised emission standard is more
stringent than the previous standard for
the pollutant, or when an existing
standard for that pollutant becomes
more difficult to achieve because of a
new or revised standard, provided that
EPA finds:
(1) That for such subclass of engines
or vehicles, substantial work is required
to meet the standard for which the NCP
is offered, and
(2) That there is likely to be a
technological laggard.
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(b) Substantial work, as used in
paragraph (a)(1) of this section, means
the application of technology that was
not generally used in an engine or
vehicle class or subclass to meet
standards prior to the implementation of
the new or revised standard, or the
significant modification of existing
technology or design parameters,
needed to bring the vehicle or engine
into compliance with either the more
stringent new or revised standard or an
existing standard which becomes more
difficult to achieve because of a new or
revised standard. Substantial work is
determined by the total amount of work
required to meet the standard for which
the NCP is offered, compared to the
previous standard, irrespective of when
EPA establishes the NCP.
■ 3. Section 86.1104–91 is revised to
read as follows:
§ 86.1104–91
limits.
Determination of upper
EPA shall set a separate upper limit
for each phase of NCPs and for each
service class.
(a) Except as provided in paragraphs
(b), (c), and (d) of this section, the upper
limit shall be set as follows:
(1) The upper limit applicable to a
pollutant emission standard for a
subclass of heavy-duty engines or
heavy-duty vehicles for which an NCP
is established in accordance with
§ 86.1103–87, shall be the previous
pollutant emission standard for that
subclass.
(2) If a manufacturer participates in
any of the emissions averaging, trading,
or banking programs, and carries over
certification of an engine family from
the prior model year, the upper limit for
that engine family shall be the family
emission limit of the prior model year,
unless the family emission limit is less
than the upper limit determined in
paragraph (a) of this section.
(b) If no previous standard existed for
the pollutant under paragraph (a) of this
section, the upper limit will be
developed by EPA during rulemaking.
(c) EPA may set the upper limit
during rulemaking at a level below the
level specified in paragraph (a) of this
section if we determine that a lower
level is achievable by all engines or
vehicles in that subclass.
(d) EPA may set the upper limit at a
level above the level specified in
paragraph (a) of this section if we
determine that the such level will not be
achievable by all engines or vehicles in
that subclass.
■ 4. Section 86.1105–87 is amended by
revising paragraph (e) and adding
paragraph (j) to read as follows:
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Federal Register / Vol. 77, No. 172 / Wednesday, September 5, 2012 / Rules and Regulations
§ 86.1105–87 Emission standards for
which nonconformance penalties are
available.
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*
*
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(e) The values of COC50, COC90, and
MC50 in paragraphs (a) and (b) of this
section are expressed in December 1984
dollars. The values of COC50, COC90,
and MC50 in paragraphs (c) and (d) of
this section are expressed in December
1989 dollars. The values of COC50,
COC90, and MC50 in paragraph (f) of this
section are expressed in December 1991
dollars. The values of COC50, COC90,
and MC50 in paragraphs (g) and (h) of
this section are expressed in December
1994 dollars. The values of COC50,
COC90, and MC50 in paragraph (i) of this
section are expressed in December 2001
dollars. The values of COC50, COC90,
and MC50 in paragraph (j) of this section
are expressed in December 2011 dollars.
These values shall be adjusted for
inflation to dollars as of January of the
calendar year preceding the model year
in which the NCP is first available by
using the change in the overall
Consumer Price Index, and rounded to
the nearest whole dollar in accordance
with ASTM E29–67 (reapproved 1980),
Standard Recommended Practice for
Indicating Which Places of Figures Are
To Be Considered Significant in
Specified Limiting Values. This method
was approved by the Director of the
Federal Register in accordance with 5
U.S.C. 552(a) and 1 CFR part 51. This
document is available from ASTM
International, 100 Barr Harbor Drive,
P.O. Box C700, West Conshohocken, PA
19428–2959, and is also available for
inspection as part of Docket A–91–06,
located at the U.S. EPA, Air and
Radiation Docket and Information
Center, 1301 Constitution Ave. NW.,
Room 3334, EPA West Building,
Washington, DC 20004, (202) 202–1744
or at the National Archives and Records
Administration (NARA). For
information on the availability of this
material at NARA, call 202–741–6030,
or go to: https://www.archives.gov/
federal-register/cfr/ibr-locations.html.
This incorporation by reference was
approved by the Director of the Federal
Register on January 13, 1992. These
materials are incorporated as they exist
on the date of the approval and a notice
of any change in these materials will be
published in the Federal Register.
*
*
*
*
*
(j) Effective in the 2012 and later
model years, NCPs will be available for
the following emission standard:
(1) Diesel heavy-duty engine oxides of
nitrogen standard of 0.20 grams per
brake horsepower-hour in § 86.007–
11(a)(1)(i).
(i) [Reserved].
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(ii) For heavy heavy-duty diesel
engines:
(A) The following values shall be used
to calculate an NCP in accordance with
§ 86.1113–87(a):
(1) COC50: $3,219.
(2) COC90: $3,775.
(3) MC50: $10,729 per gram per brake
horsepower-hour NOX.
(4) F: 1.173.
(5) UL: 0.50 grams per brake
horsepower-hour NOX.
(B) The following factor shall be used
to calculate the engineering and
development component of the NCP for
the standard set forth in § 86.007–
11(a)(1)(i) in accordance with
§ 86.1113–87(h): 0.005.
(2) Manufacturers may not generate
emission credits for any pollutant from
engines for which the manufacturer
pays an NCP for the NOX standard
identified in paragraph (j)(1) of this
section.
(3) The penalty shall be adjusted
annually as specified in § 86.1113–87
with 2012 as the first year. Note that this
means AAF2012 is equal to 1.
5. Section 86.1113–87 is amended by
revising paragraph (g)(1) to read as
follows:
■
§ 86.1113–87
penalty.
Calculation and payment of
*
*
*
*
*
(g)(1) Except as provided in paragraph
(g)(2) of this section, the
nonconformance penalty or penalties
assessed under this subpart must be
paid as follows:
(i) By the quarterly due dates, i.e.,
within 30 days of the end of each
calendar quarter (March 31, June 30,
September 30 and December 31), or
according to such other payment
schedule as the Administrator may
approve pursuant to a manufacturer’s
request, for all nonconforming engines
or vehicles produced by a manufacturer
in accordance with paragraph (b) of this
section and distributed into commerce
for that quarter.
(ii) The penalty shall be payable to
U.S. Environmental Protection Agency,
NCP Fund, Motor Vehicle and Engine
Compliance Program, P.O. Box
979032St. Louis, MO 63197–9000. Note
on the check and supporting
information that this is an NCP
payment.
*
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[FR Doc. 2012–21967 Filed 9–4–12; 8:45 am]
BILLING CODE P
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ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 180
[EPA–HQ–OPP–2002–0302; FRL–9359–9]
Dichlorvos (DDVP); Order Denying
NRDC’s Objections on Remand
Environmental Protection
Agency (EPA)
ACTION: Final Order.
AGENCY:
In this order, EPA denies an
objection to a prior order denying a
petition requesting that EPA revoke all
pesticide tolerances for dichlorvos
under section 408(d) of the Federal
Food, Drug, and Cosmetic Act. The
objection was filed on February 1, 2008,
by the Natural Resources Defense
Council (NRDC). The original petition
was also filed by NRDC. Previously, in
July 2008, EPA denied this same
objection but the United States Court of
Appeals for the Second Circuit vacated
that decision, in part, and remanded the
matter to EPA. This order is being
issued in response to the court’s
remand.
SUMMARY:
This order is effective September
5, 2012.
ADDRESSES: The docket for this action,
identified by docket identification (ID)
number EPA–HQ–OPP–2002–0302, is
available either electronically through
https://www.regulations.gov or in hard
copy at the OPP Docket in the
Environmental Protection Agency
Docket Center (EPA/DC), located in EPA
West, Rm. 3334, 1301 Constitution Ave.
NW., Washington, DC 20460–0001. 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 OPP
Docket is (703) 305–5805. Please review
the visitor instructions and additional
information about the docket available
at https://www.epa.gov/dockets.
FOR FURTHER INFORMATION CONTACT:
Melanie Biscoe, Pesticide Re-evaluation
Division (7508P), Office of Pesticide
Programs, Environmental Protection
Agency, 1200 Pennsylvania Ave. NW.,
Washington, DC 20460–0001; telephone
number: (703) 305–7106; email address:
biscoe.melanie@epa.gov.
SUPPLEMENTARY INFORMATION:
DATES:
I. General Information
A. Does this action apply to me?
In this document EPA denies an
objection by the Natural Resources
Defense Council (NRDC) concerning
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Agencies
[Federal Register Volume 77, Number 172 (Wednesday, September 5, 2012)]
[Rules and Regulations]
[Pages 54384-54402]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-21967]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 86
[AMS-FRL-9716-5]
Nonconformance Penalties for On-Highway Heavy-Duty Diesel Engines
AGENCY: Environmental Protection Agency (EPA).
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: EPA is taking final action to establish nonconformance
penalties (NCPs) for manufacturers of heavy heavy-duty diesel engines
(HHDDE) in model years 2012 and later for emissions of oxides of
nitrogen (NOX) because we have found the criteria for NCPs
and the Clean Air Act have been met. The NOX standards to
which these NCPs apply were established by a rule published on January
18, 2001. In general, NCPs allow a manufacturer of heavy-duty engines
(HDEs) whose engines do not conform to applicable emission standards,
but do not exceed a designated upper limit, to be issued a certificate
of conformity upon payment of a monetary penalty to the United States
Government. The upper limit associated with these NCPs is 0.50 grams of
NOX per brake horsepower-hour (g/bhp-hr).
This Final Rule specifies certain parameters that are entered into
the preexisting penalty formulas along with the emissions of the engine
and the incorporation of other factors to determine the amount a
manufacturer must pay. Key parameters that determine the NCP a
manufacturer must pay are EPA's estimated cost of compliance for a near
worst-case engine and the degree to which the engine exceeds the
emission standard (as measured from production engines).
EPA proposed NCPs for medium heavy duty diesel engines. However,
EPA is not taking final action with regard to NCPs for these engines at
this time because EPA has not completed its review of the data and
comments regarding these engines.
DATES: This rule is effective September 5, 2012.
ADDRESSES: EPA has established a docket for this action under Docket ID
EPA-HQ-OAR-2011-1000. All documents in the docket are listed in the
https://www.regulations.gov index. Although listed in the index, some
information is not publicly available, e.g., confidential business
information or other information whose disclosure is restricted by
statute. Certain other material, such as copyrighted material, will be
publicly available only in hard copy in the docket. Publicly available
docket materials are available either electronically in https://www.regulations.gov or in hard copy at the following location: EPA: 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 Air Docket is (202) 566-1742.
FOR FURTHER INFORMATION CONTACT: Chuck Moulis, U.S. EPA, National
Vehicle and Fuel Emissions Laboratory, 2000 Traverwood, Ann Arbor, MI
48105; Telephone (734) 214-4826; Email moulis.charles@epa.gov.
SUPPLEMENTARY INFORMATION:
Regulated Entities
This action could affect you if you produce or import new heavy-
duty diesel engines which are intended for use in highway vehicles such
as trucks and buses or heavy-duty highway vehicles. The table below
gives some examples of entities that may be affected by these
regulations. However, because these are only examples, you should
carefully examine the regulations in 40 CFR part 86. If you have
questions, call the person listed in the FOR FURTHER INFORMATION
CONTACT section above.
----------------------------------------------------------------------------------------------------------------
NAICS \a\
Category Codes Examples of potentially regulated entities
----------------------------------------------------------------------------------------------------------------
Industry................................. 336112 336120 Engine and truck manufacturers.
----------------------------------------------------------------------------------------------------------------
\a\ North American Industry Classification System (NAICS).
Table of Contents
I. Executive Summary
A. Purpose of This Action
B. Summary of Today's Action
C. Impacts of This Action
II. Overview and Background
A. Overview
B. Statutory Authority
C. Background Regarding Nonconformance Penalty Rules
D. 2007 and 2010 NOX Standards
III. Previous Interim Final Rule
IV. NCP Eligibility
A. First Criterion--Whether the MY2010 NOX Standard
Is More Stringent than the Previous NOX Standard
B. Second Criterion--Whether Substantial Work Will Be Required
To Meet the MY2010 NOX Standard
C. Third Criterion--Whether There Is Likely To Be a
Technological Laggard
D. Issues Raised by the D.C. Circuit Court of Appeals
V. Penalty Rates
A. Upper Limit
B. Cost Parameter Values
C. Resulting Penalties
D. Consideration of Other Methodologies
VI. Economic Impact
VII. Environmental Impact
VIII. Emission Standards for Which We Are Not Establishing NCPs in
This Final Rule
A. Medium Heavy Duty Diesel NOX Standards
B. Light Heavy-Duty Diesel NOX Standards
C. Heavy-Duty Gasoline Engine Standards
D. Heavy-duty Diesel Engine NMHC, CO, and PM Standards
[[Page 54385]]
E. Heavy-duty CO2 Standards
IX. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132 (Federalism)
F. Executive Order 13175 (Consultation and Coordination With
Indian Tribal Governments)
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211 (Energy Effects)
I. National Technology Transfer Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
K. Congressional Review Act
X. Statutory Provisions and Legal Authority
I. Executive Summary
A. Purpose of This Action
Section 206(g) of the Clean Air Act (the Act), 42 U.S.C. 7525(g),
directs EPA to promulgate regulations permitting manufacturers of
heavy-duty engines or heavy-duty vehicles to receive a certificate of
conformity for engines or vehicles that exceed an EPA emissions
standard if the manufacturer pays a nonconformance penalty (NCP). This
action adopts NCPs for MY2012 and later heavy heavy-duty diesel engines
(HHDDE) with respect to the NOX emissions standards
applicable to these engines. Engine manufacturers will be able to
receive a certificate of conformity based on either demonstrating
compliance with the 0.20 g/bhp-hr NOX emission standard, or
paying NCPs under the penalty formula established in this rule. This
provides an alternative compliance option in situations where, as here,
EPA has determined that the criteria for establishing NCPs have been
met.
B. Summary of Today's Action
EPA proposed that the criteria for setting NCPs had been met for
the 0.20 g/bhp-hr NOX emission standard for HHDDEs, and we
are setting NCPs for these diesel engines in this final action.\1\ The
final NCPs for HHDDE are approximately twice the values proposed. This
difference is primarily because of new information received during the
public comment period related to fuel and diesel exhaust fluid (DEF)
prices. The derivation of the final penalties is described in a support
document titled ``Nonconformance Penalties for 2012 and later Highway
Heavy-Duty Diesel Engines: Technical Support Document'' (Technical
Support Document), which is available in the public docket for this
rulemaking. Under the final penalty regulations, nonconforming
manufacturer with engines at the upper NOX limit of 0.50 g/
bhp-hr would pay a penalty of $3,775 for each model year 2012 engine it
produces. Manufacturers would pay a lesser penalty if the
NOX emissions of the engine are lower. For example, the
penalty for a 2012 engine with NOX emissions at 0.30 g/bhp-
hr would be $1,259.
---------------------------------------------------------------------------
\1\ The proposed rule was published at 77 FR 4736 (January 31,
2012).
---------------------------------------------------------------------------
C. Impacts of This Action
NCPs have a small environmental impact. We expect relatively few
engine families to be certified under these provisions. Any impacts
should be short-term in nature because the penalties are structured to
increase over time to discourage use in later model years and because
the penalty figures are high enough, such that the increase in the
maximum penalty in later model years will likely limit the practical
availability of NCPs in future years. In addition, Navistar, the only
company that has requested certificates based on the use of NCPs, has
publicly announced it will introduce new technology engines in 2013
which will meet the 0.20 g/hp-hr NOX standard without the
need for NCPs.
NCPs generally also have minimal adverse economic impacts. Their
use is optional, and manufacturers have historically chosen to use NCPs
only when they are otherwise unable to comply with emissions standards.
Manufacturers that choose to make use of the NCPs will incur those
costs, which are based on the cost of complying with the emission
standards.
II. Overview and Background
A. Overview
Section 206(g) of the Clean Air Act (the Act), 42 U.S.C. 7525(g),
directs EPA to promulgate regulations permitting manufacturers of
heavy-duty engines (HDEs) or heavy-duty vehicles (HDVs) to receive a
certificate of conformity for HDEs or HDVs that exceed a Federal
emissions standard if the manufacturer pays a nonconformance penalty
(NCP). Congress adopted section 206(g) in the Clean Air Act Amendments
of 1977 as a response to a concern about manufacturers unable to comply
with technology-forcing emissions standards for heavy-duty engines in
the lead-time provided for the emissions standards. NCPs were intended
to remedy this concern, while ensuring that conforming manufacturers
would not suffer a competitive disadvantage compared to nonconforming
manufacturers.
The first NCP rule, sometimes referred to as the ``generic'' NCP
rule, established three basic criteria for determining the emission
standards for which nonconformance penalties would be established in
any given model year. 50 FR 35374 (August 30, 1985). The first
criterion is that the emission standard in question is a new emission
standard or that the standard is an existing standard and becomes more
difficult to meet. This can occur in two ways, either by the emission
standard itself becoming more stringent, or due to its interaction with
another emission standard that has become more stringent. Second, EPA
must find that substantial work is required in order to meet the
emission standard. Third, EPA must find that it is likely that a
manufacturer will be unable to comply by the end of the lead time
provided for technological reasons (referred to in earlier rules as a
``technological laggard''). The first NCP rule also established the
formula for determining the amount of an NCP. In subsequent NCP rules,
EPA made determinations about which emissions standards met the
criteria for establishing NCPs, and specified the values for various
parameters that are used in the formula to calculate the dollar value
of a manufacturer's NCP. The regulations addressing these provisions
are in Subpart L of 40 CFR part 86.
EPA proposed that these criteria had been met for the 0.20 g/bhp-hr
NOX emission standard for heavy heavy-duty diesel engines.
77 FR 4736 (January 31, 2012).\2\ Although we did not identify the
technological laggard in the NPRM, we have since identified Navistar as
the manufacturer that needs NCPs. We proposed to establish NCPs because
Navistar was unable to achieve the 0.20 g/bhp-hr NOX
standard and did not have sufficient emission credits to cover the 2012
model year. At the time of the proposal, Navistar was attempting to
meet the NOX emission standard with a technology that is
different than the approach used by other engine manufacturers.
However, Navistar recently announced that it would switch its approach
to use the same general technology as the other enginemanufacturers--a
catalytic approach called selective catalytic reduction (SCR). As
described in Section IV. C., we have determined that
[[Page 54386]]
Navistar will be unable to apply this technology to all of its engine
families sold in the U.S. to achieve 0.20 g/hp-hr NOX for at
least several months, and will need NCPs until it completes its
transition to the new technology.
---------------------------------------------------------------------------
\2\ EPA simultaneously published an Interim Final Rule
establishing interim NCPs for heavy heavy-duty engines (77 FR 4678,
January 31, 2012).
---------------------------------------------------------------------------
We proposed to base the calculation of the NCPs on the existing
regulatory framework, revising only the upper limit and the cost
parameters. We also proposed to set the upper limit at 0.50 g/bhp-hr,
which means that no manufacturer paying NCPs would be allowed to
certify engines with NOX emissions above this limit. The
proposed penalty for HHDDEs at that limit was $1,919 for model year
2012. Consistent with the provisions of the existing regulations, this
value reflected our best estimate of the near-worst case cost
difference between an engine with NOX emissions at the upper
limit and a compliant engine. The regulations contain provisions to
increase the penalties each year for later model years.
The NCPs being finalized for HHDDE are approximately twice the
values proposed. This difference is primarily because of new
information received during the public comment period related to fuel
and diesel exhaust fluid (DEF) prices. The derivation of the final
penalties is described in a support document titled ``Nonconformance
Penalties for 2012 and later Highway Heavy-Duty Diesel Engines:
Technical Support Document'' (Technical Support Document), which is
available in the public docket for this rulemaking.
It is important to note that the NCP parameters being finalized
were developed using the same basic methodology described in the NPRM.
As in all NCP rules, the final NCPs are based on the estimated
difference in compliance costs for engines at the upper limit and
engines at the standard. Thus, engines with emissions at the upper
limit can be considered to be baseline engines for the analysis. These
baseline engines also represent the engines against which complying
engines could compete in the marketplace.
As shown in Figure 1, a nonconforming manufacturer with engines at
the upper NOX limit of 0.50 g/bhp-hr would pay a penalty of
$3,775 for each model year 2012 engine it produces. For later model
years, this maximum penalty will increase by several hundred dollars
per year as specified in 40 CFR 86.1113-87. While the exact rate of
increase will depend on the number of engines for which NCPs are used,
the penalty for engines at the upper limit could be more than $5,000 by
2015. Manufacturers would pay a lesser penalty if the NOX
emissions of the nonconforming engine are lower. For example, the
penalty for a 2012 engine with NOX emissions at 0.30 g/bhp-
hr would be $1,259.
[GRAPHIC] [TIFF OMITTED] TR05SE12.024
We received numerous comments on our proposal to establish NCPs.
Our detailed analysis of these comments is contained in the Response to
Comments document for this rulemaking. The major comments are
summarized briefly below.
Several commenters questioned whether the regulatory
criteria for establishing NCPs had been met. These comments are
addressed in Section IV.
Several commenters addressed the level of the penalty,
mostly claiming that the penalty needed to be higher to meet the
statutory requirement to remove the competitive disadvantage for
[[Page 54387]]
complying manufacturers. These comments are addressed in Section V.
The few comments we received on the upper limit supported
setting it at 0.50 g/bhp-hr. These comments are addressed in Section V.
A.
Comments on the methodology used to calculate costs
addressed both our proposed methodology and alternative methodologies.
Comments on our proposed methodology are discussed in Section V. B. and
comments on alternative methodologies are discussed in Section V. D.
NCPs have a small environmental impact. We expect relatively few
engine families to be certified under these provisions. Any impacts
should be short-term in nature because the increase in the maximum
penalty in later model years will likely limit the practical
availability of NCPs in future years. The structure of the penalties,
by increasing over time, discourages use in later model years; and
because the penalty figures are high enough, such that use in later
model years is unlikely to be a viable option for any manufacturer.
NCPs generally also have minimal adverse economic impacts. Their
use is optional, and manufacturers have historically chosen to use NCPs
only when they are otherwise unable to comply with emissions standards.
Manufacturers that choose to make use of the NCPs will incur those
costs, which are based on the cost of complying with the emission
standards.
Section 553(d) of the Administrative Procedure Act (APA), 5 U.S.C.
chapter 5, generally provides that rules may not take effect earlier
than 30 days after they are published in the Federal Register. APA
section 553(d) excepts from this provision any action that grants or
recognizes an exemption or relieves a restriction. Since today's action
can be considered to relieve a restriction that would otherwise prevent
a manufacturer from certifying, EPA is making this action effective
immediately upon publication. This Final Rule does not set new
requirements, but rather creates an optional path by which a
manufacturer unable to meet the NOX standard may obtain a
certificate of conformity that they could not otherwise obtain without
this Final Rule. Thus, the NCPs promulgated in this Final Rule will
apply for all engines introduced into commerce on or after September 5,
2012.
B. Statutory Authority
Section 206(g) of the Act, 42 U.S.C. 7525(g), directs EPA to
promulgate regulations permitting manufacturers of heavy-duty engines
(HDEs) or heavy-duty vehicles (HDVs) to receive a certificate of
conformity for HDEs or HDVs that exceed a Federal emissions standard,
but do not exceed an upper limit associated with that standard, if the
manufacturer pays a nonconformance penalty (NCP) . Congress adopted
section 206(g) in the Clean Air Act Amendments of 1977 as a response to
a concern with requiring technology-forcing emissions standards for
heavy-duty engines. The concern was if strict technology-forcing
standards were promulgated, then some manufacturers might be unable to
comply in the lead-time provided for the emissions standards and would
be forced out of the marketplace. NCPs were intended to remedy this
concern. The nonconforming manufacturers would have a temporary
alternative that would permit them to receive a certificate of
conformity by payment of a penalty, allowing the engines or vehicles to
be introduced into commerce and sold. At the same time, conforming
manufacturers would not suffer compared to nonconforming manufacturers,
because the NCPs would remove the competitive disadvantage to them.
NCPs would be based, in part, on money saved by the nonconforming
manufacturer. Providing this relief facilitated EPA's authority to set
technology forcing standards. Without this relief, EPA may have needed
to be more cautious in setting standards, given the possibility that a
lagging manufacturer might not be able to meet the standards in the
lead-time provided.
Under section 206(g)(1), NCPs may be offered for HDVs or HDEs. The
penalty may vary by pollutant and by class or category of vehicle or
engine. No NCP-based certificate may be issued if the engine or vehicle
exceeds the degree of reduction determined by the Administrator to be
practicable. This emission level is identified in the regulations as
the upper limit. Section 206(g)(3) requires that NCPs:
Account for the degree of emission nonconformity;
Increase periodically to provide incentive for
nonconforming manufacturers to achieve the emission standards; and
Remove the competitive disadvantage to conforming
manufacturers.
Section 206(g) authorizes EPA to require testing of production
vehicles or engines in order to determine the emission level upon which
the penalty is based. If the emission level of a vehicle or engine
exceeds an upper limit of nonconformity established by EPA through
regulation, the vehicle or engine would not qualify for an NCP under
section 206(g) and no certificate of conformity could be issued to the
manufacturer. If the emission level is below the upper limit but above
the standard, that emission level becomes the ``compliance level,''
which is also the benchmark for warranty and recall liability. The
manufacturer who elects to pay the NCP is liable for vehicles or
engines that exceed the compliance level in use. The manufacturer does
not have in-use warranty or recall liability for emissions levels above
the standard but below the compliance level.
C. Background Regarding Nonconformance Penalty Rules
Since the promulgation of the first NCP rule in 1985, subsequent
NCP rules generally have been described as continuing ``phases'' of the
initial NCP rule. The first NCP rule (Phase I), sometimes referred to
as the ``generic'' NCP rule, established three basic criteria for
determining the eligibility of emission standards for nonconformance
penalties in any given model year. 50 FR 35374 (August 30, 1985). When
adopted in 1985, EPA intended to use the criteria of 40 CFR 86.1103-87
in determining whether to establish NCPs. They were included in the
regulations to clarify that EPA's obligation under the generic rule to
establish NCPs only applied where these criteria were met. As described
in Section V. of this Final Rule, we have determined that these
criteria have been met.\3\
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\3\ We note that EPA may revise the criteria at any time through
notice and comment rulemaking. Thus, these criteria do not constrain
EPA from adopting NCPs in other circumstances, as long as the
statutory criteria of section 206(g) are met.
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The first criterion is that the emission standard in question is a
new emission standard or that the standard is an existing standard and
becomes more difficult to meet. This can occur in two ways, either by
the emission standard itself becoming more stringent, or due to its
interaction with another emission standard that has become more
stringent. Under the second criterion, EPA must find that substantial
work is required in order to meet the emission standard. As described
in Sec. 86.1103-87(b), EPA considers ``substantial work'' to mean the
application of technology not previously used in that vehicle or engine
class/subclass, or a significant modification of existing technology,
in order to bring that vehicle/engine into compliance. EPA does not
consider minor modifications or calibration changes to be classified as
substantial work. EPA considers that substantial work is required if
such work is needed to bring emissions from the level of the
[[Page 54388]]
previous standard to the level of the new or revised standard, even if
at the time the NCP rulemaking is taking place, some manufacturers have
already completed that work. Third, EPA must find that a manufacturer
is likely to be noncomplying for technological reasons (referred to in
earlier rules as a ``technological laggard''). Prior NCP rules have
considered such a technological laggard to be a manufacturer who cannot
meet a particular emission standard due to technological (not economic)
difficulties and who, in the absence of NCPs, might be forced from the
marketplace.
The criteria and methodologies established in the 1985 NCP rule
have since been used to determine eligibility and to establish NCPs for
a number of heavy-duty emission standards. Phases II, III, IV, V, and
VI published in the period from 1985 to 2002, established NCPs that, in
combination, cover the full range of heavy-duty; from heavy light-duty
trucks (6,000-8,500 pounds gross vehicle weight) to the largest diesel
truck and urban bus engines. NCPs have been established for
hydrocarbons (HC), carbon monoxide (CO), nitrogen oxides
(NOX), and particulate matter (PM). The most recent NCP rule
(67 FR 51464, August 8, 2002) established NCPs for the 2004 and later
model year NOX standard for heavy-duty diesel engines
(HDDEs). The NCP rulemaking phases are summarized in greater detail in
the Technical Support Document for this rulemaking.
D. 2007 and 2010 NOX Standards
The 0.20 g/bhp-hr NOX standard that applies for current
and future heavy-duty engines was adopted January 18, 2001 (66 FR
5001), and first applied in the 2007 model year. However, because of
phase-in provisions adopted in that rule and use of emission credits
generated by manufacturers for early compliance, manufacturers have
been able to continue to produce engines with NOX emissions
greater than 0.20 g/bhp-hr. Most engines during the phase-in had
NOX emissions near 1.2 g/bhp-hr. The phase-in provisions
ended after model year 2009 so that the 0.20 g/bhp-hr NOX
standard was fully phased-in for model year 2010. Equally important,
the cap applicable to Family Emission Limits (FELs) \4\ for credit-
using engine families was lowered to 0.50 g/bhp-hr beginning in model
year 2010. Because of these changes that occurred in model year 2010,
the 0.20 g/bhp-hr NOX emission standard is often referred to
as the 2010 NOX emission standard, even though it applied to
engines as early as model year 2007.
---------------------------------------------------------------------------
\4\ FELs are emission levels specified by the manufacturer that
serve as the applicable emission standard for engines participating
in the emission averaging program. The FEL cap is the highest FEL to
which a manufacturer may certify an engine using emission credits.
---------------------------------------------------------------------------
III. Previous Interim Final Rule
On January 31, 2012, EPA simultaneously published an Interim Final
Rule establishing interim NCPs for heavy heavy-duty engines and a
parallel Notice of Proposed Rulemaking (NPRM). The NCPs in this Final
Rule will supersede the NCPs that were promulgated in the Interim Final
Rule as of September 5, 2012.
Several engine manufacturers petitioned EPA to rescind that Interim
Final Rule. These petitions and EPA's responses denying them have been
placed into the Docket for this rule.
These engine manufacturers also filed judicial challenges to the
Interim Final Rule. Mack Trucks, et al. v. EPA, No. 12-1077 (DC Cir).
They challenged EPA's decision to establish NCPs in an interim final
rule without going through notice and comment. They also challenged our
finding that the regulatory criteria had been met to promulgate NCPs
for the 2010 NOX standard, as well as our conclusion that
the interim NCP levels removed the competitive disadvantage for
complying manufacturers. On June 12, 2012, the Court of Appeals for the
DC Circuit issued an opinion holding that EPA violated the procedural
requirements for rulemaking because EPA did not have good cause to
issue the rule without providing notice and opportunity for comment.
Id., 2012 U.S. App. LEXIS 11851 (June 12, 2012). The Court did not rule
on the merits of EPA's findings about the regulatory criteria or the
level of the NCP. Nevertheless, it stated in dicta its concerns about
these issues, which are discussed below in Sections IV. (NCP
Eligibility) and V. (Penalty Rates).
IV. NCP Eligibility
Section II. C. of this Final Rule notes that EPA regulations
provide for three criteria to be met in order to determine that an NCP
should be established in any given model year. As is described below,
these three criteria address different aspects of the appropriateness
of NCPs, and it is important to consider each criterion separately in
its own proper context. In general, the first two criteria address
whether the standard in question created the possibility that a
technological laggards could develop, while the third criterion
addresses the likelihood that there will be a technological laggard.
For the 2010 NOX standard, we find that these criteria have
been met for heavy heavy-duty diesel engines, and it is therefore
appropriate to establish NCPs for this standard for the current model
year and later.
A. First Criterion--Whether the MY2010 and Later NOX
Standard Is More Stringent Than the Previous NOX Standard
The first criterion requires that the emission standard in question
must be more stringent than the previous standard. This is the case
with the 2010 NOX standard. The previous emission standard
for this category is a combined NMHC + NOX standard of 2.4
g/bhp-hr, or optionally a 2.5 g/bhp-hr NMHC + NOX with a
limit of 0.5 g/bhp-hr NMHC.\5\ The 2010 (i.e., current) standards are
0.20 g/bhp-hr for NOX and 0.14 g/bhp-hr for NMHC.
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\5\ NMHC stands for non-methane hydrocarbons, which is a measure
of total hydrocarbons with the methane emissions subtracted out. For
typical on-highway diesel fueled heavy-duty engines, methane
emissions are on the order of 10 percent of the total hydrocarbon
emissions.
---------------------------------------------------------------------------
Some commenters argued that this standard should no longer be
considered a new standard because it went into full effect two model
years ago. We did not promulgate NCPs for the 2010 and 2011 model years
because we had no basis for concluding it was likely that any
manufacturer would qualify as a technological laggard, as all
manufacturers met the standard either directly or through application
of credits. However, the fact that we did not promulgate NCPs for the
first year a standard went into effect does not preclude us from
promulgating NCPs for such standard at a later time, when it is
determined the regulatory criteria have been met. While it is not a
path we have generally taken, nothing in the statute or in our
regulations, which refer to new or revised standards, precludes EPA
from promulgating NCPs after the first year a new or revised standard
goes into effect. See 50 FR 35374, 35376 (August 30, 1985), and 50 FR
9204, 9206 (March 6, 1985).
The first criterion, as with the other two criteria, reflects the
key concepts underlying the NCP program--NCPs are designed to address
situations where technological laggards are likely to develop in
response to the adoption of technology forcing emission standards for
this sector under CAA section 202(a)(3)(A). One purpose of section
206(g) is to avoid, at least temporarily, the problem of technological
laggards being driven out of the market because of their inability to
meet technology forcing emission standards in the lead-time provided.
50 FR 9204, 9205 (March
[[Page 54389]]
6, 1985), 50 FR 35375 (August 30, 1985) (``The possibility of a
technological laggard is a key concept in the NCP availability
scheme.''). The first criterion is directly linked to this--``This
condition creates the possibility for a technological laggard to
exist.'' 50 FR 9204, 9206 (March 6,1985).
Given this purpose, the appropriate way to consider whether the new
or revised standard is more stringent is to consider it from the point
of adoption of the standard, by comparing it to the prior standard. It
is at the point that EPA has adopted a standard that may force
technology changes, and it is the difference in stringency between the
old and the new or revised standard, that raises the possibility of a
technological laggard. The passage of time after adoption of the
standard does not change the analysis of whether the new or revised
standard is or is not more stringent than the previous standard. 50 FR
9204, 9206 (March 6, 1985). Even if EPA considers NCPs some model years
after adoption of the standard the comparison under the first criterion
is still between the new or revised standard and the prior standard,
and their relative stringency.
The first criterion establishes one circumstance that must occur to
establish NCPs under the generic rule: a new or revised standard must
be more stringent than the previous standard for the pollutant, or an
existing standard must become more difficult to achieve. The passage of
time by itself, from MY2010 to MY2012, does not change the fact that
the MY2010 NOX standard was and continues to be more
stringent than the standard applicable to model years before 2010, and
this increase in stringency created the possibility for a technological
laggard to exist. The first criterion is thus more in the nature of a
static or historic fact, a threshold determination typically made based
on the facts in existence at the time of adoption of the new or revised
standard, a comparison of the stringency of the previous and the new or
revised standard.
Based on this, EPA rejects commenters' arguments. Even though the
determination on the first criterion is not being made until some model
years after adoption of the 2010 standard, the 2010 NOX
standard has always been a new or revised standard compared to the
prior standard, and the 2010 standard was and continues to be more
stringent than the preexisting NOX standard. The passage of
time does not change the fact that adoption of a more stringent
standard for MY2010 created the possibility for a technological laggard
to exist. The 2010 standard is certainly a new or revised standard and
certainly is more stringent than the previous standard for
NOX. The fact that we are now in MY2012 does not change this
conclusion.
B. Second Criterion--Whether Substantial Work Will Be Required To Meet
the MY2010 NOX Standard
Under the second criterion, substantial work must be required to
meet the standard. When we first established the 2010 NOX
standard, we considered it to be a technology-forcing standard and
subsequent history has shown that substantial work has been required to
meet this emission standard. More importantly, all heavy heavy-duty
diesel engines currently certified to the 0.20 g/bhp-hr standard
without using credits are using new aftertreatment systems (that were
generally not used in 2009) to meet this standard.\6\ Indeed, even
Navistar substantially redesigned its emission control system in its
attempt to achieve lower emissions without NOX
aftertreatment. This work clearly meets the definition of substantial
work, as it involves the use of either: New catalytic controls and
related technology not previously used in these engines, or the
significant modification of existing EGR and related technology. None
of the complying manufacturers dispute that they have done substantial
work to achieve the 0.20 g/bhp-hr NOX standard. In fact,
they emphasized in their comments how much work they have done to meet
the standard.
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\6\ For this Final Rule, EPA describes those manufacturers that
have achieved the 0.20 g/hp-hr emission standard as ``conforming'',
``compliant'' or ``complying'' manufacturers, and those that have
not as the ``nonconforming'', ``noncompliant'' or ``noncomplying''
manufacturers. However, it is important to clarify that
manufacturers certifying above the 0.20 g/hp-hr NOX
emission standard using emission credits are in compliance with
regulations as long as they have enough emission credits to offset
their total NOX emissions above the standard.
---------------------------------------------------------------------------
The second criterion builds on the first criterion, as it involves
an evaluation of the nature and degree of the technological challenge
of the new or revised standard. If the new or revised standard
increases the stringency to such a degree that it cannot be met by
simple modifications to existing technology (i.e., that substantial
work will be required to comply), then this criterion is satisfied.
Like the first criterion, the second criterion reflects the key concern
with the issue of a technological laggard--``When manufacturers must
perform substantial work, it is possible that at least one will be
unsuccessful and will become a laggard.'' 50 FR 9204, 9206 (March
6,1985). Like the first criterion, it is a determination of
circumstances that establish a threshold or baseline for setting NCPs
under the generic rule. It identifies circumstances that mean there is
a possibility that a laggard may exist.
Given this purpose, the appropriate way to consider the second
criterion is to evaluate all of the work that must be accomplished to
move from compliance with the previous standard to compliance with the
new or revised standard. The possibility of a technological laggard is
created by this entire amount of work that must be done, not any one
subset or increment of the work. Thus, if EPA evaluates this criterion
at some point after adoption of the new or revised standard, EPA still
considers all of the work to go from the previous to the new or revised
standard, and not just the work remaining as of the date the
determinations are made about compliance with the criteria under the
generic NCP rule.
While commenters did not dispute that substantial work was required
to meet the 2010 standard, some commenters claim it is no longer true
that substantial work is required because some manufacturers have met
the standard. Some commented that these determinations must be based on
the factual circumstances at the time of the NCP rulemaking and not the
time the revised standard was issued. We disagree with these claims for
two reasons.
First, this criterion is to be evaluated based on the total amount
of work needed to go from meeting the previous standard to meeting the
current standard, regardless of the timing of such changes. Indeed, the
commenters' approach would seem to be directly contrary to the purpose
of the statute. The NCP program is designed to allow technological
laggards to be able to certify engines even if other manufacturers have
met the standard. There is a clear expectation that some manufacturers
might be technological laggards. 50 FR 9204, 9206 (March 6,1985)
(``When manufacturers must perform substantial work, it is possible
that at least one will be unsuccessful and will become a laggard.'')
Where there is a technological laggard, it is the typical situation
that other manufacturers have already complied or will comply on time.
The fact that some manufacturers have surpassed the technological
hurdles and achieved compliance with the new or revised standard does
not in any way show that there is or cannot be a technological laggard
who at least temporarily has not surpassed the technological hurdles.
Refusing to establish NCPs solely
[[Page 54390]]
because some manufacturers comply at the time NCPs are established
would frustrate Congress' purpose by preventing establishment of NCPs
when there is a technological laggard who temporarily can not comply
with the standards and cannot certify engines without the NCP program.
Thus, EPA bases the determination of substantial work on the total
amount of work to go from compliance with the prior standard to
compliance with the new standard, even if at the time of the NCP
rulemaking some manufacturers have already completed some or all of
such work. Under this criterion, the important question is whether
manufacturers who were using technology that met the previous standard
would need to conduct significant work to develop new technology or to
build upon/change the old technology to meet the revised standard.
Questions about work that still needs to be done at the point EPA
begins an NCP rulemaking are relevant only in the context of the third
criterion, whether there is likely to be a technological laggard. To
avoid this confusion for future NCPs, we are clarifying in the
regulatory text that this criterion is to be evaluated based on the
need for new or modified technology or design to meet the new or
revised standard regardless of the timing for such changes.
Second, even under the current circumstances, we find that Navistar
has needed to do substantial work to meet the standard. This is the
case whether one considers the total amount of work to go from the
previous standard to the MY2010 NOX standard, or whether one
only considers the amount of work to go from the current status of its
technology to compliance with the MY2010 standard. See the discussion
below concerning the work conducted by Navistar to date and expected in
the future.
We informed engine manufacturers in 2010 that we believed the first
two criteria had been met.\7\ We note that the commenters now
questioning whether these criteria have been met did not dispute our
earlier view that we could have set NCPs at that time had we determined
that a technological laggard was likely to develop. At that point, EPA
was clear that the reason we were not establishing NCPs at that time
was because we had not determined that a technological laggard was
likely to develop.
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\7\ ``Nonconformance Penalties for Heavy-Duty Diesel Engines in
2010 Model Year'', Letter from Karl J. Simon, Director, EPA
Compliance and Innovative Strategies Division, February 22, 2010.
---------------------------------------------------------------------------
C. Third Criterion--Whether There Is Likely To Be a Technological
Laggard
Under the third criterion, EPA considers all of the circumstances
to determine whether there is likely to be a technological laggard. In
the 1985 generic rule EPA indicated that:
Third, EPA must find that there is likely to be a technological
laggard. Even when a standard becomes more stringent (or there is an
adverse effect on a previously attainable standard), and even when
manufacturers must perform substantial work, all manufacturers may
still be able to meet the more stringent standard. For instance,
compliance with a standard may involve merely the transference of
technology from a similar application. Thus, EPA must make a
determination whether the circumstances will likely give rise to a
laggard.50 FR 9204, 9206 (March 6, 1985).
One of the concepts underlying a technological laggard is that a
manufacturer faced with a new or revised standard, especially one that
is technology forcing, will direct substantial resources and effort to
develop and employ technology aimed at achieving compliance with the
more stringent standard. Whether the manufacturer develops and employs
the same or different technology than other manufacturers, there is a
possibility that such a manufacturer will be temporarily unable to
achieve the emissions standard in the lead time provided based on
technological reasons. Instead of refusing to certify the
manufacturer's engines, and driving them out of the market, the NCP
program is specifically designed to provide a temporary path for
certification until the remaining technological issues are resolved and
the manufacturer achieves the standard. 50 FR 9204 (March 6,1985). The
third criterion is designed to implement this concept, based on EPA's
evaluation of all of the circumstances.
In this case, all of the circumstances indicate that there is more
than a likelihood that there is an engine manufacturer that has not yet
achieved the MY2010 NOX standard for technological reasons--
we have determined that Navistar is in fact such a manufacturer. Unlike
the rest of the industry, Navistar attempted to comply without SCR to
reduce NOX emissions.\8\ However, to date Navistar has not
succeeded in reaching the 0.20 g/bhp-hr emission level. At this time,
the only engine families Navistar has certified since the MY2010
standard took effect have used advanced EGR technology, and have been
certified based on either banked emission credits or on Navistar's
payment of the interim NCPs. Navistar does not have sufficient credits
to cover its entire model year 2012 production without NCPs. Navistar
has acknowledged in its public comments on this rule that it is
effectively a technological laggard. On July 6, 2012, Navistar
announced that it has begun the process of redesigning its trucks to
use SCR engines in addition to their in-cylinder emission control
technology. Navistar expects the SCR engines to be available beginning
in early 2013. We have determined that Navistar will need access to
NCPs to lawfully produce engines during this multi-month transition
process.
---------------------------------------------------------------------------
\8\ This technology is based on internal engine controls and
advanced exhaust gas recirculation technology.
---------------------------------------------------------------------------
Several commenters noted that Navistar cannot be a technological
laggard as it has applied for certification of an engine family using
this technology, seeking a certificate for a 0.20 g/bhp-hr engine that
complies without the use of credits. However, Navistar has withdrawn
that application based on EPA concerns that the engine design (with its
current hardware) does not meet the 0.20 g/bhp-hr NOX
standard.
While Navistar has announced that it will switch to SCR-based
emission controls, we have determined that the work needed for Navistar
to redesign all of its U.S. engines and vehicles for its announced
alternate compliance path based on SCR cannot be completed immediately.
Thus, Navistar will need NCPs during this transition period. These
limitations are technological rather than economic in nature. Among the
steps Navistar must complete, it must:
Select an SCR system design
Make arrangements with component suppliers
Validate components
Recalibrate its engine to work with the SCR system
Redesign it trucks to fit the SCR hardware
Complete its emission testing and durability testing for
certification
Obtain EPA approval for the new engine-SCR system
We do not have a precise estimate of how long this will take for
Navistar's entire U.S. production of heavy heavy-duty diesel engines
and associated vehicles. However, based on our experience and knowledge
of this industry, this type of technology introduction is not finished
in a one or two month period. Navistar has acknowledged as much in
their July 6, 2012 announcement, which stated they will begin making
the new technology products available in early 2013.
[[Page 54391]]
Several commenters argued Navistar voluntarily chose a different
technology path than other manufacturers, and could have complied in
the lead time provided if it had developed and employed SCR technology
from the beginning. Since Navistar chose what the commenters consider
to be the wrong technology path, they argue it is a laggard based on
its own business decision and not technological limitations. They
stated that NCPs should not be established under these circumstances.
We generally would agree with commenters' assertions that Navistar
presumably could have chosen the same SCR technology path as other
manufacturers some time ago, and presumably could have already achieved
compliance with the MY2010 standard in the same timeframe they did. If
that had occurred, there would be no basis for establishing NCPs.
However, we disagree with commenters' conclusions that NCPs should not
be established based on this difference in choice of technology
pathway.
Navistar made a decision to attempt to meet the emission standard
using a different technology path, without SCR. As with most of EPA's
mobile source emissions standards, the MY2010 emission standard is a
performance standard, and does not specify what technology must be used
or require that all manufacturers use the same technology. Commenters'
approach would penalize a manufacturer who attempts to innovate and
develop a technology pathway different from its competitors. This would
effectively discourage technological innovation by requiring all
manufacturers to use the same technology once one manufacturer has met
the standard using that technology. Otherwise they would risk being
driven from the market as no NCPs would be established. Such an
interpretation would undercut the purpose of technology forcing
standards--to adopt standards where manufacturers may have to develop
advanced technology or technology that is at the cutting edge of
emissions control. This interpretation would suppress technological
innovation out of fear that a wrong technological choice will lead to
having to leave a market without the temporary benefit of NCPs. This
approach would also ignore the premise of promulgating NCPs, which is
that they are appropriate when one or more manufacturers have not met
the standard, while one or more others have. Whether the laggard is not
able to achieve compliance because of a technological hurdle in
developing the same or different technology as their competitors, the
result is the same--they risk being removed from the market based on
technological issues, if NCPs are not established. EPA does not see a
valid basis for drawing such a distinction between technology pathways
in deciding whether there is likely to be a technological laggard.
As discussed later, in Section V. on the penalty rate, the
provision of NCPs is only a temporary solution for the noncomplying
technological laggard. The first-year penalty rate is designed to
remove the economic disadvantage for the complying manufacturers,
preventing harm to the competitors. The NCP rate also increases over
time, such that in a short period of time the noncomplying manufacturer
needs to achieve compliance or the increasing penalty rate will in
effect drive it from the market. Since the NCP protects a complying
manufacturer from a competitive disadvantage irrespective of the
technology path chosen by its competitor, it is appropriate that EPA
not draw a distinction based on whether the technological laggard chose
the same or a different technology path than the complying
manufacturers. This helps to preserve the nature of EPA's standards as
technology forcing performance standards that promote technological
innovation across this sector of industry.
Having made its decision to pursue a non-SCR technology to meet the
standards, Navistar has not been able to produce engines that have been
certified to meet the 0.020 standard without credits. The evidence is
clear that Navistar chose to develop a different technological solution
than other manufacturers, and that technological issues concerning this
solution have delayed Navistar's ability to meet the standard. It is
for this technological reason that Navistar cannot meet the standard,
not for economic reasons.
D. Issues Raised by the DC Circuit Court of Appeals
As noted above, in Mack Trucks, et al. v. EPA, No. 12-1077 (DC
Cir), the court included comments in its opinion, in dicta, concerning
the appropriateness of NCPs under the circumstances presented in the
Interim Final Rule. The court stated that:
We do recognize the pending final rule means our vacatur of the
IFR on these procedural grounds will be of limited practical impact.
Before the ink is dry on that final rule, we offer two observations
about the parameters of this rulemaking. First, NCPs are meant to be
a temporary bridge to compliance for manufacturers that have ``made
every effort to comply.'' United States v. Caterpillar, Inc., 227 F.
Supp. 2d 73, 88 (D.D.C. 2002). As EPA itself has explained, NCPs are
not designed to bail out manufacturers that voluntarily choose, for
whatever reason, not to adopt an existing, compliant technology. See
77 Fed. Reg. 4,736, 4,739 (Jan. 31, 2012) (``NCPs have always been
intended for manufacturers that cannot meet an emission standard for
technological reasons rather than manufacturers choosing not to
comply.''); 50 Fed. Reg. 35,402, 35,403 (Aug. 30, 1985) (stating
that NCPs are inappropriate ``if many manufacturers' vehicles/
engines were already meeting the revised standard or could do so
with relatively minor calibration changes or modifications''). Based
solely on what EPA has offered in the IFR, it at least appears to us
that NCPs are likely inappropriate in this case.\9\
---------------------------------------------------------------------------
\9\ Id., slip op. at 15.
The court noted that NCPs are intended to be a temporary bridge to
compliance for manufacturers who have ``made every effort to comply''
and are not designed for manufacturers that voluntarily choose, for
whatever reason, not to adopt an existing, compliant technology. EPA
agrees with these general concepts, but they do not apply in this case.
The court's comments concern the issue of whether substantial work is
needed to achieve compliance with the MY2010 NOX standard,
and whether Navistar is properly considered likely to be a
technological laggard in achieving compliance with this standard in
light of the technology pathway it chose. Based on all of the
circumstances before EPA, it is reasonable to determine that Navistar
has made every effort to comply, for the technology pathway it chose.
The need for NCPs is based on the failure to achieve the emissions
standards using this technology. This failure is based on technological
reasons, and not other reasons.
The court's statement that NCPs were intended for manufacturers
that ``made every effort to comply'' (United States v. Caterpillar,
Inc., 227 F. Supp. 2d 73, 88 (D.D.C. 2002)) was made in a different
context and does not apply here. This comment was in response to a
suggestion from Caterpillar in that earlier case that the consent
decree at issue should have been interpreted in a certain way (or
modified) as EPA failed to issue an NCP rule with enough lead time.
Caterpillar argued that it was harmed by this delay because the purpose
of the NCPs was to allow a manufacturer to weigh the costs of
compliance against the costs of paying NCPs. The court rejected this
view, as it would allow ``engine manufacturers * * * to calibrate the
intensity of their compliance efforts to the NCP for each new standard,
allowing them to opt for
[[Page 54392]]
noncompliance when compliance becomes more expensive than the NCP. This
kind of second-guessing, however, was clearly not Congress' intent in
providing for NCPs.'' 227 F.Supp. at 88. The court noted that
``[i]nstead, NCPs were intended to give a manufacturer that has made
every effort to comply, but has been unable to achieve compliance, a
chance to continue to participate in the market. Thus, NCPs serve their
purpose even if promulgated after a company has made its engine design
decisions, since those decisions should be based on whether compliance
can be achieved, not on whether compliance is less expensive than
paying NCPs.'' Id. at 88-89.
In that context, it is clear that the court's prior statement
addressed the claim that a manufacturer should be able to base their
engine design decisions on the availability of NCPs, weighing which
costs more and deciding based on this whether to pursue a technology
pathway to compliance or pay NCPs. The court made clear that providing
this kind of economic choice on compliance is not the purpose of an
NCP. The court specifically noted that NCPs are appropriate in a case
where the failure to achieve compliance is based on technological
concerns encountered along the path to achieving compliance--that is,
in circumstances like those in this current rulemaking.
The court's statement was not related to whether, evaluating in
retrospect at the point an NCP is established, a manufacturer had made
every effort to comply prior to adoption of the NCPs. Navistar chose to
pursue an engine emissions control design that is non-SCR based several
years before NCPs were proposed. NCPs would be used by Navistar while
it addresses the technology-based hurdles it now faces in switching to
SCR controls. It faces these technology hurdles now as a result of the
technology pathway it chose years before the NCP was adopted. The NCPs
would not be used, as Caterpillar asked the court to allow in the
earlier case, to decide what technology path to follow and how hard to
pursue it based on the economics of the cost of NCPs. In this case,
Navistar made considerable efforts to develop and employ the non-SCR
technology. Its choice of technological pathway to compliance was not
based on weighing the costs of compliance with the cost of NCPs. The
court's concerns in Caterpillar are not applicable to the facts in this
NCP rulemaking.
The court also quoted from the generic 1985 rulemaking, noting that
NCPs would not be appropriate if ``many manufacturers were already
meeting the standard, or could do so with relatively minor calibration
changes or modifications.'' This language from the 1985 rulemaking
refers to the second criterion, whether substantial work is required to
achieve compliance with the more stringent new or revised standard. As
discussed above, this is based on all of the work that must be done to
move from the previous standard to the more stringent new or revised
standard. This criterion is to be evaluated based on actual work needed
to go from meeting the previous standard to meeting the current
standard, regardless of the timing of such changes. Based on this, the
amount of work remaining to be done when the NCP rulemaking occurs is
not relevant to the second criterion. Likewise, whether some
manufacturers have already achieved compliance at the time of the NCP
rulemaking is also not relevant to determining whether the second
criterion has been met. As noted above, it is not unexpected that at
the time of this NCP rulemaking that ``many manufacturers' vehicles/
engines were already meeting the revised standard or could do so with
relatively minor calibration changes or modifications.'' However,
rejecting NCPs solely because some manufacturers have achieved or are
on a path to achieve compliance, while one or more other manufacturers
are not in the same position, would prevent lagging manufacturers from
certifying in exactly those circumstances Congress contemplated
providing for NCPs--some manufacturers are able to achieve compliance
in the lead time provided, but for technological reasons others are
not. NCPs are designed to address just this situation, to temporarily
avoid driving these manufactories out of the market. 50 FR 35374
(August 30,1985).
Clearly, in this case, substantial work was required to meet the
0.20 g/bhp-hr standard. Every manufacturer has included (or will soon
include) for the first time NOX aftertreatment (selective
catalytic reduction), on their engines to meet the standard. Prior to
deciding to change its technology approach, Navistar also greatly
modified its exhaust gas recirculation (EGR) system to reduce
NOX emissions and would likely have needed to do
significantly more work to further reduce its NOX emissions
to meet the standard. These are substantial changes to the emission
control systems of these engines. While several manufacturers are
currently using SCR systems, they were not doing so until they were
required to meet the 2010 NOX standard. Therefore, it is
clear that substantial work was needed to go from the previous standard
to achieve compliance with the 2010 NOX standard, and the
second criterion is satisfied.
The court also noted that NCPs are not intended in a situation
where the failure to achieve compliance is not related to technological
reasons, but to a manufacturer's choosing to not employ an available
complying technology. As discussed above, EPA agrees that the basis for
establishing NCPs must be a technological based laggard. The reasons
for not achieving the emissions standard in the lead time provided must
be based on a technological failure in developing and employing the
chosen technology pathway. The court refers to a statement made by EPA
when discussing the relationship between NCPs for the 2010
NOX standard and credits for the CO2 emissions
standards adopted for heavy-duty engines and trucks.\10\ 77 FR 4739
(January 31, 2012). EPA stated it was not providing NCPs for the new
CO2 emissions standard as it was not in a position to
determine that a technological laggard was likely to develop for that
CO2 standard. In that context, EPA also determined that an
engine that was certified to the 2010 NOX standard using
NCPs should not be able to generate credits at the same time under the
CO2 emissions standards. EPA recognized that there was an
interplay between NOX control and CO2 control,
such that higher levels of NOX could lead to lower levels of
CO2 emissions. Under those circumstances, providing credits
for the CO2 program could provide an incentive for a
manufacturer to increase NOX emissions but still certify an
engine using NCPs, where they could otherwise achieve the
NOX standard without NCPs. That manufacturer could then
generate credits under the CO2 program for the decrease in
CO2 emissions resulting from the increase in NOX
emissions. Thus, the manufacturer would be choosing to not comply with
a standard for which it was technologically capable of complying, and
would be doing so to generate emission credits that would provide it
some advantage in the future. This would not be consistent with either
the purpose of the CO2 credit program (to provide an
incentive for manufacturers to take technological and other efforts to
over comply with the CO2 standard) or the purpose of the NCP
program (to provide relief to
[[Page 54393]]
manufacturers that fail to achieve the standard on time for
technological reasons, not for other reasons such as the economic
benefit of generating CO2 credits by voluntarily increasing
emissions of NOX).
---------------------------------------------------------------------------
\10\ EPA stated ``NCPs have always been intended for
manufacturers that cannot meet an emission standard for
technological reasons rather than manufacturers choosing not to
comply.''
---------------------------------------------------------------------------
EPA's observation in the proposal confirmed that the basic purpose
of NCPs is to provide relief where there is a laggard for technological
reasons, not other reasons. The concerns raised regarding
CO2 credits and NOX NCPs are not related to our
finding that Navistar is a technological laggard. No one argues that
Navistar has failed to achieve a technological solution because of a
decision to generate credits or reap economic benefits elsewhere.
Instead Navistar's failure to achieve the standard as of this date is
based on technological and not other reasons.
This is similar to the circumstances in 2002 when Caterpillar
developed its ``ACERT'' technology rather than use cooled EGR
technology, which it had been developing until 2001. It needed to use
NCPs because of delays in developing ACERT. In that case, Caterpillar
did not dispute that cooled-EGR would achieve the necessary emission
reductions; rather it chose to attempt to meet the standard using what
it believed to be a superior technology.
The court also noted its concern with the level of the penalty in
the Interim Final Rule, and whether it adequately removed the economic
disadvantage to conforming manufacturers. That issue is addressed in
Section V. below.
V. Penalty Rates
This rulemaking is the most recent in a series of NCP rulemakings.
These are referred to as Phases and are referenced below.\11\ The
discussions of penalty rates and related reports and analyses in those
rulemakings are incorporated by reference. This section briefly reviews
the penalty rate formula originally promulgated in the Phase I rule
(currently found at 40 CFR 86.1113-87) and discusses how EPA arrived at
the penalty rates in this Final Rule.
---------------------------------------------------------------------------
\11\ The previous NCP rules include: the Phase VI rulemaking (67
FR 51464, August 8, 2002), Phase IV rulemaking (58 FR 68532,
December 28, 1993), Phase III rulemaking (55 FR 46622, November 5,
1990), the Phase II rulemaking (50 FR 53454, December 31, 1985) as
well as the Phase I rulemaking (50 FR 35374, August 30, 1985).
---------------------------------------------------------------------------
The penalty rates being established in this rule rely on the
existing NCP regulatory structure. Only a few changes are being made to
the regulations. As proposed, we are setting of the upper limit at 0.50
g/hp-hr and are clarifying in Sec. 86.1104-91 that EPA may set the
upper limit at: (1) a level below the previous standard if we determine
that the lower level is achievable by all engines, or (2) a level above
the previous standard if we determine that the standard is not
achievable by all engines. We also proposed cost parameters to reflect
the compliance costs for the 2010 standards and are finalizing these
cost parameters, after revising them based on comments. Finally, in
response to comments, we are clarifying that the second NCP criterion
is to be evaluated without regard to the specific timing of the NCP
rule.
We received many comments supporting higher or lower penalties for
a variety of reasons. However, the most important criteria in
evaluating the penalties are how they conform to the statutory
requirements and how they conform to the regulatory requirements. With
respect to the statutory requirements for the penalties in the first
year, we note that the purpose of adopting NCPs is to allow a
noncompliant manufacturer to continue selling its engines, provided it
pays the penalty. However, section 206(g) of the Clean Air Act directs
EPA to set the NCPs at a level that will ``remove any competitive
disadvantage'' to complying manufacturers. Contrary, to what some
commenters suggested, this first year penalty level is not intended to
punish the noncomplying manufacturer beyond the level needed to remove
any competitive disadvantage for complying manufacturers.
EPA has also set regulatory requirements for penalty levels. Most
significantly, the regulations require that penalties be based on total
incremental costs of compliance relative to engines at the upper limit,
which we have done. In the first NCP rule, it was determined that
compliance cost differences between engines at the upper limit and
engines at the standard would be appropriate measures of the
competitive disadvantage for complying manufacturers.\12\ We believe
that the final NCPs being established conform to both the regulatory
requirements and the statutory requirements.
---------------------------------------------------------------------------
\12\ While we have followed the regulatory formula for
determining penalties for this rule, it should be noted that if we
were to find that conforming to the regulatory requirements would
not conform to the statutory requirements, we would need to revise
the regulatory requirements through rulemaking.
---------------------------------------------------------------------------
The NCP rates being adopted in this FRM are specified for model
year 2012. As required by section 206(g) of the Act, the existing
regulations include a formula that increases (or ``escalates'') the
penalty rates with each new model year. The purpose of the escalator is
to provide an incentive for manufacturers who use NCPs for more than
one model year to achieve compliance quickly rather than continuing to
use NCPs for multiple model years.
As proposed, we will apply this annual adjustment formula to the
NCPs by setting the 2012 model year as year number one. This is
consistent with the existing regulatory text that states that year one
is the first year that NCPs are available (see 40 CFR 1113-87(a)(4)).
Traditionally, when NCPs are adopted, they are available the first
model year the new or revised emission standard applies and there is no
question about which model year should be year one for purposes of the
annual escalator. However, this is less straightforward for this NCP
rule. First, the 0.20 g/bhp-hr first applied beginning in the 2007
model year, as part of a phase-in, but did not take full effect until
MY2010. In addition, we are adopting NCPs more than two model years
later. While we received comments supporting setting 2010 as the base
year, we continue to believe the 2012 model year is the correct year
for the first year of the escalator calculation. As discussed further
in the Response to Comments document, we are not revising the
regulatory text that specifies that year one is the first year that
NCPs are available. Using the first year of NCP availability as the
first year for the escalator calculation, the initial NCPs (i.e., NCPs
during the first model year of availability) remove the disadvantage
for the complying manufacturers, as Congress intended. Under this
approach, the escalator would apply staring in MY2013, the earliest
that any manufacturers could be using NCPs for more than one model
year. This ties the initiation of the escalator, and the start of the
economic incentive it provides, to the first year in which
circumstances that call for such an incentive can exist--the second
year of availability. MY2013 is the first year any manufacturer could
use this NCP for multiple years. Adding an extra penalty equivalent to
two years of escalation is contrary to the intent for this escalation.
No manufacturer had access to NCPs prior to 2012, and requiring an
escalator based on the two previous years of the standard would treat a
manufacturer who uses NCPs in either 2012 or 2013 as if they had
already used NCPs for several more years than the actual usage. The
additional escalator and related additional incentive is more than is
needed to meet the objective of the escalator provision, and therefore
is consistent with the purpose of the escalator provision.
We are specifying the NCP formula using the normal NCP parameters:
COC50, COC90, MC50, F, and UL. The
[[Page 54394]]
NCP formula is the same as that promulgated in the Phase I rule. As was
done in previous NCP rules, we consider incremental manufacturer costs
and incremental owner costs (for complying engines relative to the
upper limit), but do not consider certification costs because both
complying and noncomplying manufacturers must incur certification
costs. COC50 is an estimate of the industry-wide average
incremental cost per engine (references to engines are intended to
include vehicles as well) associated with meeting the standard for
which an NCP is established, compared with meeting the upper limit.
COC90 is an estimate of the 90th percentile incremental cost
per engine associated with meeting the standard for which an NCP is
established, compared with meeting the associated upper limit.
Conceptually, COC50 represents costs for a typical or
average manufacturer, while COC90 represents costs for the
manufacturers with the highest compliance costs.
MC50 is an estimate of the industry-wide average
marginal cost of compliance per unit of reduced pollutant associated
with the least cost effective emission control technology installed to
meet the new standard. MC50 is measured in dollars per g/
bhp-hr for heavy-duty engines. F is a factor used to derive
MC90, the 90th percentile marginal cost of compliance with
the NCP standard for engines in the NCP category. MC90
defines the slope of the penalty rate curve near the standard and is
equal to MC50 multiplied by F. UL is the upper limit above
which no engine may be certified.
The derivation of the cost parameters is described in a support
document titled ``Technical Support Document: Nonconformance Penalties
for 2012 and later Highway Heavy-Duty Diesel Engines'' (Technical
Support Document), which is available in the public docket for this
rulemaking. All costs are presented in 2011 dollars. The Technical
Support Document also includes alternative cost analyses that were
considered. These alternative analyses are discussed in Section V.D of
this preamble.
A. Upper Limit
The upper limit (UL) is the emission level established by
regulation above which NCPs are not available. A heavy duty engine
cannot use NCPs to be certified for a level above the upper limit. CAA
section 206(g)(2) refers to the upper limit as a percentage above the
emission standard, set by regulation, that corresponds to an emission
level EPA determines to be ``practicable.'' The upper limit is an
important aspect of the NCP regulations not only because it establishes
an emission level above which no engine may be certified using NCPs,
but it is also a critical component of the cost analysis used to
develop the penalty rates. The regulations specify that the relevant
costs for determining the COC50 and the COC90
factors are the difference between an engine at the upper limit and one
that meets the applicable standards (see 40 CFR 86.1113-87).
The regulatory approach adopted under the prior NCP rules sets the
upper limit at the prior emission standard when a prior emission
standard exists and is then changed to become more stringent. EPA
concluded that this upper limit should be reasonably achievable by all
manufacturers with engines or vehicles in the relevant class. It should
be within reach of all manufacturers of HDEs or HDVs that are currently
allowed so that they can continue to sell their engines and vehicles
while finishing their development of fully complying engines. A
manufacturer of a previously certified engine or vehicle should not be
forced to immediately remove an HDE or HDV from the market when an
emission standard becomes more stringent. The prior emissions standard
generally meets these goals because manufactures have already certified
their vehicles to that standard.
In the NPRM, we proposed to revise the regulations in Sec.
86.1104-91 to clarify that EPA may set the upper limit at a level below
the previous standard if we determine that the lower level is
achievable by all engines or vehicles in the relevant subclass. That
provision of the regulations was not opposed by any commenters and is
included in this final rule. We are also finalizing the upper limit at
0.50 g/bhp-hr, which was widely supported by commenters. For this rule,
all manufacturers are currently certifying all of their engines at or
below the 0.50 g/bhp-hr FEL cap, providing clear evidence that this
level can be met by all manufacturers. The reason EPA has rejected past
suggestions that the upper limit should be more stringent than the
prior emission standard does not apply here, as there is no difficulty
in this case in identifying a limit that could be met by all
manufacturers. See 50 FR 35377 (August 30, 1985). Thus, setting the
upper limit for this NCP rule at 0.50 g/bhp-hr NOX conforms
to the purpose of the upper limit in setting NCPs.
As proposed, we are also specifying that EPA could set the upper
limit at a level above the previous standard in unusual circumstances,
such as where a new standard for a different pollutant or other
requirement effectively increases the stringency of the standard for
which NCPs would apply. This occurred for heavy heavy-duty engines with
the 2004 standards. While this change would not apply for this current
NCP rulemaking, we proposed to add this clarification to make the
regulations consistent with past practices.
B. Cost Parameter Values
The regulations being adopted specify that the values in Table 1 be
used in the NCP formula for the 2012 and later model year
NOX standard of 0.20 g/bhp-hr for heavy heavy-duty diesel
engines. The basis is summarized here. The complete derivation of these
parameters and a discussion of other approaches that were considered
are described in the Technical Support Document for this rulemaking.
Table 1--NCP Calculation Parameters
------------------------------------------------------------------------
Parameter Heavy heavy-duty diesel engines
------------------------------------------------------------------------
COC50............................... 3,219
COC90............................... $3,775
MC50................................ $10,729 per g/bhp-hr
F................................... 1.173
UL.................................. 0.50 g/bhp-hr
------------------------------------------------------------------------
Some commenters argued that EPA should not deviate from prior
precedents for calculating costs. However, EPA has not used the same
methodology in calculating costs in each of the previous NCP rules. In
each of our six previous NCP rulemakings, we estimated costs using a
methodology appropriate for the specific circumstances that applied at
the time. None were approached in exactly the same way. In each case we
considered key factors such as differences in calibration, hardware,
and operating costs, but there have been some NCP calculations where
other potential individual cost or cost saving elements have been
included or excluded for various reasons. In determining how to
calculate costs of compliance, EPA considers not only what data are
available, but also the extent to which each cost element may affect
the competitive balance of the market.
The NCP parameters being finalized were developed using the same
basic methodology described in the NPRM. As in all NCP rules, the final
NCPs are based on the estimated difference in compliance costs for
engines at the upper limit and engines at the standard. Thus, engines
with emissions at the upper limit can be considered to be baseline
engines for the analysis. These baseline engines also represent the
[[Page 54395]]
engines against which complying engines could compete in the
marketplace. In this analysis, the most important baseline engine is
the engine used as the baseline for calculating the nominally worst
case compliance costs (COC90). As is described later,
because the penalty curve being finalized in this NCP rule is a
straight line, the value of COC50 does not affect the
penalty curve.
The cost parameters being finalized are higher than the values
proposed. These changes reflect new information received during the
public comment period, most notably new updated information about fuel
and DEF prices that was not available at the time we completed the cost
analysis for the proposal. EPA also received comments suggesting that
the effectiveness of the heavy heavy-duty NCPs in meeting the statutory
requirement to remove competitive disadvantage for complying
manufacturer needs to be evaluated relative to engines that could be
developed in the near term (such as a reoptimized SCR engine). In
response to these comments and the new information received, EPA is
revising the COC90 baseline engine because we believe that
the revised baseline engine better represents an optimized engine than
the baseline engine used for the proposal. These changes are discussed
in more detail below.
The Clean Air Act's requirements to ``remove any competitive
disadvantage'' to complying manufacturers effectively requires EPA to
consider not only existing engines with NOX emissions over
the standard, but also engines that could reasonably be developed
during the period in which NCPs are available. Thus, the NCPs must be
high enough to protect complying manufacturers from a competitive
disadvantage relative both to SCR engines that are optimized to emit
NOX at a level of 0.50 g/bhp-hr and to engines without SCR
that emit at that level. We considered several methodologies for
estimating the incremental compliance costs between the upper limit and
the standard and selected the approach that best removes the potential
competitive disadvantage for complying manufacturers. See Section V. D.
for additional discussion of these alternate approaches.
It is important to note that while we received comments stating
that the level of our proposed NCP was not high enough to remove the
competitive advantage Navistar has selling non-SCR engines, none of the
commenters provided evidence that this was the case (such as evidence
of increased market share or increased profits for Navistar). None of
the commenters provided any method by which the value of Navistar's
actual competitive advantage could be calculated. Nevertheless, we have
determined based on the information available to us that Navistar's
competitive advantage is not greater than the competitive advantage
based on compliance costs that we calculated relative to the
reoptimized SCR baseline engine we have used as the basis of our
COC90 costs.
(1) General Methodology
Our approach to estimating compliance costs differs slightly from
that used in recent NCP rules, where EPA based the NCPs directly on the
actual compliance cost increases associated with meeting the standard
for complying manufacturers (borne by the complying manufacturers and
the operators who purchase their compliant engines), whether provided
by the manufacturers or estimated by EPA. This was appropriate in those
prior rules because each of the manufacturers had actually produced
engines at the upper limit (which was usually the previous emission
standard) and had reengineered those engines to meet the new or revised
standard, so the costs associated with that change were straightforward
to calculate. We determined that the manufacturers' input accurately
reflected the manufacturers' actual costs because the costs were
derived directly from actual in-production engine information. In the
case of this NCP rule, however, compliant manufacturers have generally
not designed and optimized their in-production engines for the U.S.
market at 0.50 g/bhp-hr NOX (the upper limit) and then
reengineered their engines to meet the 0.20 g/bhp-hr standard.\13\
Thus, a compliance cost estimate based directly on actual experience
for the full range of in-production engines was not available for this
NCP rule.
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\13\ Note that Cummins is using emission credits to certify one
medium heavy-duty engine family with a NOX FEL at 0.50 g/
hp-hr. While costs associated with this medium heavy-duty engine
cannot be used directly for heavy heavy-duty engines, as described
in the Final TSD, related confidential cost information provided by
Cummins was used to significantly inform our cost analysis.
---------------------------------------------------------------------------
Instead of averaging actual cost increases relative to the upper
limit (because none were available), the NCP penalty formulas for this
rule are based primarily on EPA's estimate of the cost difference
between a hypothetical engine emitting at the upper limit (the
``baseline engine'') and one emitting at the standard (the ``compliant
engine''). We received compliance cost information from several engine
manufacturers, both before the proposal and during the comment period,
and used that information to inform our own analysis of compliance
costs, as described in the Technical Support Document.
It is worth noting that each of the engine manufacturers that
provided cost information before the proposal considered baseline
engines with different technology packages. However in their comments
on the proposal, complying manufacturers based their compliance costs
on either a baseline engine equipped with similar hardware as EPA's
revised baseline engine, or based on a pre-2010 non-SCR engine with
NOX emissions near 1.2 g/bhp-hr. See Section V. D. of this
notice for a discussion of why using the 1.2 g/bhp-hr baseline engine
is not appropriate.
As noted earlier, with NCPs available, a complying manufacturer
could compete against not only EGR-equipped engines, but also against
SCR-equipped engines that could be reoptimized to emit at 0.50 g/hr-hr.
Since engine manufacturers are not currently producing SCR-equipped
heavy heavy-duty engines at the upper limit, such engines must be
considered based on our best estimate of how such an engine would be
manufactured. Based on our review of the various hypothetical baseline
engine designs, we proposed to use as a baseline engine our best
estimate of an optimized SCR engine, because we believed it would be
the most competitive 0.50 g/bhp-hr engine. Information available at
that time projected little difference when comparing fuel and DEF
prices, so for the proposal we assumed the baseline engine would have
been optimized to use less DEF compared to 0.20 g/bhp-hr engines but
had the same fuel consumption rates.\14\ We did not believe there would
be a significant difference in costs using a baseline engine optimized
for better fuel consumption, because we projected that fuel savings
would have been offset by increased DEF costs. As is described in the
Technical Support Document, for the proposal we also believed
estimating costs by this approach was the least speculative method to
determine compliance costs, and we did not believe there were competing
designs that were substantially more competitive based on the
compliance cost inputs we used.
---------------------------------------------------------------------------
\14\ The proposal was based on the Energy Information
Administration's 2011 fuel price projections and the retail price of
DEF in October 2011; this Final Rule is based on the Energy
Information Administration's 2012 fuel price projections and the DEF
price projection from Integer Research. See Chapter 3 of the
Technical Support Document for additional detail.
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[[Page 54396]]
Based on new information and comments we received, we are revising
our baseline engine for the heavy heavy-duty service class.
Specifically, as is described below, we are revising the
COC90 baseline engine to be more optimized for low fuel
consumption at 0.50 g/bhp-hr NOX than was assumed for the
proposal. For the proposal, we estimated that reducing NOX
emissions from 0.50 g/bhp-hr to 0.20 g/bhp-hr would require an increase
in DEF consumption but would not change fuel consumption because we
projected that there would be little price difference between DEF and
fuel. However, we now have new information indicating that fuel prices
will likely be at least one dollar per gallon higher than DEF prices
for the foreseeable future. We agree with commenters that engine
manufacturers designing engines for 0.50 g/bhp-hr NOX would
have responded (and could still respond) to this price difference by
optimizing their existing 0.20 g/bhp-hr SCR engine designs to have
slightly higher engine-out NOX, which would reduce fuel
consumption, and reduce the excess NOX by increasing DEF
consumption. Thus compared to this revised baseline engine, a compliant
engine would have higher fuel consumption but lower DEF consumption.
We are now projecting that DEF prices will be at least one dollar
less per gallon than diesel fuel prices for the foreseeable future (as
shown in Figure 2), and the appropriate baseline engine is one that
would have been designed to take advantage of this price difference. We
have updated our fuel price projections using the Energy Information
Administration's (EIA) Annual Energy Outlook 2012 (AEO2012) to project
fuel prices through 2035. EIA is now projecting diesel fuel prices will
be about fifty cents more per gallon than was projected in 2011. We
have also revised our projection of DEF prices based on information
from Integer Research provide by commenters. While we proposed using a
constant DEF price through 2042 (because we did not have any
projections for future DEF prices at the time we developed the
proposal), we are now projecting that DEF prices will fall for the next
few years, and then increase as the price of natural gas increases
(using AEO2012 projections).\15\
---------------------------------------------------------------------------
\15\ Natural gas is used in the production of urea, a primary
component of DEF.
[GRAPHIC] [TIFF OMITTED] TR05SE12.025
The current baseline engine is similar, but not identical, to what
we proposed with respect to hardware. As proposed, the baseline engine
technology package would employ the same basic emission controls used
to meet the 2007 NOX and PM emission standards (e.g. cooled
exhaust gas recirculation (EGR), optimized turbo-charging, optimized
fuel injection, diesel particulate filters), plus liquid urea based
selective catalytic reduction (SCR) NOX emissions control
technology with an appropriately sized tank for the liquid urea (also
known as diesel emission fluid or ``DEF''). However, we now believe the
baseline engine could have used less expensive hardware than we
proposed. We continue to believe that manufacturers could reduce the
size of the SCR catalyst if they were allowed to meet a higher
NOX emission limit. In addition, we now believe that they
could also reduce the precious metal loading of the diesel oxidation
catalyst (DOC), and lower the cost of the turbocharger. Thus, the
hardware component of the compliance costs has gone up from what we
proposed (i.e., the cost of the hardware on the baseline engine has
gone down). Further details are provided in this rule's Technical
Support Document.
(a) Calculated Values
The most significant of the NCP parameters is the 90th percentile
costs
[[Page 54397]]
of compliance, COC90, which defines the penalty for engines
emitting at the upper limit. The value of COC50 is important
only when EPA estimates that marginal compliance costs change as the
compliance level approaches the standard. In such cases,
COC50 defines that point on the curve at which the slope
changes. However, for this NCP rule we believe that because of the
narrow emission range between the upper limit and the standard (0.20 to
0.50 g/bhp-hr), it is appropriate to assume that marginal compliance
costs are constant. Thus, we are not summarizing our derivation of
COC50 in this preamble since its value does not affect the
penalty amounts. See the Technical Support Document for a discussion of
COC50.
We estimated COC90 by assuming the baseline engine would
have been an SCR equipped engine with tailpipe NOX emissions
at 0.50 g/bhp-hr and that it would have looked very similar to an
engine with tailpipe NOX emissions at 0.20 g/bhp-hr.
However, as noted above, the higher NOX emissions of the
baseline engine would allow the use of less expensive hardware and
would be calibrated to minimize the combined consumption of fuel and
DEF. As described in more detail in the Technical Support Document, we
estimated reasonable 90th percentile (or worst case) costs associated
with bringing such a baseline engine into full compliance with the 0.20
g/bhp-hr NOX emission standard.\16\ We note that the average
costs associated with SCR may well be lower than the 90th percentile
costs presented here.
---------------------------------------------------------------------------
\16\ The Act requires that we remove competitive disadvantage
for complying manufacturers. We recognize that there is uncertainty
in our estimates. To ensure that we protect the complying
manufacturer our overall approach is somewhat conservative. See the
Technical Support Document for additional discussion of how we
addressed uncertainty in our estimates.
---------------------------------------------------------------------------
We estimate that the SCR hardware used by a complying manufacturer
(i.e., an SCR system that would achieve 0.20 g/bhp-hr NOX)
cost the manufacturer $5,522 per engine for the 90th percentile engine
compared to an engine emitting at 1.2 g/bhp-hr. We estimate that the
baseline hardware (i.e., an engine and SCR system that would achieve
0.50 but not 0.20 g/bhp-hr NOX) for the 90th percentile
engine would have cost the manufacturers only $4,441 (including R&D,
warranty, and other overhead costs) after hardware savings associated
with the DOC and turbocharger are deducted. Therefore, the
manufacturers would have to spend $1,081 more in hardware, R&D,
warranty and other overhead costs to produce a 0.20 g/bhp-hr engine
than it would have cost to produce a 0.50 g/bhp-hr engine. We
calculated the difference in operating costs the same way.
These COC90 costs are summarized in the Table 2. The
values in the tables are the costs that would be incurred by a
manufacturer or operator for a model year 2012 0.20 g/bhp-hr engine
relative to a 0.50 g/bhp-hr baseline engine. All operating costs are
presented as net present value (NPV) relative to 2012 using a 7 percent
discount rate.\17\ For example, we estimate that the NPV of the
lifetime fuel cost of a 0.20 g/bhp-hr engine would be $8,833 higher
than the fuel cost for a baseline engine, but the NPV of DEF costs
would be $6,191 lower.
---------------------------------------------------------------------------
\17\ Penalties are calculated based on costs for a model year
2012 engine. The regulations include separate provisions to increase
penalties for later model years.
Table 2--COC90 Dollar-per-Engine [dagger] Costs
[2011 dollars]
------------------------------------------------------------------------
FRM COC90 NPRM COC90
------------------------------------------------------------------------
Lifetime Fuel Costs........................... $8,833 $0
Lifetime DEF Costs (Savings).................. (6,191) 1,374
Hardware Costs................................ 927 474
Research and Development Cost................. 19 9
Warranty and Other Manufacturer Costs......... 135 62
Operator Repair Costs......................... 52 0
-------------------------
Total Cost................................ 3,775 1,919
------------------------------------------------------------------------
[dagger] Although penalties are accessed per engine, costs include
vehicle costs.
We estimated the marginal costs of compliance as being equal to the
total incremental costs of compliance divided by 0.30 g/bhp-hr (the
difference between the upper limit and the standard). This assumes that
the cost to reduce emissions from 0.30 g/bhp-hr to 0.20 g/bhp-hr is not
significantly different from the cost to reduce emissions from 0.50 g/
bhp-hr to 0.40 g/bhp-hr. This results in a penalty curve that is a
straight line, which in turn makes our estimate of the average cost of
compliance irrelevant to the calculation of the penalty. In other
words, the COC50 point lies directly between zero cost at
0.20 g/bhp-hr and COC90 at the Upper Limit of 0.50 g/bhp-hr
NOX. The penalty paid for engines at any compliance level
between the standard and the upper limit would be equal to EPA's
estimate of the highest marginal cost paid by a complying manufacturer
for the same emission range.
C. Resulting Penalties
The calculation parameters listed in Table 1are used to calculate
the penalty rate. These parameters are used in the penalty rate
formulas which are defined in the existing NCP regulations (See 40 CFR
86.1113(a)(1) and (2)). Using the parameters in Table 1, and the
equations in the existing NCP regulations, we have plotted penalty
rates versus compliance levels in Figure 1 above. This penalty curve is
for the first year of use of the NCPs (i.e., the annual adjustment
factors specified in the existing NCP regulations have been set equal
to one). The maximum first year penalty is equal to COC90,
which is $3,775.
The Clean Air Act NCP provisions require that the penalty be set at
such a level that it removes competitive disadvantage for a complying
manufacturer. For the reasons described in the Technical Support
Document, we believe that the NCPs being established in this rulemaking
fulfills this requirement.
D. Consideration of Other Methodologies
We received comments suggesting how we should revise our estimated
costs, if we continued to use the proposed methodology. Where
appropriate, we incorporated these concepts into our final cost
[[Page 54398]]
methodology. We also received comments arguing that we should change
our methodology. However, as described in the Technical Support
Document, we determined that the other methodologies were not
appropriate.
Our primary methodology estimates the difference in lifetime
compliance costs between a compliant 0.20 g/bhp-hr engine and a 0.50 g/
bhp-hr engine that we believe would have the greatest competitive
advantage over the compliant engine. As noted earlier, we believe that
an SCR engine optimized for 0.50 g/bhp-hr would have the greatest
competitive advantage over compliant engines. Two of the other
approaches we considered would have involved using non-SCR engines as
the baseline engines, as suggested by some commenters. However, as
described below, we determined that these approaches would not
sufficiently remove the potential competitive advantage of an optimized
SCR engine.
In the first approach we considered using a 0.50 g/bhp-hr EGR
engine (such as the engines Navistar is currently selling) as the
baseline engine. This option was supported by one manufacturer during
preproposal discussion, but was not supported in any comments on the
NPRM. Nevertheless, we evaluated this approach to ensure that our
methodology is the most appropriate one. Specifically, we estimated the
hardware and operating costs associated with adding SCR to a non-SCR
engine to meet the 0.20 g/bhp-hr standard. As is described in the
Technical Support Document, we estimated that there would be
significant hardware costs to add SCR plus significant operating costs
for DEF consumption. However, these would be mostly offset by the fuel
savings associated with SCR engines, plus hardware savings from down-
sizing the EGR system. The combined effect would be to make the costs
of going from the EGR engine to the compliant engine lower than the
costs of going from the baseline SCR engine to the compliant engine.
Put another way, this means that the cost savings of changing from a
compliant engine to an EGR-only engine are smaller than the cost
savings of changing from a compliant engine to the baseline SCR engine,
indicating that an EGR engine at 0.50 g/bhp-hr would have a smaller
competitive advantage than the baseline engine we used to develop the
final NCPs. Moreover, this means that NCPs based on this approach would
not remove the competitive disadvantage to complying manufacturers,
where manufacturers of optimized SCR engines could pay the lower NCP
and still have a competitive advantage over compliant engines.
In the second approach, we considered setting an upper limit at 1.2
g/bhp-hr and including the full cost of SCR as the compliance cost. As
was true for the previous approach, we estimated that most of the
hardware and DEF costs would be offset by the fuel savings, making the
NCP at 0.50 g/bhp-hr lower than our estimate of the competitive
advantage for SCR engines optimized for 0.50 g/bhp-hr. This means that
setting the upper limit at 1.2 and calculating costs in this way would
not remove the competitive disadvantage for complying manufacturers
compared to a manufacturer who optimized its SCR engine for 0.50 g/bhp-
hr NOX. Note that while we evaluated this approach with
respect to costs and competitive disadvantage, we think that there are
other reasons why it would not be appropriate to set the upper limit at
1.2 g/bhp-hr. In particular, the upper limit may not be set at a level
that is higher than the level that EPA determines is practicable, which
would be no higher than 0.50 g/bhp-hr.
Finally, we considered other scenarios in which the baseline engine
would have been an SCR engine that was fundamentally redesigned to have
NOX emissions at 0.50 g/bhp-hr (rather than reoptimizing an
existing design). For example, some manufacturers have suggested that
it would be possible to redesign engines to meet 0.50 g/bhp-hr without
cooled EGR. This could result in significant savings for hardware and
warranty costs. We determined that, while it may well be
technologically possible to redesign current SCR engines to meet 0.50
g/bhp-hr NOX with significantly lower hardware costs, there
is no business scenario in which such savings would justify paying an
NCP. Fundamentally redesigning an engine would take a minimum of two
years and involve substantial capital costs. So a manufacturer that
began redesigning its engines today could not expect to have the new
engine ready for production before model year 2015. At that point, the
annual adjustments to the NCPs would have increased the penalty
substantially. Moreover, using NCPs in model year 2015 and later would
result in a rapidly increasing penalty due to the annual adjustment
factors, so a manufacturer would need to recover all of its investments
within one or two model years. However, this would require the
manufacturer to raise its prices so much that it would make its engines
uncompetitive in the marketplace.
VI. Economic Impact
Because the use of NCPs is optional, manufacturers have the
flexibility and will likely choose whether or not to use NCPs based on
their ability to comply with emissions standards. If no manufacturer
elects to use NCPs, these manufacturers and the users of their products
will not incur any additional costs related to NCPs. NCPs remedy the
potential problem of having a manufacturer forced out of the
marketplace due to that manufacturer's inability to conform to new,
strict emission standards in a timely manner. Without NCPs, a
manufacturer which has difficulty certifying HDEs in conformance with
emission standards or whose engines fail a Selective Enforcement Audit
(SEA) has only two alternatives: fix the nonconforming engines, perhaps
at a prohibitive cost, or prevent their introduction into commerce. The
availability of NCPs provides manufacturers with a third alternative:
continue production and introduce into commerce upon payment of a
penalty an engine that exceeds the standard until an emission
conformance technique is developed. Therefore, NCPs represent a
regulatory mechanism that allows affected manufacturers to have
increased flexibility. A decision to use NCPs may be a manufacturer's
only way to continue to introduce its products into commerce.
VII. Environmental Impact
When evaluating the environmental impact of this rule, one must
keep in mind that, under the Act, NCPs are a consequence of enacting
new, more stringent emissions requirements for heavy duty engines.
Emission standards are set at a level that most, but not necessarily
all, manufacturers can achieve by the model year in which the standard
becomes effective. Following International Harvester v. Ruckelshaus,
478 F. 2d 615 (DC Cir. 1973), Congress realized the dilemma that
technology-forcing standards could potentially cause, and allowed
manufacturers of heavy-duty engines to certify nonconforming vehicles/
engines upon the payment of an NCP, under certain terms and conditions.
This mechanism was intended to allow manufacturer(s) who cannot meet
technology-forcing standards immediately to continue to manufacture
nonconforming engines while they tackle the technological problems
associated with meeting new emission standard(s). Thus, as part of the
statutory structure to force technological improvements without driving
manufacturers or individual engine models out of the market, NCPs
[[Page 54399]]
provide a flexibility that fosters long-term emissions improvement
through the setting of lower emission standards at an earlier date than
could otherwise be feasible. Because NCPs are designed to increase with
time, manufacturers using NCPs are likely to reduce emission levels to
meet the standard as quickly as possible, which minimizes the
environmental impact.
As is always the case with NCPs, the potential exists for there to
be more extensive use of NCPs beyond what is projected at this time,
where we project use by one manufacturers for a limited number of model
years. For example, depending upon the penalty rate and other factors,
some otherwise fully compliant manufacturers could elect to pay the NCP
in order to reconfigure their 0.20 g/bhp-hr NOX compliant
engines to emit up to 0.50 g/bhp-hr so that they can re-optimize engine
hardware and vehicle operating costs. This potential action is not
without R&D and other financial costs to the manufacturer and thus is
not a decision which would be taken lightly. Furthermore, we believe
that any such impacts would be short-term and self-limiting in nature
because the NCP annual adjustment factor, established via prior NCP
rules, increases the levels of the penalties over time and based on the
extent of the use of NCPs by all manufacturers. In other words the NCP
program is structured such that the incentives to produce engines that
meet the standard increase year-by-year and increase upon NCP use. The
practical impact of this adjustment factor is that the NCPs will
rapidly become an undesirable option for all manufacturers that may
elect to use them. However, while we expect their use to be limited, we
have no way of predicting at this time exactly how many engines will
make use of the NCPs. Navistar has indicated that it will use NCPs
until sometime in 2013, when it begins introducing vehicles with SCR
technology that meet the 0.20 g/hp-hr standard. Because of these
uncertainties we are unable to accurately quantify the potential impact
the NCPs might have on emission inventories, although, as stated above,
any impacts are expected to be short-term and self-limiting in nature.
VIII. Emission Standards for Which We Are Not Establishing NCPs in This
Final Rule
This section identifies the emission standards for which we are not
establishing NCPs in this Final Rule.
A. Medium Heavy Duty Diesel NOX Standards
EPA proposed to find that the criteria for providing NCPs had been
met for medium heavy duty diesel engines, and we proposed NCPs for
these engines. However, EPA is not taking final action with regard to
NCPs for these engines at this time because EPA has not completed its
review of the comments and the technical data regarding establishing
NCPs for these engines. A full discussion of compliance costs for
medium heavy-duty engines is contained in Appendix C of the TSD for
this rule. Parties may provide comments regarding these estimates by
submitting comments to the docket for this rule.
B. Light Heavy-Duty Diesel NOX Standards
EPA believes that the first two NCP criteria have been met for the
2010 NOX standard for light heavy-duty diesel engines.
However, we have not determined that there is likely to be a
technological laggard. We are unaware of any manufacturer that will be
unable to either achieve 0.20 g/bhp-hr for the 2012 and 2013 model year
or will not have sufficient NOX emission credits to continue
certifying light heavy-duty engines for the foreseeable future.
C. Heavy-Duty Gasoline Engine Standards
In a final rule published on January 18, 2001 (66 FR 5001), EPA
established more stringent emission standards for all heavy-duty
gasoline (or ``Otto-cycle'') vehicles and engines. These standards took
two forms: a chassis-based set of standards for complete vehicles under
14,000 pounds GVWR (the chassis-based program), and an engine-based set
of standards for all other Otto-cycle heavy-duty engines (the engine-
based program). Each of the two programs has an associated averaging,
banking, and trading (ABT) program. The new standards generally took
effect starting with the 2008 model year, and since all manufacturers
are in compliance with them, the criteria for establishing NCPs has not
been met and we are not establishing NCPs for gasoline engines or
vehicles.
D. Heavy-duty Diesel Engine NMHC, CO, and PM Standards
EPA adopted new NMHC and PM for model year 2007 and later heavy-
duty engines in the same rule that set the 2010 NOX emission
standard (66 FR 5001, January 18, 2001). The CO standard was not
changed. We are not establishing NCPs for any of these other standards
because all manufacturers are already fully compliant with them.
E. Heavy-duty CO2 Standards
In a final rule published on September 15, 2011 (76 FR 57106), EPA
established new CO2 emission standards for all heavy-duty
vehicles and engines. We are not considering NCPs for any of these
standards at this time because we currently do not have a basis to
conclude that a technological laggard is likely to develop.
As proposed, we are adding a new regulatory provision related to
these CO2 emission standards. The provision prohibits
generating emission credits for CO2 or any other pollutant
from engines paying NCPs for NOX. Given the general tradeoff
between CO2 and NOX emissions, we were concerned
that a manufacturer capable of meeting the 0.20 g/bhp-hr NOX
emission standard could choose to pay an NCP in order to generate
CO2 credits by recalibrating its engines for higher
NOX emissions and lower CO2. There are two
reasons this would be inappropriate. It would not be consistent with
either the purpose of the CO2 credit program (to provide an
incentive for manufacturers to take technological and other efforts to
over comply with the CO2 standard) and would not be
consistent with the purpose of the NCP program (to provide relief to
manufacturers that fail to achieve the standard on time for
technological reasons, not for other reasons such as the economic
benefit of generating CO2 credits by voluntarily increasing
emissions of NOX).
IX. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
Under Executive Order 12866 (58 FR 51735, October 4, 1993), this
action is a ``significant regulatory action'' because it raises novel
legal and policy issues. Accordingly, EPA submitted this action to the
Office of Management and Budget (OMB) for review under Executive Orders
12866 and 13563 (76 FR 3821, January 21, 2011) and any changes made in
response to OMB recommendations have been documented in the docket for
this action.
B. Paperwork Reduction Act
This action does not impose any new information collection burden.
It only updates the penalty amounts to correspond to the current
emission standards. However, the Office of Management and Budget (OMB)
has previously approved the information collection requirements
contained in the existing regulations 40 CFR part 86,
[[Page 54400]]
subpart L under the provisions of the Paperwork Reduction Act, 44
U.S.C. 3501 et seq. and has assigned OMB control number 2060-0132. The
OMB control numbers for EPA's regulations in 40 CFR are listed in 40
CFR part 9.
C. Regulatory Flexibility Act
(1) Overview
The Regulatory Flexibility Act generally requires an agency to
prepare a regulatory flexibility analysis of any rule subject to notice
and comment rulemaking requirements under the Administrative Procedure
Act or any other statute, unless the agency certifies that the rule
will not have a significant economic impact on a substantial number of
small entities. Small entities include small businesses, small
organizations, and small governmental jurisdictions.
For purposes of assessing the impacts of these rules on small
entities, small entity is defined as: (1) a small business as defined
by SBA regulations at 13 CFR 121.201; (2) a small governmental
jurisdiction that is a government of a city, county, town, school
district or special district with a population of less than 50,000; and
(3) a small organization that is any not-for-profit enterprise which is
independently owned and operated and is not dominant in its field.
(2) Summary of Potentially Affected Small Entities
After considering the economic impacts of this rule on small
entities, I certify that this action will not have a significant impact
on a substantial number of small entities.
When these emission standards were established, the final
rulemaking (66 FR 5001, January 18, 2001) noted that we were not aware
of ``any manufacturers of heavy-duty engines that meet SBA's definition
of a small business.'' Based on an updated assessment, EPA has
identified a total of about 14 manufacturers that produce diesel cycle
heavy-duty motor vehicle engines. Of these, none of these are small
businesses that are producing engines with NOX emissions
above 0.20 g/bhp-hr. Based on this, we are certifying that this rule
will not have a significant economic impact on a substantial number of
small entities.
(3) Conclusions
I therefore certify that this Final Rule will not have a
significant economic impact on a substantial number of small entities.
D. Unfunded Mandates Reform Act
This rule does not contain a Federal mandate that may result in
expenditures of $100 million or more for State, local, and tribal
governments, in the aggregate, or the private sector in any one year.
The agency has determined that this action does not contain a Federal
mandate that may result in expenditures of $100 million or more for the
private sector in any one year. Because the use of NCPs is optional,
manufacturers have the flexibility and will likely choose whether or
not to use NCPs based on their ability to comply with emissions
standards. The availability of NCPs provides manufacturers with a third
alternative: to continue production and introduce into commerce upon
payment of a penalty an engine that exceeds the standard until an
emission conformance technique is developed. Therefore, NCPs represent
a regulatory mechanism that allows affected manufacturers to have
increased flexibility. Thus, this action is not subject to the
requirements of sections 202 or 205 of the UMRA. This action is also
not subject to the requirements of section 203 of the UMRA because it
contains no regulatory requirements that might significantly or
uniquely affect small governments.
E. Executive Order 13132 (Federalism)
Executive Order 13132, entitled ``Federalism'' (64 FR 43255, August
10, 1999), requires EPA to develop an accountable process to ensure
``meaningful and timely input by State and local officials in the
development of regulatory policies that have federalism implications.''
``Policies that have federalism implications'' is defined in the
Executive Order to include regulations that have ``substantial direct
effects on the States, on the relationship between the national
government and the States, or on the distribution of power and
responsibilities among the various levels of government.''
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. These rules will apply to
manufacturers of on-highway engines and not to state or local
governments. Thus, Executive Order 13132 does not apply to this action.
F. Executive Order 13175 (Consultation and Coordination With Indian
Tribal Governments)
This Final Rule does not have tribal implications, as specified in
Executive Order 13175 (65 FR 67249, November 9, 2000). This rule will
be implemented at the Federal level and impose compliance costs only on
engine manufacturers who elect to use the NCP regulatory flexibility to
comply with emissions standards. Tribal governments would be affected
only to the extent they purchase and use engines and vehicles to which
an NCP has been applied. Thus, Executive Order 13175 does not apply to
this rule.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
Executive Order 13045: Protection of Children from Environmental
Health Risks and Safety Risks (62 FR 19885, April 23, 1997) applies to
any rule that: (1) is determined to be ``economically significant'' as
defined under Executive Order 12866, and (2) concerns an environmental
health or safety risk that EPA has reason to believe may have a
disproportionate effect on children. If the regulatory action meets
both criteria, the agency must evaluate the environmental health or
safety effects of the planned rule on children, and explain why the
planned regulation is preferable to other potentially effective and
reasonably feasible alternatives considered by the agency.
EPA interprets Executive Order 13045 as applying only to those
regulatory actions that are based on health or safety risks, such that
the analysis required under section 5-501 of the Order has the
potential to influence the regulation. This rule is not subject to
Executive Order 13045 because it does not establish an environmental
standard intended to mitigate health or safety risks.
H. Executive Order 13211 (Energy Effects)
This action is not a ``significant energy action'' as defined in
Executive Order 13211 (66 FR 28355 (May 22, 2001)), because it is not
likely to have a significant adverse effect on the supply,
distribution, or use of energy. We have concluded that any energy
impacts of this rule will be small because:
The NCPs will be used for a limited duration.
This rule will affect a small number of heavy duty
vehicles relative to the total in-use fleet.
The per-vehicle impact of this rule will be small.
[[Page 54401]]
I. National Technology Transfer Advancement Act
Section 12(d) of the National Technology Transfer and Advancement
Act of 1995 (``NTTAA''), Public Law 104-113, 12(d) (15 U.S.C. 272 note)
directs the agencies to use voluntary consensus standards 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 voluntary consensus standards bodies. NTTAA directs EPA to
provide Congress, through OMB, explanations when the EPA decides not to
use available and applicable voluntary consensus standards.
This rule does not involve technical standards. Therefore, EPA is
not considering the use of any voluntary consensus standards.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
Executive Order 12898 (59 FR 7629, February 16, 1994) establishes
federal executive policy on environmental justice. Its main provision
directs federal agencies, to the greatest extent practicable and
permitted by law, to make environmental justice part of their mission
by identifying and addressing, as appropriate, disproportionately high
and adverse human health or environmental effects of their programs,
policies, and activities on minority populations and low-income
populations in the United States.
EPA has determined that this action will not have
disproportionately high and adverse human health or environmental
effects on minority or low-income populations. The overall
environmental impacts of this action are expected to be small and of
limited duration. Moreover, there is no reason to believe that trucks
using NCP engines will be more likely to operate near any minority or
low-income populations than other trucks.
K. Congressional Review Act
The Congressional Review Act, 5 U.S.C. 801 et seq., as added by the
Small Business Regulatory Enforcement Fairness Act of 1996, generally
provides that before a rule may take effect, the agency promulgating
the rule must submit a rule report, which includes a copy of the rule,
to each House of the Congress and to the Comptroller General of the
United States. EPA will submit a report containing this rule and other
required information to the U.S. Senate, the U.S. House of
Representatives, and the Comptroller General of the United States prior
to publication of the rule in the Federal Register.
Nonconformance Penalties for On-highway Heavy-Duty Diesel Engines
Major rule cannot take effect until 60 days after it is published
in the Federal Register. This action is not a ``major rule'' as defined
by 5 U.S.C. 804(2). This rule will be effective September 5, 2012.
X. Statutory Provisions and Legal Authority
Statutory authority for the vehicle controls in these rules is
found in CAA sections 202 and 206(g), of the CAA, 42 U.S.C. 7521 and
7525(g).
List of Subjects in 40 CFR Part 86
Administrative practice and procedure, Confidential business
information, Motor vehicle pollution, Reporting and recordkeeping
requirements.
Dated: August 30, 2012.
Lisa P. Jackson,
Administrator.
For the reasons set forth in the preamble, the Environmental
Protection Agency is amending 40 CFR chapter I of the Code of Federal
Regulations as follows:
PART 86--CONTROL OF EMISSIONS FROM NEW AND IN-USE HIGHWAY VEHICLES
AND ENGINES
0
1. The authority citation for part 86 continues to read as follows:
Authority: 42 U.S.C. 7401-7671q.
Subpart L--[Amended]
0
2. Section 86.1103-87 is revised to read as follows:
Sec. 86.1103-87 Criteria for availability of nonconformance
penalties.
(a) EPA shall establish for each subclass of heavy-duty engines and
heavy-duty vehicles (other than motorcycles), an NCP for a motor
vehicle pollutant, when any new or revised emission standard is more
stringent than the previous standard for the pollutant, or when an
existing standard for that pollutant becomes more difficult to achieve
because of a new or revised standard, provided that EPA finds:
(1) That for such subclass of engines or vehicles, substantial work
is required to meet the standard for which the NCP is offered, and
(2) That there is likely to be a technological laggard.
(b) Substantial work, as used in paragraph (a)(1) of this section,
means the application of technology that was not generally used in an
engine or vehicle class or subclass to meet standards prior to the
implementation of the new or revised standard, or the significant
modification of existing technology or design parameters, needed to
bring the vehicle or engine into compliance with either the more
stringent new or revised standard or an existing standard which becomes
more difficult to achieve because of a new or revised standard.
Substantial work is determined by the total amount of work required to
meet the standard for which the NCP is offered, compared to the
previous standard, irrespective of when EPA establishes the NCP.
0
3. Section 86.1104-91 is revised to read as follows:
Sec. 86.1104-91 Determination of upper limits.
EPA shall set a separate upper limit for each phase of NCPs and for
each service class.
(a) Except as provided in paragraphs (b), (c), and (d) of this
section, the upper limit shall be set as follows:
(1) The upper limit applicable to a pollutant emission standard for
a subclass of heavy-duty engines or heavy-duty vehicles for which an
NCP is established in accordance with Sec. 86.1103-87, shall be the
previous pollutant emission standard for that subclass.
(2) If a manufacturer participates in any of the emissions
averaging, trading, or banking programs, and carries over certification
of an engine family from the prior model year, the upper limit for that
engine family shall be the family emission limit of the prior model
year, unless the family emission limit is less than the upper limit
determined in paragraph (a) of this section.
(b) If no previous standard existed for the pollutant under
paragraph (a) of this section, the upper limit will be developed by EPA
during rulemaking.
(c) EPA may set the upper limit during rulemaking at a level below
the level specified in paragraph (a) of this section if we determine
that a lower level is achievable by all engines or vehicles in that
subclass.
(d) EPA may set the upper limit at a level above the level
specified in paragraph (a) of this section if we determine that the
such level will not be achievable by all engines or vehicles in that
subclass.
0
4. Section 86.1105-87 is amended by revising paragraph (e) and adding
paragraph (j) to read as follows:
[[Page 54402]]
Sec. 86.1105-87 Emission standards for which nonconformance penalties
are available.
* * * * *
(e) The values of COC50, COC90, and
MC50 in paragraphs (a) and (b) of this section are expressed
in December 1984 dollars. The values of COC50,
COC90, and MC50 in paragraphs (c) and (d) of this
section are expressed in December 1989 dollars. The values of
COC50, COC90, and MC50 in paragraph
(f) of this section are expressed in December 1991 dollars. The values
of COC50, COC90, and MC50 in
paragraphs (g) and (h) of this section are expressed in December 1994
dollars. The values of COC50, COC90, and
MC50 in paragraph (i) of this section are expressed in
December 2001 dollars. The values of COC50,
COC90, and MC50 in paragraph (j) of this section
are expressed in December 2011 dollars. These values shall be adjusted
for inflation to dollars as of January of the calendar year preceding
the model year in which the NCP is first available by using the change
in the overall Consumer Price Index, and rounded to the nearest whole
dollar in accordance with ASTM E29-67 (reapproved 1980), Standard
Recommended Practice for Indicating Which Places of Figures Are To Be
Considered Significant in Specified Limiting Values. This method was
approved by the Director of the Federal Register in accordance with 5
U.S.C. 552(a) and 1 CFR part 51. This document is available from ASTM
International, 100 Barr Harbor Drive, P.O. Box C700, West Conshohocken,
PA 19428-2959, and is also available for inspection as part of Docket
A-91-06, located at the U.S. EPA, Air and Radiation Docket and
Information Center, 1301 Constitution Ave. NW., Room 3334, EPA West
Building, Washington, DC 20004, (202) 202-1744 or at the National
Archives and Records Administration (NARA). For information on the
availability of this material at NARA, call 202-741-6030, or go to:
https://www.archives.gov/federal-register/cfr/ibr-locations.html. This
incorporation by reference was approved by the Director of the Federal
Register on January 13, 1992. These materials are incorporated as they
exist on the date of the approval and a notice of any change in these
materials will be published in the Federal Register.
* * * * *
(j) Effective in the 2012 and later model years, NCPs will be
available for the following emission standard:
(1) Diesel heavy-duty engine oxides of nitrogen standard of 0.20
grams per brake horsepower-hour in Sec. 86.007-11(a)(1)(i).
(i) [Reserved].
(ii) For heavy heavy-duty diesel engines:
(A) The following values shall be used to calculate an NCP in
accordance with Sec. 86.1113-87(a):
(1) COC50: $3,219.
(2) COC90: $3,775.
(3) MC50: $10,729 per gram per brake horsepower-hour
NOX.
(4) F: 1.173.
(5) UL: 0.50 grams per brake horsepower-hour NOX.
(B) The following factor shall be used to calculate the engineering
and development component of the NCP for the standard set forth in
Sec. 86.007-11(a)(1)(i) in accordance with Sec. 86.1113-87(h): 0.005.
(2) Manufacturers may not generate emission credits for any
pollutant from engines for which the manufacturer pays an NCP for the
NOX standard identified in paragraph (j)(1) of this section.
(3) The penalty shall be adjusted annually as specified in Sec.
86.1113-87 with 2012 as the first year. Note that this means
AAF2012 is equal to 1.
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5. Section 86.1113-87 is amended by revising paragraph (g)(1) to read
as follows:
Sec. 86.1113-87 Calculation and payment of penalty.
* * * * *
(g)(1) Except as provided in paragraph (g)(2) of this section, the
nonconformance penalty or penalties assessed under this subpart must be
paid as follows:
(i) By the quarterly due dates, i.e., within 30 days of the end of
each calendar quarter (March 31, June 30, September 30 and December
31), or according to such other payment schedule as the Administrator
may approve pursuant to a manufacturer's request, for all nonconforming
engines or vehicles produced by a manufacturer in accordance with
paragraph (b) of this section and distributed into commerce for that
quarter.
(ii) The penalty shall be payable to U.S. Environmental Protection
Agency, NCP Fund, Motor Vehicle and Engine Compliance Program, P.O. Box
979032St. Louis, MO 63197-9000. Note on the check and supporting
information that this is an NCP payment.
* * * * *
[FR Doc. 2012-21967 Filed 9-4-12; 8:45 am]
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