Filing of Privileged Materials and Answers to Motions, 65463-65477 [2012-26126]
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Federal Register / Vol. 77, No. 209 / Monday, October 29, 2012 / Rules and Regulations
Administration Order 7400.9W,
Airspace Designations and Reporting
Points, dated August 8, 2012, effective
September 15, 2012, is amended as
follows:
Paragraph 6005 Class E airspace areas
extending upward from 700 feet or more
above the surface of the earth.
*
*
*
ASO FL E5
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18 CFR Parts 4, 5, 16, 33, 34, 35, 157,
348, 375, 385 and 388
Filing of Privileged Materials and
Answers to Motions
La Belle, FL [New]
La Belle Municipal Airport, FL
(lat. 26°44′26″ N., long. 81°25′42″ W.)
That airspace extending upward from 700
feet above the surface within a 6.7-mile
radius of La Belle Municipal Airport.
Issued in College Park, Georgia, on October
11, 2012.
Barry A. Knight,
Manager, Operations Support Group, Eastern
Service Center, Air Traffic Organization.
BILLING CODE 4910–13–P
Federal Energy Regulatory
Commission
[Docket No. RM12–2–000; Order No. 769]
*
[FR Doc. 2012–26333 Filed 10–26–12; 8:45 am]
DEPARTMENT OF ENERGY
Federal Energy Regulatory
Commission, DOE.
ACTION: Final rule.
AGENCY:
In this Final Rule, the
Commission revises its rules and
regulations relating to the filing of
privileged material in keeping with the
Commission’s efforts to comply with the
Paperwork Reduction Act, the
Government Paperwork Elimination Act
and the E-Government Act of 2002.
First, the Commission establishes two
categories of privileged material for
filing purposes: Privileged material and
critical energy infrastructure
information. This revision will expand
the ability to file electronically by
permitting electronic filing of materials
subject to Administrative Law Judge
protective orders as appropriate.
Second, the Commission revises its
regulations to provide a single set of
uniform procedures for filing privileged
materials. These revisions continue the
Commission’s effort to reassess and
SUMMARY:
65463
streamline its regulations to ensure that
they are efficient, effective and up to
date.
Also, the Commission revises Rule
213(d) of its Rules of Practice and
Procedure, which establishes the
timeline for filing answers to motions,
to clarify that the standard fifteen day
reply time will not apply to motions
requesting an extension of time or a
shortened time period for action.
Instead, the Commission proposes to set
the time for responding to such motions
at five days, unless another time period
is established by notice based on the
circumstances.
Effective Date: This final rule is
effective December 28, 2012.
FOR FURTHER INFORMATION CONTACT:
Christopher Cook (Technology/
Procedural Information), Office of the
Executive Director, Federal Energy
Regulatory Commission, 888 First
Street NE., Washington, DC 20426,
Telephone: (202) 502–8102.
Richard M. Wartchow (Legal
Information), Office of the General
Counsel, Federal Energy Regulatory
Commission, 888 First Street NE.,
Washington, DC 20426, Telephone:
(202) 502–8744.
SUPPLEMENTARY INFORMATION:
DATES:
Order No. 769
Final Rule
Table of Contents
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Paragraph
Nos.
I. Background ............................................................................................................................................................................................
A. Electronic Filing Procedures ........................................................................................................................................................
B. Notice of Proposed Rulemaking and Comments ........................................................................................................................
II. Regulations for Filing Privileged Materials ........................................................................................................................................
A. Designation of Confidential Materials as ‘‘Privileged’’ ..............................................................................................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
B. Establishing Separate Regulations Governing CEII Information ................................................................................................
C. Form and Use of Protective Agreement ......................................................................................................................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
D. Consistency With Discovery Procedures Used in Administrative Proceedings .......................................................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
E. Procedures for Distributing Privileged Information ....................................................................................................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
F. NERC Notices of Penalty and Other Communications ...............................................................................................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
G. Electronic Filing Procedures ........................................................................................................................................................
H. Prospective Effect .........................................................................................................................................................................
I. Changes to Text of Proposed Regulations ....................................................................................................................................
1. Changes Adopted ...................................................................................................................................................................
2. Proposed Changes Not Accepted ..........................................................................................................................................
III. Revised Time for Filing Answers to Motions for Extensions of Time or Expedited Action Dates ...............................................
1. Comments ...............................................................................................................................................................................
2. Commission Response ...........................................................................................................................................................
IV. Information Collection Statement ......................................................................................................................................................
V. Environmental Analysis ......................................................................................................................................................................
VI. Regulatory Flexibility Act ..................................................................................................................................................................
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Federal Register / Vol. 77, No. 209 / Monday, October 29, 2012 / Rules and Regulations
Paragraph
Nos.
VII. Document Availability ......................................................................................................................................................................
VIII. Effective Date and Congressional Notification ...............................................................................................................................
List of Subjects
Regulatory Text
Order No. 769
Final Rule
Issued October 18, 2012.
1. In this Final Rule, the Commission
revises its rules and regulations relating
to the filing of privileged material in
keeping with the Commission’s efforts
to comply with the Paperwork
Reduction Act, the Government
Paperwork Elimination Act and the EGovernment Act of 2002. First, the
Commission establishes two categories
of privileged material for filing
purposes: privileged material and
critical energy infrastructure
information (CEII). This revision will
expand the ability to file electronically
by permitting electronic filing of
materials subject to Administrative Law
Judge (ALJ) protective orders as
appropriate. Second, the Commission
revises its regulations to provide a
single set of uniform procedures for
filing privileged materials. These
revisions continue the Commission’s
effort to reassess and streamline its
regulations to ensure that they are
efficient, effective and up to date.
2. Also, the Commission revises Rule
213(d) of its Rules of Practice and
Procedure, which establishes the
timeline for filing answers to motions,
to clarify that the standard fifteen day
reply time will not apply to motions
requesting an extension of time or a
shortened time period for action.
Instead, the Commission proposes to set
the time for responding to such motions
at five days, unless another time period
is established by notice based on the
circumstances.
I. Background
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A. Electronic Filing Procedures
3. In 2000, the Commission first
permitted filers to use the Internet to
submit documents to the Commission.1
Such submissions were limited to
categories of documents specified by the
Secretary of the Commission (Secretary),
with the intention of gradually
expanding the range of eligible
documents.2 In 2007, the Commission
implemented eFiling 7.0 which
1 Electronic Filing of Documents, Order No. 619,
65 FR 57088 (Sept. 21, 2000), FERC Stats. & Regs.
¶ 31,107 (2000).
2 See Rule 2003(c) of the Commission’s Rules of
Practice and Procedure, 18 CFR 385.2003(c).
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permitted a much broader range of
documents to be submitted through the
eFiling interface.3 In 2008, the
Commission, in collaboration with the
wholesale electric and gas quadrants of
the North American Energy Standards
Board and representatives from the
Association of Oil Pipelines,
implemented a set of standards to be
used by companies in electronically
filing tariff and tariff-related documents
at the Commission.4 Under the
Commission’s regulations, only
‘‘qualified documents’’ may be filed via
the Internet, and the Secretary is
authorized to specify which documents
are qualified and to issue filing
instructions.5 A list of qualified
documents is published on the
Commission’s Web site.6
4. The eFiling system plays an
important role in the Commission’s
efforts to comply with the Government
Paperwork Elimination Act, which
requires that agencies provide the
option to submit information
electronically, when practicable, as a
substitute for paper.7 Users of the
Commission’s eFiling system and
related activities must register
electronically through the Commission’s
eRegistration system.8 Filing via the
Internet is optional for eligible
documents.9 The eFiling system now is
receiving a substantial majority of all
documents filed at the Commission. The
system is accessible through the
Commission’s Web site at https://
www.ferc.gov/docs-filing/efiling.asp.
5. [Paragraph blank]
6. Currently, the Commission accepts
through electronic filing all documents,
including privileged material and
CEII,10 except for documents submitted
3 Filing Via the Internet, Order No. 703, FERC
Stats. & Regs. ¶ 31,259 (2007) (amending Rule
2003(c)).
4 Electronic Tariff Filings, Order No. 714, FERC
Stats. & Regs. ¶ 31,276 (2008).
5 Rule 2003(c), 18 CFR 385.2003(c); Rule
2003(c)(1)(ii), 18 CFR 385.2003(c)(1)(ii); see https://
www.ferc.gov/docs-filing/efiling/user-guide.asp.
6 See https://www.ferc.gov/docs-filing/efiling/docsefiled.asp.
7 Public Law 105–277, Sec. 1702–1704 (1998); see
OMB Circular A–130 Paragraph 8.a.1(k).
8 18 CFR 390.1 and 18 CFR 390.2.
9 Rule 2001(a) of the Commission’s Rules of
Practice and Procedure, 18 CFR 385.2001(a).
10 See Critical Energy Infrastructure Information,
Order No. 630, FERC Stats. & Regs. ¶ 31,140, order
on reh’g, Order No. 630–A, FERC Stats. & Regs.
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pursuant to an ALJ’s protective order
and some forms.11 The Commission’s
current procedures for submitting
materials subject to ALJ protective
orders require filers to submit an
original copy of the document in hard
copy or on electronic media, along with
the requisite number of copies, pursuant
to section 388.112 of the Commission’s
regulations. While the Commission
permits electronic filing of documents
subject to a claim of privilege not
subject to an ALJ protective order, the
Commission currently does not have a
standard set of procedures for
submitting such documents.
7. The Commission’s current
complaint and answer regulations
(sections 385.206 and 385.213) contain
detailed requirements for submitting
privileged materials. Under these
regulations, a party filing a complaint or
an answer with privileged and/or
confidential material is required to
submit a request for privileged
treatment of documents, a public
redacted document, a privileged
unredacted document, and a proposed
form of protective agreement.12 The filer
must serve the public, redacted copy on
appropriate parties and other entities
required to be served and must provide
a copy of the non-public, unredacted
material to any participant or entity
whose name is on the official service list
(compiled by the Secretary) and who
has signed the protective agreement.
8. In recent years, the Commission has
been receiving a larger number of
requests for privileged treatment of
documents not associated with
¶ 31,147, at P 65 (2003) (providing that privileged
material and CEII may be filed under 18 CFR
388.112 on electronic media—including compact
discs, computer diskettes, and tapes—and noting
that the Commission would accept non-public
documents through its electronic filing process at
some point in the future).
11 Order No. 703, FERC Stats. & Regs. ¶ 31,259 at
P 9. The following are submitted through eForms:
FERC Form No. 1, FERC Form No. 2, FERC Form
No. 2–A, FERC Form No. 3–Q, FERC Form No. 6,
FERC Form No. 6–Q, FERC Form No. 60, FERC
Form No. 714, and Electric Quarterly Reports. FERC
Form 1–F is currently not included in eForms.
12 See Astoria Generating Co., L.P. v. New York
Independent System Operator, Inc., 136 FERC
¶ 61,155, at P 25 (2011) (Astoria). The
Commission’s filing requirements for CEII and
privileged material are provided in the ‘‘Submission
Guidelines’’ available via the eFiling link on the
Commission’s Web site at https://www.ferc.gov.
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complaints or answers.13 The request
for privileged treatment has in some
cases delayed the ability of the
Commission to process such filings
because the Commission was required
to issue special orders or notices to
ensure that parties could obtain access
to the privileged material they needed
in order to be able to participate in the
proceeding.14 Particularly, in cases
involving statutory deadlines, such
delays affect the ability of parties to
submit timely, well informed
comments, as well as the Commission’s
ability to process those comments.
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B. Notice of Proposed Rulemaking and
Comments
9. In its December 16, 2011 Notice of
Proposed Rulemaking (NOPR), the
Commission proposed to revise its
regulations to address two outstanding
concerns.15 First, the Commission
proposed uniform procedures for filing
privileged materials in any proceeding
in which a right of intervention exists.
The Commission proposed to (a)
provide two categories of privileged
material for filing purposes, namely
categories for CEII and all other
privileged materials, (b) set up uniform
procedures for filing and accessing
privileged materials in most
proceedings with a right to intervene,
based upon the current complaint/
answer process in Rules 206 and 213,16
and (c) consolidate the Commission’s
regulations for submitting privileged
materials in proposed section 388.112.
10. Second, the Commission proposed
to revise its answer regulations, Rule
213, to provide an opportunity for
parties to file answers to requests for
extension of the time to take action
under the Commission’s orders and
regulations or seeking expedited action
where the time to act on these requests
may fall sooner than the standard 15
day answer date. To provide an
opportunity for interested parties to
respond and facilitate the Commission’s
response to such motions, the
Commission proposed to shorten the
answer period for these motions to five
business days. In addition, the
13 See ANR Pipeline Co., 129 FERC ¶ 61,080
(2009); PPL Montana, LLC, 113 FERC ¶ 61,231
(2005).
14 See West Deptford Energy, LLC, 134 FERC
¶ 61,189 (2011) (denying request to limit parties’
rights to see documents). See also PPL Montana,
LLC, 113 FERC ¶ 61,231 (2005); PJM
Interconnection, L.L.C., Notice of Filing, Docket No.
ER05–10–000 (May 6, 2005); PJM Interconnection,
L.L.C., Notice of Filing, Docket No. ER04–539–002
(April 30, 2004).
15 Filing of Privileged Materials and Answers to
Motions, Notice of Proposed Rulemaking, 76 FR
80838 (Dec. 27, 2011) (NOPR), FERC Stats. & Regs.
¶ 32,685 (2011).
16 18 CFR 385.206–.213.
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Commission proposed conforming
revisions, in particular, revisions to the
Secretary’s delegated authority under 18
CFR 375.302(b), to clarify the
Secretary’s authority to address
shortened answer periods for requests
for extension of time, consistent with
the delegated authority of other office
directors.17
11. In response to the NOPR,
American Public Gas Association
(APGA), Edison Electric Institute (EEI),
Electric Power Supply Association
(EPSA), Interstate Natural Gas
Association (INGA), International
Transmission Co. (ITC), MidAmerican
Energy Holdings Company
(MidAmerican), North American
Electric Reliability Corp. (NERC), PJM
Interconnection, L.L.C. and
Transmission Dependent Utility
Systems (TDU) 18 submitted comments.
EPSA and PJM support the
Commission’s proposal to consolidate
and establish uniform procedures for
filing privileged materials and establish
two categories for filing purposes, citing
efficient and easily implemented
procedures to allow market participants
to designate materials as confidential
and provide assurance that
commercially sensitive and other
confidential information will be safe
from inadvertent disclosure, without the
need for procedural orders. The
Commission will address other concerns
raised in the comments in the
discussion below.
II. Regulations for Filing Privileged
Materials
12. In this Final Rule, the Commission
largely adopts the NOPR proposal to
consolidate the Commission’s
regulations for filing privileged
materials in section 388.112 and
establish procedures in that section for
distribution of such materials pursuant
to a protective agreement in proceedings
with a right to intervene. The protective
agreement provisions largely parallel
the existing regulations governing
complaints and answers. These
regulations will expand those
procedures to cover other types of
filings, such as statutory public utility
or pipeline filings, and protests in those
filings, containing confidential
information. With these revisions, the
Commission is taking advantage of the
technologies available to the
Commission to safely and securely
accept materials by designating them as
17 See,
e.g., 18 CFR 375.307(b)(1)(ii).
of Arkansas Electric Coop. Corp.,
Golden Spread Electric Coop., Inc., Kansas Electric
Power Coop., Inc., North Carolina Electric
Membership Corp., Power South Energy Coop. and
Seminole Electric Coop., Inc.
18 Consisting
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65465
privileged, while providing for limited
use of the materials in proceedings in
which other parties must review the
materials, by requiring the filing party to
make them available pursuant to a
protective agreement. In instances
where the filer elects to electronically
file materials with a protective
agreement, submission of the identical
hard copy files to the Commission will
no longer be necessary. Permitting
privileged materials to be submitted via
eFiling will facilitate entry of the
documents into the Commission’s
document repository, eLibrary, and will
make them available to staff conducting
analysis of the documents. Electronic
filing will simplify retrieval of the
documents in the course of the
Commission’s duties because the
documents may be accessed via the
Commission electronic archive in
eLibrary, and Commission staff will no
longer have to retrieve hard copy
documents from offsite document
storage. This will avoid the resulting
delay in obtaining materials.
13. The consolidated filing
procedures, as well as the protective
agreement provisions for proceedings in
which a right to intervene exists are
included in revised section 388.112.
Revised section 388.112(a)(1) adopts the
Commission’s long-standing usage of
the term ‘‘privileged materials’’ to refer
to information subject to an outstanding
claim of exemption from mandatory
disclosure under the Freedom of
Information Act (FOIA), including
CEII.19 The changes adopted in this rule
retain the disclaimer that by permitting
the filing of privileged materials and
treating the documents for which a
privilege is claimed as nonpublic, the
Commission is not making a
determination on the merits as to any
claim of privilege or CEII status.20
Revised section 388.112(b) retains the
requirement that a filer include a
justification for privileged treatment in
its filing, following the procedures
posted on the Commission’s Web site.21
Revised section 388.112(b)(1) requires a
person requesting privileged or CEII
treatment to designate the material as
privileged or CEII in an electronic filing,
or clearly indicate a request for
privileged treatment on a paper filing,
with headings indicating privileged and
19 See also 18 CFR 388.107(g); 18 CFR 388.113(c)
(defining CEII as information that is exempt from
mandatory disclosure under FOIA, providing that
CEII be filed under section 388.112(b), and
establishing specific procedures for making CEII
available pursuant to a non-disclosure agreement).
20 See revised section 388.112(c)(i).
21 See the Submission Guidelines on the
Documents and Filing link at https://www.ferc.gov.
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CEII material.22 Section 388.112(b)(1)
states that a person requesting that a
document filed with the Commission be
treated as privileged or CEII must
designate the document as privileged or
CEII in making an electronic filing or
clearly indicate a request for such
treatment on a paper filing. The header
of the first page of the cover sheet or
transmittal letter and of the pages or
portions of the document containing
material for which privileged treatment
is claimed should be clearly labeled in
bold, capital lettering, indicating that it
contains privileged, confidential and/or
Critical Energy Infrastructure
Information, as appropriate, and marked
‘‘DO NOT RELEASE.’’
This means that, when a person files
a document containing privileged
material, that person must prominently
indicate the fact that the filing contains
privileged material, using an
appropriate header on the cover page of
the filing. In most cases, the header
must be included on the accompanying
filing letter or first page of a pleading or
motion, and on the separate cover of any
portion of the document that contains
privileged material, such as an affidavit,
exhibit, attachment, etc. In addition, the
individual pages should be marked to
indicate that the page contains
privileged material, and the material
identified on the page.
14. The revised regulations make
special provision in proceedings
featuring a right to intervene, including
complaint, certificate, merger and rate
filings, to facilitate review of the
privileged materials by intervening
parties. In such proceedings, a person
filing privileged material is required to
include a public, redacted copy of the
filing and a proposed form of protective
agreement and serve these items on the
appropriate persons, that is, those
required by Commission rule or order,
or by law.23 The revised regulations
provide that the filing person will
thereafter provide a copy of the
privileged materials to interveners that
request the material and execute the
protective agreement within five days or
file an objection.24
15. The Commission’s Model
Protective Order may be used as a guide
22 This provision follows the Commission’s
existing practice for filing privileged materials in
complaint proceedings in Rule 206, 18 CFR
385.206.
23 Revised section 388.112(b)(2). Under revised
section 388.112(b)(2)(ii) service is to be made to
persons to be served under Rule 206(c), 18 CFR
385.206(c) (complaints) or Rule 213, 18 CFR
385.213(c)(5) (answers), or otherwise as
appropriate.
24 Trial Staff, as identified in 18 CFR
385.102(b)(2), should be treated similarly to other
persons making a request.
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for protective agreements, and the
Commission’s prior orders may also
provide guidance as to how to address
particular confidentiality concerns.25
The protective agreement should be self
implementing and not require action or
approval by the Commission. That is,
persons wishing to rely on privileged
material to support their filings should
make provision for timely and adequate
review of these materials under the
protective agreement by intervening
parties. While the Commission will
resolve disputes to the extent necessary
to carry out its statutory duties, the
Commission intends that these
standardized procedures will minimize
the need for Commission action, with
the accompanying delay in processing
filings and applications subject to the
Commission’s jurisdiction. Where a
person wishing to use privileged
materials has reason to anticipate
objection or difficulty in such disclosure
and review, it may be appropriate to
negotiate in advance with likely
intervenors and attempt to resolve any
disputes and come to agreement prior to
making the filing. If acceptable terms for
use of the material in a proceeding are
negotiated prior to filing, the possibility
of delay in processing the filing may be
avoided.
16. The public version of the filing
should be prepared with only the
privileged information redacted to the
extent practicable. If a document or
filing contains both public and
privileged material, the Commission
expects filers to file a public version in
which the privileged material has been
removed or redacted thereby making the
non-privileged portion of a document
available for use by the Commission and
participants in the proceeding.26
17. The revised regulations
incorporate exceptions for landowner
lists, certain cultural resources and
liquefied natural gas facility (LNG)
information, and proceedings set for
hearing or settlement procedures in
accordance with the Commission’s
Rules of Practice and Procedure.27 Thus,
25 The Model Protective Order developed by the
Commission’s Office of Administrative Litigation is
available at https://www.ferc.gov/legal/admin-lit/
model-protective-order.doc. See also Market-Based
Rates for Wholesale Sales of Electric Energy,
Capacity and Ancillary Services by Public Utilities,
Order No. 697, FERC Stats. & Regs. ¶ 31,252, at P
393 (2007).
26 Astoria, 136 FERC ¶ 61,155 at P 25 (requiring
the submission of a public redacted copy of
documents that contain both privileged and public
information).
27 Under revised section 388.112(b)(2)(v), a
participant’s access to privileged material submitted
in a trial-type hearing or for settlement purposes
continues to be governed by the presiding official’s
protective order, according to policies established
by the Commission’s Office of Administrative Law
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filers are not automatically required to
provide intervenors with such
material.28 The revised regulations
retain procedures to address practical
and confidentiality concerns with the
submission of these materials, due to
difficulty in copying and manipulating
the material (i.e., maps or spreadsheets
presenting voluminous data). To that
end, the revised regulations retain
provisions permitting the Commission
to request full size maps in licensing
applications under section 4.32(d) of its
rules and regulations.29
18. Conforming changes were made
throughout the Commission’s
regulations, including revisions to
reflect that section 388.112 provides the
procedures for filing privileged
materials. To simplify and clarify the
regulations, the Commission largely
avoided directly referencing section
388.112. Since section 388.112 is
intended to apply to all submittals and
filings containing privileged or CEII
material, it is unnecessary to specify the
provision that applies in the many parts
of the regulations that refer to filing of
privileged materials.30 Consequently,
we adopt the NOPR proposals to remove
duplicate provisions for filing privileged
materials and consolidate and adopt the
proposed provisions relating to
submittal of and access to privileged
material in section 388.112, as revised
and discussed below.31
19. The Commission responds to the
comments filed in response to the NOPR
below.
Judges. See Part 385 of the Commission’s Rules of
Practice and Procedure, Subpart D, 18 CFR 385.401,
et seq. (hearing procedures), and 18 CFR 385.602,
et seq.
28 See revised section 388.112(b)(2)(vi); see also
Columbia Gas Transmission Corp., 128 FERC ¶
61,050, at P 32 (2009) (finding insufficient need to
disclose storage field maps and landowner lists).
29 18 CFR 4.32(d). Landowner lists, cultural
resource information required in sections 380.12(f)
and 380.16(f), LNG information filed under sections
380.12(m) and (o), forms filed with the Commission
and other documents not covered under proposed
section 388.112 disclosure provisions may be
sought pursuant to a FOIA or CEII request, in
accordance with section 388.108 or section 388.113,
as applicable.
30 Changes to consolidate and supersede current
procedures for filing privileged material are made
to 18 CFR 33.8(a) and 33.9 (merger procedures), 18
CFR 35.37(f) (market based rate applications), 18
CFR 34.7 (filing requirements for application for
approval of issuance of securities and assumptions
of liabilities), 18 CFR 348.2(a) (oil pipeline market
power application procedures), Rule 206, 18 CFR
385.206(e) (complaint procedures), and Rule 213,
18 CFR 385.213(c)(5) (answers). In addition,
changes for clarity and to reflect the consolidation
of privileged filing procedures are made to 18 CFR
4.39(e), 5.29(c), 16.8(g), 157.21(h), 157.34(d)(4), and
385.606(f) and (j), and changes are proposed to 18
CFR 388.113(d) (1) and (2) to reference procedures
in paragraph (d)(4).
31 In certain instances, we have kept the reference
as a guide to practitioners in a particular
Commission program.
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A. Designation of Confidential Materials
as ‘‘Privileged’’
20. In the NOPR, the Commission
proposed to continue its long-standing
practice of referring to confidential
material as privileged.
1. Comments
21. A number of commenters object to
the scope of the revised regulations,
arguing that the privileged filing
procedures, in particular the disclosure
procedures developed for proceedings
with a right to intervene, should not
apply to materials eligible for common
law evidentiary privileges such as
attorney-client or work product
privileges or CEII, which are subject to
the disclosure procedures in 18 CFR
388.113.
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2. Commission Response
22. The Commission disagrees with
suggestions made by EEI and INGAA
that use of the term privilege detracts
from a filing party’s ability to assert a
common law evidentiary privilege. The
Commission’s power to withhold
information from mandatory public
disclosure is established by FOIA and
presented in its rules and regulations,
chiefly 18 CFR 388.107. The
Commission’s long-standing practice
has been to refer to materials subject to
an outstanding claim of exemption from
mandatory disclosure as privileged.32
The Commission is not aware of any
confusion arising out of use of this term
with materials claimed to be subject to
a common law privilege, confidential
business trade secrets or CEII. These
types of materials are already addressed
in the Commission’s FOIA regulations
in the categories of materials for which
a filer may request an exemption from
mandatory disclosure under FOIA.33
32 E.g., Revision of Freedom of Information Act
Rules, Order No. 488, FERC Stats & Regs ¶ 30,789
(1988) (establishing rules for requesting privileged
treatment of documents claimed to be exempt from
mandatory disclosure under FOIA).
33 In particular, see 18 CFR 388.107(d)
(incorporating FOIA exemption 4 for trade secrets
and commercial or financial information obtained
from a person that are privileged or confidential);
18 CFR 388.107(g) (records or information compiled
for law enforcement purposes, including
information that could interfere with enforcement
proceedings or deprive a person of a right to fair
trial, if produced). See also Cargill, Inc. v. Saltville
Gas Storage Co., L.L.C., 99 FERC ¶ 61,043, at PP 12–
13 (2002) (describing privileged treatment under
section 388.107(d) and FOIA exemption 4); Critical
Energy Infrastructure Information, Order No. 630,
FERC Stats. & Regs. ¶ 31,140, at P 14, order on
reh’g, Order No. 630–A, FERC Stats. & Regs. ¶
31,147 (2003) (discussing privileged treatment for
CEII under FOIA exemption 4, and exemption 2 for
‘‘records related solely to the internal personnel
rules and practices of an agency’’ and exemption 7
for certain law enforcement information, including
information which might jeopardize a person’s life
or safety, if disclosed).
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23. The Commission likewise
disagrees with EEI’s and INGAA’s
suggestions that failure to make separate
provision for information subject to a
claim of common law privilege will
create a risk of improper disclosure and
loss of privilege.34 Indeed, as we stated
in the NOPR, the term privileged
material ‘‘is not intended to detract from
any person’s right to assert a common
law privilege, e.g., attorney-client or
attorney work product privilege.’’ 35
More importantly, the Commission is
not requiring any filing party to submit
materials that are subject to an
evidentiary privilege in support of their
filings or any confidential material. The
choice whether to include such
materials is left to the person making
the filing whether to rely on such
materials subject to the protective
agreement disclosure provisions
established in this Final Rule.36 If a
party is asked to produce information in
an investigation or discovery request
that it believes is subject to a common
law privilege, the proper course of
action is to file a notice of that party’s
objection to producing the document,
identifying the document and the
justification of the claim, to facilitate
review of the claim of privilege in a
confidential setting to determine if the
claim is justified.37
B. Establishing Separate Regulations
Governing CEII Information
24. In the NOPR, the Commission
proposed to retain its current
regulations (sections 285.206, 385.213
and 388.112) under which privileged
and CEII information are subject to the
same requirements with respect to
disclosure.
25. EEI contends that CEII should be
a separate category subject to separate
disclosure procedures, as provided for
in 18 CFR 388.113.
26. We do not find that using the
same regulatory framework for
‘‘privileged materials’’ and ‘‘CEII’’ in
section 388.112 will cloud the
34 EEI at 5 (citing West Deptford Energy, LLC, 134
FERC ¶ 61,189 (2011) (seeking to protect sensitive
market information); Mojave Pipeline Corp., 38
FERC ¶ 61,249, at 61,842 (1987) (discussing
Commission’s discovery regulations)).
MidAmerican supports the EEI comments.
35 NOPR, FERC Stats. & Regs. ¶ 32,685 at P 16,
item g & n.40 (discussing proposed
§ 388.112(b)(2)(iv)).
36 We note that filing information for which a
common law privilege is asserted is likely to breach
the confidentiality necessary to maintain the
privilege. See generally McCormick on Evidence
§ 93 (2007).
37 See, e.g., Independent Oil & Gas Association of
West Virginia, 21 FERC ¶ 63,030 (1983) (appointing
special administrative law judge to perform in
camera review of privileged status of discovery
materials, to preserve confidentiality).
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procedures in 18 CFR 388.113 for
handling CEII or that continuation of
these procedures will not provide
adequate protection for CEII. The
Commission’s regulations specify that to
qualify as CEII, the material must be
‘‘exempt from mandatory disclosure
under the Freedom of Information
Act.’’ 38 Thus, CEII is already a subset of
privileged material under the
Commission’s regulations. Any party
relying on CEII information in a filing
needs to be prepared to provide that
information to intervenors that need the
information to understand the filing.
27. We also disagree with EEI that
CEII should be treated separately and
distributed within a Commission
proceeding under procedures modeled
after the current CEII procedures in 18
CFR 388.113, providing for review of
privilege requests with a
determination.39 A filing party that has
reason to question whether a party has
a legitimate need to review information
in a Commission proceeding may file an
objection to disclosure to that person
under section 388.112(b)(2)(iii)),40
which is equivalent to the existing and
retained provision for notice of FOIA
requests in section 388.112(d).41
28. The Commission is not changing
its rules for acquiring materials through
a FOIA or CEII request, and materials
that may be sought through the
protective agreement procedures
established herein also remain available
through FOIA and CEII requests where
appropriate. However, the Commission
has determined that reliance on the
existing CEII procedures exclusively
would serve to delay the processing of
filings and other pleadings in
Commission proceedings. To facilitate
timely distribution of materials without
the potential for delay pending
Commission review, participants who
choose to submit CEII information as
part of a Commission proceeding must
follow the procedures provided in
38 18
CFR 388.113(c)(1).
at 4.
40 This provision states: ‘‘A filer, or any other
person, may file an objection to disclosure,
generally or to a particular person or persons who
have sought intervention.’’ Indeed, this provision
provides greater rights to the submitter than section
388.113, which does not provide for notice to the
submitter prior to the determination by the CEII
Coordinator.
41 This provision states: ‘‘When a FOIA or CEII
requester seeks a document for which privilege or
CEII status has been claimed, or when the
Commission itself is considering release of such
information, the Commission official who will
decide whether to release the information or any
other appropriate Commission official will notify
the person who submitted the document and give
the person an opportunity (at least five calendar
days) in which to comment in writing on the
request. A copy of this notice will be sent to the
requester.’’
39 EEI
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section 388.112. We find this a
reasonable method to permit the use of
such materials by the Commission and
participants in Commission proceedings
while protecting the confidentiality of
the information.42
C. Form and Use of Protective
Agreement
29. The Commission proposed that its
existing procedures regarding protective
agreements in its complaint and answer
regulations be applied to other filings.
Under these procedures, the filing party
must provide a ‘‘proposed form of
protective agreement to each entity that
is to be served.’’ 43 Although the
Commission pointed to the Model
Protective Order developed by the
Commission’s Office of Administrative
Litigation as a guide in developing
protective agreements, it did not
propose to require a uniform protective
agreement.
rmajette on DSK2TPTVN1PROD with
1. Comments
30. Several commenters ask the
Commission to establish one or more
standard protective agreements, based
on the Model Protective Order or
tailored to meet particular
circumstances.44 APGA predicts that,
absent such a requirement, filers may
attempt to frustrate the interests of
requesting parties, who have limited
time to respond. ITC supports the
Commission’s proposal that the
proposed protective agreement be self
implementing and not require action by
the Commission. ITC nevertheless
supports use of the Model Protective
Order, except when modifications are
justified or no party objects. TDUs note
that the NOPR does not provide
guidance on what provisions may be
appropriate for a protective agreement,
and notes that clarification will help
ensure customer access to information
and avoid disputes.45 TDUs advocate
adoption of the Model Protective Order
as a basis for a protective agreement,
with a requirement that parties justify
any change.
31. MidAmerican suggests
refinements to the requirement that a
proposed form of protective agreement
be served on each entity that is required
to be served with the filing, arguing that
service need not be required after the
first time the protective agreement is
42 Pennzoil Co. v. FPC, 534 F.2d 627, 632 (5th Cir.
1976) (requiring consideration of alternatives to full
disclosure to provide consumers with adequate
knowledge to participate in Commission
proceedings).
43 18 CFR 385.206(e)(2), 385.213(c)(5)(i)(ii).
44 E.g., APGA, EEI, ITC. APGA provides draft text
to implement its proposals.
45 TDUs at 3.
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used.46 In particular, MidAmerican
argues that such a requirement is not
needed when a party is using
information that it obtained using the
protective agreement provided by the
original filer.
32. APGA urges the Commission to
require that a party may execute a nonconforming agreement under protest,
with issues to be resolved at a later date
by the Commission.47 TDUs likewise
argue that parties should have access to
materials while any objection is
outstanding. TDUs ask the Commission
to ensure access to materials during
negotiations over terms of delivery, so
that a party challenging a protective
agreement may still participate
effectively in the proceeding. TDUs state
that such an approach will permit a
party to participate meaningfully in the
relevant docket without sacrificing the
opportunity to test a filing party’s
privilege claims.48
33. APGA urges the Commission to
lessen the requirements for signing the
protective agreement and receiving the
privileged materials and permit any
person to whom service is required
under the regulations to seek access,
rather than require filing of an
intervention.49 According to APGA,
requiring a person to draft and file an
intervention wastes time and should not
be a condition to receiving the material.
APGA argues that the fact that a person
is required to be served justifies access
to the material. EEI, on the other hand,
asks that the Commission not require
release of privileged material to persons
or organizations that have not been
granted intervenor status.50 EEI seeks to
avoid conflict with the Commission’s
regulations that permit a party 15 days
to oppose a motion to intervene. EEI
asks the Commission to clarify that
intervention in one sub-docket would
not provide the right to access material
in another sub-docket.51
34. APGA argues that the
Commission’s proposal requiring
delivery of privileged materials within
five days after a protective agreement is
signed is insufficient to ensure that
interested persons have timely access to
privileged materials filed in pipeline
filings due to the short (30-day)
statutory action period.52 APGA does
not believe that its suggestions prejudice
the rights of filers to protect privileged
material, but are intended to facilitate
46 MidAmerican
at 4.
at 3.
48 TDUs at 5.
49 APGA at 3–4.
50 EEI at 8.
51 EEI at 8.
52 APGA at 2 (citing NGA section 4, 15 U.S.C.
§§ 717c(d) and (e)).
47 APGA
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meaningful access by interested
entities.53
35. Citing procedures developed in
applying the Model Protective Order,
TDUs ask the Commission to clarify that
the burden of proof is on the party
asserting a claim of privilege in any
dispute of privileged status. TDUs also
question whether the provision
permitting a party to object to the terms
in a protective agreement is effective,
given statutory deadlines. TDUs ask the
Commission to specify limits on the
terms that may be included in a
protective agreement, so that parties
will not be forced to agree to unduly
restrictive access or engage in fruitless
litigation. TDUs argue that this is
needed because, unlike in a proceeding
overseen by an administrative law
judge, the Commission cannot delay a
statutory deadline to provide time to
resolve a dispute.54
2. Commission Response
a. Standard Protective Agreement
36. The Commission declines to adopt
a standard protective agreement or
provide detailed guidance as to
appropriate departures or additions to
the Model Protective Order in this
proceeding, in light of the need for
flexibility in handling different types of
privileged material. In the NOPR, the
Commission suggested that parties filing
privileged materials in a proceeding
with a right to intervene may use the
Office of Administrative Litigation’s
Model Protective Order as a guide for
protective agreements.55 Parties
choosing to use a protective agreement
based on the Model Protective Order
may avoid potential litigation over the
terms of the agreement that may delay
the processing of their filing. For
example, disputes that cannot be
resolved prior to filing or through the
protective agreement procedures may
lead to further procedures such as
suspending a filing, setting the
proceeding for hearing, deficiency
letters, and requests for additional
procedures or information.
37. In the event a protective
agreement is protested, the Commission
has reviewed proposed protective orders
in other contexts and provided for
appropriate additions to address
particular confidentiality concerns.56
Parties wishing to file privileged
material may consult the Commission’s
53 APGA
at 5.
at 4.
55 Available at https://www.ferc.gov/legal/adminlit/model-protective-order.doc.
56 E.g., Illinois v. Exelon Generation Co., LLC, 119
FERC ¶ 61,027 (2007) (proposing protective order
restricting access to certain materials by
competitive duty personnel).
54 TDUs
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prior orders for approaches that have
been employed to address particular
concerns that arose in prior
proceedings.
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b. Right To Object to Protective
Agreement and Privileged Treatment
38. APGA expresses concern that a
participant may be bound by
undesirable terms of a protective
agreement, prior to having the
opportunity to object. We do not find
that signing a protective agreement
should result in a waiver of the right to
challenge the privileged status of the
information. This procedure ensures
solely that the case can be processed,
not that it result in a waiver of any
procedural rights. We note that the
Model Protective Order contains
procedures under which the signatory
reserves its right to challenge the
privileged status of documents covered
by the agreement, and we encourage
parties to include such provisions in
their protective agreements. Should a
protective agreement purport to contain
such a waiver requriement, a party may
preserve its rights by filing an objection
under section 388.112(b)(2)(iii) and the
Commission can then require the
protective agreement be revised.
39. TDU’s are concerned that the right
to object to a protective agreement may
not be effective given statutory
deadlines. As indicated above, the
Commission has procedures that may be
used to resolve such disputes fairly.
c. Requirement To File an Intervention
40. We decline to adopt the revision
proposed by APGA that a filing party
must provide privileged materials to any
person to whom service is required on
request, rather than only those who
have filed an intervention. As MidAmerican suggests, the regulations
provide that parties who are entitled to
receive service will receive a copy of the
filing with the protective order when
served.57 It is not too great a burden to
require such parties to intervene prior to
being given a copy of the privileged
information. Filing an intervention is
not a great burden. Indeed, the
Commission has provided for an
electronic document-less form of
intervention that can be filled out very
quickly. The requirement for
intervention ensures that copies of the
confidential material are provided only
to those with sufficient interest in the
proceeding and provides the
Commission with information about a
party’s interest in the privileged
57 Section 388.112(b)(2)(ii) (‘‘the filer must
provide the public version of the document and its
proposed form of protective agreement to each
entity that is required to be served with the filing’’).
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materials in the event an objection to
disclosure is filed.
41. We likewise reject EEI’s
suggestion that materials should not be
provided until an intervention has been
granted. We do not believe that lack of
intervenor status alone provides
justification for refusing to provide the
privileged materials.58 Furthermore,
waiting for intervention to be granted
could unnecessarily delay an interested
person’s access to privileged materials.
As APGA notes, this could be a
particular burden in Natural Gas Act
cases which must be decided within 30
days. The intervention itself will
provide the party filing privileged
materials with information to determine
whether a requesting party has an
interest to support disclosure in the
event that an objection to disclosure is
filed under section 388.112(d)(iii).
d. Other Issues
42. In response to EEI’s inquiry
whether a protective agreement may
apply in separate subdockets, the filer
should determine whether a protective
agreement signed in one subdocket is
sufficient for the information that may
be produced in another subdocket. The
different character of such information
may require a somewhat different form
of protective agreement.
43. TDU argues that the burden of
proof should be on the party seeking
privileged status. This rulemaking does
not change existing procedures
regarding assignment of burdens. While
the determination as to the applicability
of the privileged designation is not a
hearing with formal burdens of proof,
the applicant needs to justify why the
information is confidential under the
FOIA categories.59
D. Consistency With Discovery
Procedures Used in Administrative
Proceedings
44. In the NOPR, the Commission
proposed that, for filings made prior to
hearing, the party filing the privileged
material will propose a form of
protective agreement. However, in
proceedings set for trial-type hearing,
the NOPR proposed to leave intact the
authority of the ALJ to administer the
hearing and determine the appropriate
scope of a protective order.
1. Comments
45. TDUs suggest that the Commission
is inconsistent in removing the
65469
designation ‘‘Protected Materials’’
covered by an ALJ-approved protective
order and treating these materials as
privileged. It asserts that an ALJ’s
protective order may cover a broader
range of materials than filings in
proceedings not set for hearing. TDUs
explain that, in discovery, the term
protected materials refers to materials
that customarily are treated by a
participant as sensitive or proprietary,
which are not available to the public
and which, if disclosed freely, would
subject the participant to competitive
harm.60 TDUs ask the Commission to
clarify that eliminating the category
‘‘protected materials’’ is for filing
purposes and does not expand the
definition of privileged materials
pursuant to section 388.112.61 EPSA
states that establishing separate
procedures for materials provided
pursuant to a protective order issued by
an ALJ may lead to confusion and
inadvertent disclosure.
2. Commission Response
46. Revised section 388.112(b)(2)(v),
adopted in this proceeding, states, ‘‘For
material filed in proceedings set for
trial-type hearing or settlement judge
proceedings, a participant’s access to
material for which privileged treatment
is claimed is governed by the presiding
official’s protective order.’’ The term
protected material is a colloquial term
that some parties apply to materials
covered by a protective order. For
consistency, the Commission has used
the word ‘‘privileged,’’ as it existed in
the regulations prior to this rule, to refer
to all material for which confidential
treatment is claimed. But the use of the
term privileged does not change the
scope of material eligible for
confidential treatment.
47. TDUs assert that the discovery
materials that may be protected by an
administrative law judge’s protective
order include materials that customarily
are treated by a participant as sensitive
or proprietary, which are not available
to the public and which, if disclosed
freely, would subject the participant to
competitive harm. This description is
comparable to the type of information
that qualifies for confidential treatment
under FOIA Exemption No. 4, which
protects information where disclosure is
likely ‘‘to cause substantial harm to the
competitive position of the person from
whom the information was obtained.’’ 62
60 TDUs
58 Under
Rule 214, an intervenor obtains party
status fifteen days after a timely intervention is
filed, if no opposition is filed. 18 CFR 385.203.
59 18 CFR 388.112(d) (providing an applicant for
privilege treatment the ability to respond to a
requested disclosure).
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at 8 & n.5.
at 9.
62 See Reporting of Natural Gas Sales to the
California Market, 96 FERC ¶ 61,119 at 61,466–68
(2001) (citing National Parks and Conservation
Association v. Morton, 498 F.2d 765, 770 (D.C. Cir.
61 TDUs
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We therefore find no reason to apply a
different standard to materials collected
during discovery than filed materials in
proceedings not in hearing.63
E. Procedures for Distributing Privileged
Information
48. The NOPR proposed procedures
obtaining access to material that is filed
as privileged in complaint proceedings
and in any proceeding with a right to
intervene. The Commission proposed
that any participant or person filing an
intervention in the proceeding may
request the filer to provide a copy of the
complete, non-public version of the
document, by providing an executed
copy of the protective agreement and
showing appropriate party, participant
or intervenor status. The proposed
regulations provide that the filer
provide a copy of the complete, nonpublic document to the requesting
person within five days of receiving the
request, if no objection is filed.
rmajette on DSK2TPTVN1PROD with
1. Comments
49. To provide adequate due process
for responses to requests for
information, EEI asks the Commission to
modify the requirement that
confidential information be released
‘‘within’’ five days, to a requirement
that the information not be released
until the 5th business day, in order to
permit parties to object, and suggests the
Commission provide a bit more time for
objections to be lodged.64 EEI notes that
in the NOPR the Commission proposed
to revise 18 CFR 388.112 to give parties
that have submitted privileged material
to FERC staff at least five calendar days
to respond to requests for information
and a separate five calendar days to
respond to a proposed disclosure. See
18 CFR 388.112(c)(2). EEI notes that the
Commission has not afforded the same
protection for information filed under
section 388.112(b)(2) and states that the
Commission should apply the same
protective procedures to all privileged
materials submitted to staff or to the
Commission.65 To provide adequate due
process rights for responses to requests
for information, EEI states that the
Commission should withhold a
proposed release of confidential
information if the filing party files
1974)). FOIA Exemption No. 4 is incorporated in
the Commission’s regulations in section 388.107(d).
63 Indeed, it would be inconsistent for the
Commission to use a different standard for defining
material submitted in an application compared with
material submitted through an ALJ proceeding. The
same FOIA provisions apply to both sets of
information and an FOIA request can be filed for
material submitted during discovery in an
administrative proceeding.
64 EEI at 9.
65 Id.
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notice of intent to seek judicial review
to block the release.66
50. TDUs object to the five day delay
in delivering privileged materials after
receipt of an executed copy of the nondisclosure agreement; instead they
request delivery by the next business
day. TDUs argue that delay prejudices
the party seeking the information, by
providing limited time for review.67
APGA similarly recommends that the
proposed 5-day period for delivering
privileged materials be shortened to 24
hours. APGA states that it only takes
minutes to deliver the non-redacted
version which was filed with the
Commission and there is no basis for
delay, given the short time frame to
review and address the privileged
material in a pleading.68 APGA states
that, because the contents of suspension
orders may depend on the contents of
protests, that it is not sufficient for
protesting parties to receive the material
at or after the intervention deadline.
APGA suggests a typical protest
schedule in which a section 4 rate case
is noticed after five days, interventions
are due within 13 days and an order
issued in 30, and asserts that there is no
way to secure and review the filing,
draft an intervention, execute the
protective agreement and prepare a
protest based on the privileged
material.69
51. INGAA objects to its reading of the
proposed regulations to require service
of ‘‘fully redacted’’ documents.
According to INGAA, redacting an
entire document can be burdensome to
the filer and circulation of the document
does not provide any benefit to
recipients.70 INGAA asks that filers be
permitted to comply with the
requirement in proposed section
388.112(b)(1) by submitting in its cover
page requesting privileged treatment, a
statement that the entire document
qualifies for privileged, confidential
and/or CEII treatment and a short title
or description of the type of information
it contains. INGAA asks that such a
disclosure meet the Commission’s
objective under 388.112(b)(1) to provide
a redacted version ‘‘to the extent
practicable.’’ 71
52. EEI responds to the Commission’s
observation in the NOPR that a failure
by the filing party to afford intervenors
a meaningful opportunity to review
confidential information under a
protective agreement could lead to
66 EEI
at 10.
at 5.
68 APGA at 4.
69 Id. at 4–5.
70 INGAA at 5.
71 Id. at 6.
67 TDUs
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suspension of the filing, rejection, or
other delays in processing an
application. EEI acknowledges some
delay may be necessary to respond to
requests for confidential information,
but states that such delay should not be
punitive and a filer should not be
prejudiced through rejection or
suspension, as long as the confidential
information designation and ensuing
objection to release of the information
are made in good faith.72
53. According to EEI, parties seeking
to justify non-disclosure of privileged
materials should only be required to
submit a brief, good-faith articulation of
the reason for non-disclosure, but that
in the event the designation is
challenged or anyone seeks access to the
information, the filing party will have
the right to expand and supplement the
justification prior to Commission
action.73
54. ITC suggests that, in the event that
a delay in disclosure is caused by a
dispute over the protective agreement, a
party would not be harmed if the
dispute were to result in a late filing,
such as an answer to a complaint.74
2. Commission Response
a. Five Day Distribution
55. Various parties filed comments
expressing concerns with the
distribution procedures. Several parties
raise issues with respect to the
requirement to distribute privileged
information within five days. EEI wants
to mandate that the information not be
released in less than five days, while
TDU and APGA argue that the five day
requirement should be shortened. We
find that the five day requirement
establishes a reasonable balance
between all the interests.
56. With respect to EEI’s suggestion
that the five days be made mandatory to
permit parties to object to disclosure, we
see no reason to adopt this rule for all
filings. As other commenters note, early
release of information is preferable
because it provides other parties with
more time to evaluate the filing. To the
extent that EEI’s concern is that the
filing party is claiming confidentiality
for third-party information in its
possession, the filing party ought to
inform the third-party before filing,
should consult with the third-party as to
the appropriate form of protective
agreement for the information, and may
want to choose the full five days to
permit a response.
57. We similarly reject the TDU and
APGA arguments that the information
72 EEI
at 10.
at 8.
74 ITC at 3.
73 EEI
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be disclosed in less than five days
through electronic delivery. While
immediate electronic service may be
appropriate for certain materials, a filer
may have a legitimate interest in not
providing such material electronically.
Even in natural gas cases, five days from
the date of the request should provide
sufficient opportunity to obtain and
review such information.75 In those
cases in which a party shows that given
the extensive nature of the privileged
information, it did not have adequate
time to review the material, the
Commission has procedures to ensure
an adequate review period.
b. Redaction of Entire Document
58. INGAA requests that the
Commission clarify that the requirement
for filing a redacted public copy still
permits, in appropriate circumstances,
the filing party in the transmittal letter
to provide a description of the
document and identify the entire
document as privileged. The regulation
requires that a redacted public version
be filed, to the extent practicable. The
regulation, therefore, would not
preclude a filer from identifying the
entire document as privileged if it, in
good faith, is unable to separate
sensitive or confidential material from
the remainder of the document.
c. Opportunity to Respond
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59. The Commission declines to adopt
EEI’s suggestion that filing parties be
provided with an opportunity to
respond to requests for information by
arguing their justification for
withholding material. Under the
Commission’s current regulations a
filing party must include in its filing a
justification for privileged treatment,
demonstrating that the material is
exempt from mandatory disclosure
under FOIA according to the categories
defined in section 388.107 of the
Commission’s Rules and Regulations.
The procedures promulgated in this
proceeding continue that practice. If a
filing party objects to disclosure to a
particular party, it may file an objection
under section 388.112(b)(2)(iii) as
appropriate. Furthermore, a non-filing
party may object to the privileged status
of the materials under review. The
Commission may address each of these
objections by issuing an order, by which
time the parties should have had time
to assert their interests in their
pleadings. However, we emphasize that
75 As APGA has noted, many of these parties will
be served by the pipeline and therefore will have
immediate notice that confidential information is
included. Moreover, the Commission issues notices
of these filings very shortly after they are filed.
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failure to resolve such disputes may
result in delay in processing the filing.
d. Need for Additional Procedures
60. EEI is concerned that delaying
approval of filings due to the
submission of privileged information
may be ‘‘punitive.’’ The Commission
needs to provide due process to allow
for adequate review of all filings and
that includes filings containing
privileged information. If parties can
demonstrate that they have not had
sufficient time to review a filing, the
Commission may adopt whatever
procedures it deems appropriate to
ensure due process to all parties.
Indeed, the Commission is adopting this
rule to clarify procedures for handling
privileged material to expedite
proceedings. As noted in the NOPR, the
Commission previously has preceded on
an ad hoc basis when addressing filings
(other than complaints and answers)
containing privileged information
which has contributed to delay in the
Commission’s ability to process such
filings expeditiously. To permit parties
to participate fully in these proceedings,
the Commission has issued special
orders or notices to ensure access to
privileged material.76 By clarifying the
filing procedures for privileged
information, this rule will reduce the
need to use additional processes and
therefore should expedite, not delay,
proceedings.
F. NERC Notices of Penalty and Other
Communications
1. Comments
61. NERC asks the Commission to
clarify that the procedures proposed in
the NOPR will not apply to NERC’s
filing of a notice of penalty, to filings of
remediated issues in a Find, Fix, Track
and Report spreadsheet, or to other
communications or exchanges of
documents between NERC and FERC
that are not made through formal
filings.77
62. According to NERC, it submits
notices of penalty and Find, Fix, Track
reports on a monthly basis, and points
out that it treats such materials as nonpublic under 18 CFR 39.7(b)(4). NERC’s
practice is to file some portion of the
notices and reports as non-public,
absent a public hearing sought by the
65471
Commission or a penalized entity under
section 39.7(e)(1 and 7). NERC requests
that the Commission clarify that NERC
is not required to submit a protective
agreement with Notice of Penalty or
Find, Fix, Track filings or other
communications or documents that are
not exchanged through formal filings.
According to NERC, the Commission’s
decision to review a Notice of Penalty
may include instructions for NERC to
submit a protective agreement.
63. NERC also asks the Commission to
clarify that NERC’s regular nonpublic
exchanges of information exchanged
through means other than formal filings
do not require a protective agreement.78
2. Commission Response
64. We agree that NERC need not
submit a protective agreement when
filing its notices of penalties. The
protective agreement procedures apply
in the case of regulations that apply to
‘‘any proceeding to which a right to
intervention exists.’’ With respect to
NERC’s filing of notices of penalty, no
right to intervene exists unless the
Commission issues an order initiating
review of the filing and provides for
public intervention and comment.79 If
the Commission establishes such a
proceeding, it will establish whatever
procedures with respect to the materials
are necessary.
65. As for NERC’s remaining concern
with respect to materials distributed in
informal settings, NERC states that the
communications that it refers to are not
made through formal filings.
Consequently, we confirm that the
protective agreement requirement does
not apply. This rulemaking does not
revise the applicable FOIA procedures
and the Commission will continue to
abide by those procedures.
G. Electronic Filing Procedures
66. EEI proposes various revisions to
the Commission’s electronic filing
procedures, such as the types of media
that may be used, extension of
electronic filing procedures to certain
Commission forms under 18 CFR
385.2011. In addition, EEI supports the
Commission broadly preserving the
option to file on paper for parties that
need such an option and encourages the
78 Id.
76 See
West Deptford Energy, LLC, 134 FERC ¶
61,189 (2011) (denying request to limit parties’
rights to see documents). See also PPL Montana,
LLC, 113 FERC ¶ 61,231 (2005); PJM
Interconnection, L.L.C., Notice of Filing, Docket No.
ER05–10–000 (May 6, 2005); PJM Interconnection,
L.L.C., Notice of Filing, Docket No. ER04–539–002
(Apr. 30, 2004).
77 NERC at 3 (discussing FPA section 215(e); 18
CFR 39.7(c)(2)).
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79 18 CFR § 39.7(e)(1); see also North American
Electric Reliability Corp., Order Initiating Review of
Notice of Penalty, 136 FERC ¶ 61,135 (2011); Rules
Concerning Certification of the Electric Reliability
Organization, Order No. 672, FERC Stats. & Regs.
¶ 31,204, at PP 510–11 (2006) (noting that
Commission conducts initial review of NERC
Notice of Penalty as nonpublic pursuant to its FPA
Part 1b investigatory authority, until an on the
record hearing is provided for).
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Commission to minimize requirements
that limit flexibility.
67. Revising the Commission’s
electronic filing procedures and
treatment of Forms is beyond the scope
of this proceeding, and the Commission
is not prepared to implement such
changes in this proceeding. Filings may
still be made on paper except in those
circumstances (tariffs, forms, etc) where
the Commission requires electronic
filing.
H. Prospective Effect
68. EEI asks the Commission to clarify
that the new regulations apply
prospectively only as to new dockets or
sub-dockets and that parties that have
already made filings should not be
compelled to provide a protective
agreement after-the-fact.80
69. We agree that these regulations
will apply only to filings made after
their implementation. With respect to
filings made previously, the procedures
adopted in those proceedings will need
to be followed.
I. Changes to Text of Proposed
Regulations
70. The Commission has made three
changes to the text of the revised
regulations in response to commenters’
suggestions for changes in the regulatory
text, as discussed below. The remaining
suggestions are also discussed in turn
below.
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1. Changes Adopted
71. MidAmerican proposes the
following underlined clarifications to
reflect that a single protective agreement
may apply to all materials filed in a
proceeding: ‘‘The filer must provide the
public version of the document and its
proposed form of protective agreement,
if an applicable protective agreement
does not currently exist, to each entity
that is required to be served with the
filing. If an applicable protective
agreement currently exists, the filer
must identify where the protective
agreement can be obtained.’’
72. The Commission agrees, based on
the provisions in the Model Protective
Order, that one protective agreement
may be drafted to apply to all materials
in a proceeding. Consequently, we have
revised the final regulations to
accommodate such use.
73. EEI asks the Commission to
modify 18 CFR 34.7, which it claims
requires paper filings of privileged
information submitted in applications
for authorization to issue securities and
assumptions of liability under FPA
80 EEI
at 7–8.
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section 204. EEI asks the Commission to
cross reference 18 CFR 388.112.
74. Section 34.7 states that
applications for authorization to issue
securities and assumptions of liability
under section 204 should be filed in
accordance with the filing procedures
posted on the Commission’s web site, in
reflection of the Commission’s moving
such instructions out of its regulations
and placing them on the internet.
Consistent with other regulations, we
add a sentence to section 34.7 to reflect
that privileged materials may be filed
electronically.
75. EEI proposes that the Commission
consult with the Counsel on
Environmental Quality as to its proposal
to remove the requirement in sections
380.12 and 380.16 that ‘‘The cover and
relevant pages or portions of the report
should be clearly labeled in bold
lettering: ‘CONTAINS PRIVILEGED
INFORMATION—DO NOT
RELEASE.’ ’’ 81 According to EEI, the
Commission must consult with the
Counsel on Environmental Quality
before changing National Environmental
Policy Act regulations, including 18
CFR Part 380.82
76. The NOPR proposed to adopt
generic instructions in section 388.112
to permit a party to customize their
headings to reflect the privilege being
claimed and identify the material in
question. Thus, the instruction may
apply to either confidential trade secrets
or CEII. As for EEI’s concern, while we
see no inconsistency with the revised
instruction and the requirements in Part
380, we will not revise the labeling
instructions in the current versions of
sections 380.12(f)(4) and 380.16(f)(4), in
order not to run afoul of the
environmental regulation review
requirements.
establish here apply to both, and we
will not make the requested change.84
78. Mid-American objects to what is
sees as inconsistent usage, noting the
lack of a reference to ‘‘Privileged
Materials’’ in section 388.112(b) and the
requirements instead to label a filed
document, ‘‘indicating that it contains
privileged, confidential and/or Critical
Energy Infrastructure Information, as
appropriate, and marked ‘DO NOT
RELEASE.’ ’’ 85 According to MidAmerican use of the term confidential
and describing material as privileged
make the section hard to follow. The
Commission disagrees, but clarifies that
the provision was drafted to permit the
use and filing of several categories of
privileged material and permit filing
parties to customize the notification that
a filing contains privileged material to
fit their circumstances.
79. TDUs state that the Commission
should include a cross-reference to Rule
410, 18 CFR 385.410, and section
388.112 in Rules 206 and 213 to avoid
ambiguity, 18 CFR 385.206 and 18 CFR
385.213. According to TDUs, a crossreference would clarify that the
treatment of information for which a
claim of confidentiality or privilege is
asserted will be governed by Rule 410
and section 388.112. In addition TDUs
support retaining the reference to Rule
410 and section 388.112 in Rule 606, 18
CFR § 385.606, governing the treatment
of privileged and protected information
in settlement proceedings.86
80. The Commission’s intention is to
consolidate its regulations for filing
privileged materials in section 388.112.
Consequently, we found it unnecessary
to reference section 388.112 as the
regulation describing how one should
file privileged materials, because section
388.112 is the only regulation defining
how such materials should be handled.
2. Proposed Changes Not Accepted
III. Revised Time for Filing Answers to
Motions for Extensions of Time or
Expedited Action Dates
77. MidAmerican cites inconsistency
in section 388.112, which refers to
‘‘procedures for filing and obtaining
privileged and CEII material’’ rather
than ‘‘privileged material.’’ 83 Since CEII
is a sub-set of privileged materials, we
see no confusion as the procedures we
81 EEI at 10. In the NOPR, the Commission
proposed to replace this with the general
requirement in 388.112 that ‘‘The cover page and
relevant pages or portions of the filing document
containing material for which privileged treatment
is claimed should be clearly labeled in bold, capital
lettering, indicating that it contains privileged,
confidential and/or CEII, as appropriate, and
marked ‘DO NOT RELEASE.’ ’’
82 EEI at 10 (citing Counsel on Environmental
Quality regulations at 40 CFR 1507.3(a)).
83 MidAmerican at 3.
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81. To facilitate the Commission’s
ability to respond to motions requesting
extensions of time or shortened time to
take actions required under the
Commission’s orders or regulation, the
Commission proposed to revise Rule
213 in its Rules of Practice and
Procedure to provide that answers to
motions requesting an extension of time
as well as motions seeking to expedite
a deadline, that is, shorten the period of
time in which action is to occur, will be
84 Nevertheless, clarifying changes were made
throughout the regulations.
85 MidAmerican at 3.
86 TDUs at 9.
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Federal Register / Vol. 77, No. 209 / Monday, October 29, 2012 / Rules and Regulations
due in five days.87 The Commission
explained that frequently, parties filing
such motions do not know 15 days
before a filing is due that they require
a change in compliance time periods,
and these motions are not controversial
or complicated. The Commission stated
that, with a 15-day comment period, the
Secretary of the Commission (under
delegated authority) has had to issue
notices shortening comment periods on
such motions. Since motions regarding
the time period for responding are not
controversial or complex, five days
appeared to provide a reasonable time
for responses that will eliminate the
burden and additional delay created by
the need for the Secretary to issue a
notice shortening the comment period.
82. In addition, the NOPR proposed a
related change to the Secretary’s
delegation authority under 18 CFR
375.302(b) to clarify that the Secretary
of the Commission has authority to
address requests for shortened answer
periods and expedite requests to extend
or shorten the times to take actions
consistent with the delegated authority
of other office directors.88 Exercise of
such authority will help expedite
requests for extension of time.
1. Comments
83. INGAA, APGA, PJM, and ITC
generally support the Commission’s
proposal to reduce the time for
responding to requests for extensions of
time. APGA finds the five day answer
period appropriate in most cases.89 PJM
suggests lengthening the time for
response to five business days. While
supporting the five days, ITC suggests
that for circumstances where action may
be needed in a shorter time period, the
filing party be permitted to request a
shorter time period in its filing.
84. INGAA objects to the removal of
the provision in the secretary’s
delegated authority in 18 CFR
375.302(b) stating, ‘‘Absent a waiver, no
answers [to complaints, petitions,
motions and other documents] will be
required to be filed by a party within
less than ten days after the date of
service of the document.’’ INGAA notes
that removal of this provision could
permit the Secretary to shorten any
answer period, including the time for
responding to a complaint, to any time
period. INGAA describes this as a
87 See
revised Rule 213, 18 CFR 385.213.
18 CFR 375.307(b)(1)(ii).
89 MidAmerican notes that the summary of
section 385.213(d) set forth in P 4 of the NOPR
states that the revised regulations apply to all
motions requesting an extension of time, not just to
those ‘‘for which the existing time for compliance
may fall fifteen days or fewer from the date of
filing.’’
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88 See
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wholesale change, which it states the
Commission has failed to justify.90
INGAA asks the Commission to
maintain the minimum ten-day answer
period for complaints, petitions,
motions and other documents that do
not request an extension of time.
2. Commission Response
85. The Commission will adopt the
revised regulation to provide for
shortened answer periods to the
motions for extensions of time or
requesting expedited action and to
clarify the Secretary’s authority to act on
such motions. We find that the five day
answer period strikes an appropriate
balance for the need to expedite action
on such requests while preserving
interested parties ability to respond to
such requests. Since motions regarding
time periods are not controversial or
complex, five days provides a
reasonable time for answers.91 The fiveday notice period also will help reduce
the burden and delay caused by the
Secretary of the Commission (under
delegated authority) having to issue
notices shortening answer periods.
86. ITC requests that the Commission
affirm that parties may request a
shortened answer period. While such a
filing is permitted, the purpose of the
revised regulation is to eliminate the
need to issue notices shortening answer
periods. Also, given the time it takes to
issue such a notice, it will be difficult,
in any but extreme cases, for the
Secretary to issue a notice shortening an
answer period in time to provide parties
the ability to respond. Participants
contemplating making filings to change
time periods should be able to
anticipate the need for such a filing five
days in advance.
87. As for INGAA’s concern with the
Commission’s revision of the Secretary’s
delegated authority, we affirm our
decision. As noted in the NOPR, the
change to the Secretary’s delegated
authority will clarify that the Secretary
has authority to respond to motions in
a shortened time frame when necessary
to respond to a request for extension of
time or expedited action period. While
INGAA is correct that the change would
also permit the Secretary to shorten the
time for filing answers in other contexts,
we anticipate that the Secretary would
shorten the time for action only when
justified and will do so in such a way
as not to prejudice any party.
IV. Information Collection Statement
88. Office of Management and Budget
(OMB) regulations require OMB to
approve certain information collection
requirements imposed by agency rule.92
This rule does not contain any
information collection requirements and
compliance with the OMB regulations is
thus not required. The Commission
anticipates this rulemaking will reduce
the burden of making filings because it
will allow filers who previously filed on
paper to take advantage of the
efficiencies and ease associated with
electronic submission in the
standardized procedures. In addition,
this Final Rule does not make any
substantive or material changes to
requirements specified in the NOPR,
where the Commission similarly found
no information collection requirements.
89. EEI suggests that the requirement
to submit a protective agreement along
with the filing of privileged materials
embodies a new burden in the
Commission’s Paperwork Reduction Act
analysis.93 The Commission disagrees.
The Commission is not requiring any
party to file and rely on privileged
material in proceedings before the
Commission. Furthermore, the
requirement to use a protective
agreement to facilitate meaningful
review of the material by interested
parties has long been a part of our
regulations pertaining to the filing of
complaints and answers. Additionally,
those regulations have served as a
model in practice for parties filing
privileged materials in other
proceedings. Thus, the requirement to
provide and to use a protective
agreement represents a codification of
the Commission’s existing practice
under which a party seeking to rely on
privileged materials must provide
interested persons the opportunity for
meaningful review of privileged
materials in Commission proceedings,
which typically occurs through the use
of a protective agreement. Therefore, we
find that codifying the requirement to
deliver a protective agreement does not
represent a new burden, but simply
reflects the Commission’s existing
practice of applying the procedures
developed in the complaint regulations
on a case-by-case basis for all filings in
which a right of intervention exists.
Furthermore, by facilitating filing and
service of the protective agreement by
electronic means, the revised
regulations minimize any impact and
reduce the burden of using privileged
materials in Commission proceedings.
90. The Commission will submit a
copy of this Final Rule to OMB only for
informational purposes.
92 5
90 INGAA
at 3.
91 In most cases, such filings are not opposed.
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65473
CFR 1320.12.
at 8. Paperwork Reduction Act of 1995,
section 3507(d), 44 U.S.C. 3507(d).
93 EEI
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V. Environmental Analysis
91. The Commission is required to
prepare an Environmental Assessment
or an Environmental Impact Statement
for any action that may have a
significant adverse effect on the human
environment.94 This rule would not
represent a major federal action having
a significant adverse effect on the
quality of the human environment
under the Commission’s regulations
implementing the National
Environmental Policy Act. Part 380 of
the Commission’s regulations lists
exemptions to the requirement to draft
an Environmental Analysis or
Environmental Impact Statement.
Included is an exemption for
procedural, ministerial or internal
administrative actions.95 This
rulemaking is exempt under that
provision.
rmajette on DSK2TPTVN1PROD with
VI. Regulatory Flexibility Act
92. The Regulatory Flexibility Act of
1980 (RFA) 96 generally requires a
description and analysis of proposed
rules that will have significant
economic impact on a substantial
number of small entities. The RFA
mandates consideration of regulatory
alternatives that accomplish the stated
objectives of a rulemaking while
minimizing any significant economic
impact on a substantial number of small
entities. The Small Business
Administration’s (SBA) Office of Size
Standards develops the numerical
definition of a small business.97 The
SBA has established a size standard for
electrical utilities, stating that a firm is
small if, including its affiliates, it is
primarily engaged in the transmission,
generation, and/or distribution of
electric energy for sale and its total
electric output for the preceding twelve
months did not exceed four million
MWh.98
93. The Commission finds this rule
concerns procedural matters and
expects it to increase the ease and
convenience of filing.99 The
94 Regulations Implementing the National
Environmental Policy Act of 1969, Order No. 486,
52 FR 47897 (Dec. 17, 1987), FERC Stats. & Regs.
¶ 30,783 (1987).
95 18 CFR 380.4(1) and (5).
96 5 U.S.C. 601–612.
97 13 CFR 121.101 (2011).
98 13 CFR 121.201, Sector 22 Utilities & n.1.
99 See Order No. 703, FERC Stats. & Regs. ¶
31,259 at P 39. The Commission does not believe
that an RFA analysis similar to that provided in
Order No. 714, FERC Stats. & Regs. ¶ 31,276 at P
113, is required or would be useful, because
persons making filings with the Commission would
not need new software, systems or training, and
would not be required to convert existing materials
to the new format, as was the case in that
proceeding.
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Commission certifies that it will not
have a significant economic impact
upon participants in Commission
proceedings. An analysis under the RFA
is not required.
VII. Document Availability
94. In addition to publishing the full
text of this document in the Federal
Register, the Commission provides all
interested persons an opportunity to
view and/or print the contents of this
document via the Internet through
FERC’s Home Page (https://www.ferc.gov)
and in FERC’s Public Reference Room
during normal business hours (8:30 a.m.
to 5:00 p.m. Eastern time) at 888 First
Street NE., Room 2A, Washington, DC
20426.
95. From FERC’s Home Page on the
Internet, this information is available on
eLibrary. The full text of this document
is available on eLibrary in PDF and
Microsoft Word format for viewing,
printing, and/or downloading. To access
this document in eLibrary, type the
docket number excluding the last three
digits of this document in the docket
number field.
96. User assistance is available for
eLibrary and the FERC’s Web site during
normal business hours from FERC
Online Support at (202) 502–6652 (toll
free at 1–866–208–3676) or email at
ferconlinesupport@ferc.gov, or the
Public Reference Room at (202) 502–
8371, TTY (202) 502–8659. Email the
Public Reference Room at
public.referenceroom@ferc.gov.
VIII. Effective Date and Congressional
Notification
97. These regulations are effective
December 28, 2012.
18 CFR Part 34
Electric power, Electric utilities,
Reporting and recordkeeping
requirements, Securities.
18 CFR Part 35
Electric power rates, Electric utilities,
Reporting and recordkeeping
requirements.
18 CFR Part 157
Administrative practice and
procedure, Natural gas, Reporting and
recordkeeping requirements, Uniform
system of accounts.
18 CFR Part 348
Pipelines, Reporting and
recordkeeping requirements.
18 CFR Part 375
Authority delegations (Government
agencies), Seals and insignia, Sunshine
Act.
18 CFR Part 385
Administrative practice and
procedure, Electric utilities, Penalties,
Pipelines, Reporting and recordkeeping
requirements.
18 CFR Part 388
Confidential business information;
Freedom of information.
By the Commission.
Nathaniel J. Davis, Sr.,
Deputy Secretary.
In consideration of the foregoing, the
Commission amends Parts 4, 5, 16, 33,
34, 35, 157, 348, 375, 385, and 388,
Chapter I, Title 18, of the Code of
Federal Regulations, as follows.
PART 4—LICENSES, PERMITS,
EXEMPTIONS, AND DETERMINATIONS
OF PROJECT COSTS
1. The authority citation for Part 4 is
revised to read as follows:
List of Subjects
■
18 CFR Part 4
Authority: 16 U.S.C. 791a–825v, 2601–
2645; 42 U.S.C. 7101–7352.
Administrative practice and
procedure, Electric power, Reporting
and recordkeeping requirements.
Administrative practice and
procedure, Electric power, Reporting
and recordkeeping requirements.
18 CFR Part 16
Administrative practice and
procedure, Electric power, Electric
utilities, Reporting and recordkeeping
requirements, Securities.
3. The authority citation for Part 5 is
revised to read as follows:
Electric utilities, Reporting and
recordkeeping requirements.
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PART 5—INTEGRATED LICENSE
APPLICATION PROCESS
■
18 CFR Part 33
Frm 00014
[Amended]
2. In paragraph (e) of § 4.39, remove
the phrase ‘‘Critical Energy
Infrastructure Information in §§ 388.112
and 388.113 of subchapter X of this
chapter’’ and add the phrase ‘‘privileged
materials and Critical Energy
Infrastructure Information in §§ 388.112
and 388.113 of this chapter’’ in its place.
■
18 CFR Part 5
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Sfmt 4700
Authority: 16 U.S.C. 792–828c, 2601–2645;
42 U.S.C. 7101–7352.
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65475
§ 157.21
*
*
*
*
(c) Requests for privileged or Critical
Energy Infrastructure Information
treatment of pre-filing submission. If a
potential Applicant requests privileged
or critical energy infrastructure
information treatment of any
information submitted to the
Commission during pre-filing
consultation (except for the information
specified in § 5.4), the Commission will
treat the request in accordance with the
provisions in § 388.112 of this chapter
until the date the application is filed
with the Commission.
*
*
*
*
*
printed portion of the applicant’s
submission must include
documentation for the electronic
information, including all file names
and a summary of the data contained in
each file. Each column (or data item) in
each separate data table or chart must be
clearly labeled in accordance with the
requirements of §§ 33.3 and 33.4. Any
units of measurement associated with
numeric entries must also be included.
§ 33.9
■
■
PART 16—PROCEDURES RELATING
TO TAKEOVER AND RELICENSING OF
LICENSED PROJECTS
PART 348—OIL PIPELINE
APPLICATIONS FOR MARKET POWER
DETERMINATIONS
Authority: 16 U.S.C. 791a–825r, 2601–
2645; 31 U.S.C. 9701; 42 U.S.C. 7101–7352.
■
4. Revise paragraph (c) of § 5.29 to
read as follows:
■
§ 5.29
Other provisions.
*
[Removed and Reserved].
9. Remove and reserve § 33.9.
■
PART 34—APPLICATION FOR
AUTHORIZATION OF THE ISSUANCE
OF SECURITIES OR THE ASSUMPTION
OF LIABILITIES
10. The authority citation for Part 34
is revised to read as follows:
[Amended]
15. In § 157.21(h), remove the phrase
‘‘for the submission of documents
containing critical energy infrastructure
information, as defined in § 388.113.’’
and add the phrase ‘‘of this chapter for
the submission of documents containing
privileged materials or critical energy
infrastructure information.’’ in its place.
■
§ 157.34
[Amended]
16. In § 157.34(d)(4), remove the
phrase ‘‘under confidential treatment
pursuant to § 388.112 of this chapter if
desired.’’ and add the phrase ‘‘seeking
privileged treatment pursuant to
§ 388.112 of this chapter.’’ in its place.
17. The authority citation for Part 348
is revised to read as follows:
5. The authority citation for Part 16 is
revised to read as follows:
■
11. In § 34.7, add a sentence after the
first sentence to read as follows:
Authority: 42 U.S.C. 7101–7352, 49 U.S.C.
60502; 49 App. U.S.C. 1–85 (1988).
Authority: 16 U.S.C. 791a–825r, 2601–
2645; 42 U.S.C. 7101–7352.
§ 34.7
■
■
§ 16.8
[Amended]
6. In the heading of § 16.8(g), add the
phrase ‘‘or Critical Energy Infrastructure
Information’’ after the word
‘‘privileged’’.
■
PART 33—APPLICATIONS UNDER
FEDERAL POWER ACT SECTION 203
7. The authority citation for Part 33 is
revised to read as follows:
■
Authority: 16 U.S.C. 791a–825r, 2601–
2645; 31 U.S.C. 9701; 42 U.S.C. 7101–7352.
■
8. Revise § 33.8 to read as follows:
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§ 33.8
Requirements for filing applications.
The applicant must submit the
application or petition to the Secretary
of the Commission in accordance with
filing procedures posted on the
Commission’s Web site at https://
www.ferc.gov.
(a) If the applicant seeks to protect
any portion of the application, or any
attachment thereto, from public
disclosure, the applicant must make its
filing in accordance with the
Commission’s instructions for
submission of privileged materials and
Critical Energy Infrastructure
Information in § 388.112 of this chapter.
(b) If required, the applicant must
submit information specified in
paragraphs (b), (c), (d), (e) and (f) of
§ 33.3 or paragraphs (b), (c), (d) and (e)
of § 33.4 on electronic recorded media
(i.e., CD/DVD) in accordance with
§ 385.2011 of this chapter, along with a
printed description and summary. The
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Filing requirements.
* * * If an applicant seeks to protect
any portion of an application from
public disclosure, the applicant must
make its filing in accordance with the
Commission’s instructions for filing
privileged materials and critical energy
infrastructure information in this
chapter.
PART 35—FILING OF RATE
SCHEDULES AND TARIFFS
12. The authority citation for Part 35
is revised to read as follows:
■
Authority: 16 U.S.C. 791a–825r, 2601–
2645; 31 U.S.C. 9701; 42 U.S.C. 7101–7352.
13. Revise § 35.37, paragraph (f) to
read as follows.
■
§ 35.37
Market power analysis required.
*
*
*
*
*
(f) If the Seller seeks to protect any
portion of a filing from public
disclosure, the Seller must make its
filing in accordance with the
Commission’s instructions for filing
privileged materials and critical energy
infrastructure information in § 388.112
of this chapter.
PART 157—APPLICATIONS FOR
CERTIFICATES OF PUBLIC
CONVENIENCE AND NECESSITY AND
FOR ORDERS PERMITTING AND
APPROVING ABANDONMENT UNDER
SECTION 7 OF THE NATURAL GAS
ACT
14. The authority citation for Part 157
continues to read as follows:
■
Authority: 15 U.S.C. 717–717z.
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18. Revise § 348.2, paragraph (a) to
read as follows:
§ 348.2
Procedures.
(a) All filings under this part must be
made electronically pursuant to the
requirements of §§ 341.1 and 341.2 of
this chapter. A carrier seeking
privileged treatment for all or any part
of its filing must submit a request for
privileged treatment in accordance with
§ 388.112 of this chapter.
*
*
*
*
*
PART 375—THE COMMISSION
19. The authority citation for Part 375
is revised to read as follows:
■
Authority: 5 U.S.C. 551–557; 15 U.S.C.
717–717w, 3301–3432; 16 U.S.C. 791–825r,
2601–2645; 42 U.S.C. 7101–7352.
20. Revise § 375.302, paragraph (b) to
read as follows:
■
§ 375.302
Delegations to the Secretary.
*
*
*
*
*
(b) Prescribe, for good cause, a
different time than that required by the
Commission’s Rules of Practice and
Procedure or Commission order for
filing by public utilities, licensees,
natural gas companies, and other
persons of answers to complaints,
petitions, motions, and other
documents.
*
*
*
*
*
PART 385—RULES OF PRACTICE AND
PROCEDURE
21. The authority citation for Part 385
continues to read as follows:
■
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65476
Federal Register / Vol. 77, No. 209 / Monday, October 29, 2012 / Rules and Regulations
Authority: 5 U.S.C. 551–557; 15 U.S.C.
717–717z, 3301–3432; 16 U.S.C. 792–828c,
2601–2645; 28 U.S.C. 2461; 31 U.S.C. 3701,
9701; 42 U.S.C. 7101–7352, 16441, 16451–
16463; 49 U.S.C. 60502; 49 App. U.S.C. 1–85
(1988).
§ 385.206
[Amended]
22. In § 385.206, remove and reserve
paragraph (e).
■ 23. Revise § 385.213, paragraphs (c)(5)
and (d)(1) to read as follows:
■
§ 385.213
Answers (Rule 213).
*
*
*
*
*
(c) * * *
(5) When submitting with its answer
any request for privileged treatment of
documents and information in
accordance with this chapter, a
respondent must provide a public
version of its answer without the
information for which privileged
treatment is claimed and its proposed
form of protective agreement to each
entity that has either been served
pursuant to § 385.206(c) or whose name
is on the official service list for the
proceeding compiled by the Secretary.
*
*
*
*
*
(d) Time limitations. (1) Any answer
to a motion or to an amendment to a
motion must be made within 15 days
after the motion or amendment is filed,
except as described below or unless
otherwise ordered.
(i) If a motion requests an extension
of time or a shortened time period for
action, then answers to the motion to
extend or shorten the time period shall
be made within 5 days after the motion
is filed, unless otherwise ordered.
(ii) [Reserved]
*
*
*
*
*
§ 385.606
[Amended]
24. In § 385.606:
a. In paragraph (f), remove the
sentence ‘‘See sections 385.410 and
388.112 of this chapter.’’
■ b. In paragraph (j), remove the phrase
‘‘section 388.112 of.’’
■
■
PART 388—INFORMATION AND
REQUESTS
25. The authority citation for part 388
continues to read as follows:
■
Authority: 5 U.S.C. 301–305, 551, 552 (as
amended), 553–557; 42 U.S.C. 7101–7352.
26. Revise § 388.112 to read as
follows:
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■
§ 388.112 Requests for privileged
treatment and Critical Energy Infrastructure
Information (CEII) treatment for documents
submitted to the Commission.
(a) Scope. (1) By following the
procedures specified in this section, any
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person submitting a document to the
Commission may request privileged
treatment for some or all of the
information contained in a particular
document that it claims is exempt from
the mandatory public disclosure
requirements of the Freedom of
Information Act, 5 U.S.C. 552 (FOIA),
and should be withheld from public
disclosure. For the purposes of the
Commission’s filing requirements,
information subject to an outstanding
claim of exemption from disclosure
under FOIA, including critical energy
infrastructure information (CEII), will be
referred to as privileged material.
(2) Any person submitting documents
containing CEII as defined in § 388.113,
or seeking access to such information
should follow the procedures in this
chapter.
(b) Procedures for filing and obtaining
privileged or CEII material. (1) General
Procedures. A person requesting that
material be treated as privileged
information or CEII must include in its
filing a justification for such treatment
in accordance with the filing procedures
posted on the Commission’s Web site at
https://www.ferc.gov. A person
requesting that a document filed with
the Commission be treated as privileged
or CEII must designate the document as
privileged or CEII in making an
electronic filing or clearly indicate a
request for such treatment on a paper
filing. The cover page and pages or
portions of the document containing
material for which privileged treatment
is claimed should be clearly labeled in
bold, capital lettering, indicating that it
contains privileged, confidential and/or
Critical Energy Infrastructure
Information, as appropriate, and marked
‘‘DO NOT RELEASE.’’ The filer also
must submit to the Commission a public
version with the information that is
claimed to be privileged material
redacted, to the extent practicable.
(2) Procedures for Proceedings with a
Right to Intervene. The following
procedures set forth the methods for
filing and obtaining access to material
that is filed as privileged in complaint
proceedings and in any proceeding to
which a right to intervention exists:
(i) If a person files material as
privileged material or CEII in a
complaint proceeding or other
proceeding to which a right to
intervention exists, that person must
include a proposed form of protective
agreement with the filing, or identify a
protective agreement that has already
been filed in the proceeding that applies
to the filed material. This requirement
does not apply to material submitted in
hearing or settlement proceedings, or if
the only material for which privileged
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Fmt 4700
Sfmt 4700
treatment is claimed consists of
landowner lists or privileged
information filed under §§ 380.12(f),
(m), (o) and 380.16(f) of this chapter.
(ii) The filer must provide the public
version of the document and its
proposed form of protective agreement
to each entity that is required to be
served with the filing.
(iii) Any person who is a participant
in the proceeding or has filed a motion
to intervene or notice of intervention in
the proceeding may make a written
request to the filer for a copy of the
complete, non-public version of the
document. The request must include an
executed copy of the protective
agreement and a statement of the
person’s right to party or participant
status or a copy of their motion to
intervene or notice of intervention. Any
person may file an objection to the
proposed form of protective agreement.
A filer, or any other person, may file an
objection to disclosure, generally or to a
particular person or persons who have
sought intervention.
(iv) If no objection to disclosure is
filed, the filer must provide a copy of
the complete, non-public document to
the requesting person within 5 days
after receipt of the written request that
is accompanied by an executed copy of
the protective agreement. If an objection
to disclosure is filed, the filer shall not
provide the non-public document to the
person or class of persons identified in
the objection until ordered by the
Commission or a decisional authority.
(v) For material filed in proceedings
set for trial-type hearing or settlement
judge proceedings, a participant’s access
to material for which privileged
treatment is claimed is governed by the
presiding official’s protective order.
(vi) For landowner lists, information
filed as privileged under §§ 380.12(f),
(m), (o) and 380.16(f), forms filed with
the Commission, and other documents
not covered above, access to this
material can be sought pursuant to a
FOIA request under § 388.108 or a CEII
request under § 388.113 of this chapter.
Applicants are not required under
paragraph (b)(2)(iv) of this section to
provide intervenors with landowner
lists and the other materials identified
in the previous sentence.
(c) Effect of privilege or CEII claim. (1)
For documents filed with the
Commission:
(i) The documents for which
privileged or CEII treatment is claimed
will be maintained in the Commission’s
document repositories as non-public
until such time as the Commission may
determine that the document is not
entitled to the treatment sought and is
subject to disclosure consistent with
E:\FR\FM\29OCR1.SGM
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Federal Register / Vol. 77, No. 209 / Monday, October 29, 2012 / Rules and Regulations
65477
Regulatory Flexibility Act
It is hereby certified that the repeal of
these regulations will not have a
significant economic impact on a
substantial number of small entities
under the criteria of the Regulatory
Flexibility Act, 5 U.S.C. 605(b), because
the issues addressed are not of an
economic nature. In addition, the repeal
of this regulation does not have
federalism implications under E.O.
13132.
§§ 388.108 or 388.113 of this chapter. By
treating the documents as nonpublic,
the Commission is not making a
determination on any claim of privilege
or CEII status. The Commission retains
the right to make determinations with
regard to any claim of privilege or CEII
status, and the discretion to release
information as necessary to carry out its
jurisdictional responsibilities.
(ii) The request for privileged or CEII
treatment and the public version of the
document will be made available while
the request is pending.
(2) For documents submitted to
Commission staff. The notification
procedures of paragraphs (d), (e), and (f)
of this section will be followed before
making a document public.
(d) Notification of request and
opportunity to comment. When a FOIA
or CEII requester seeks a document for
which privilege or CEII status has been
claimed, or when the Commission itself
is considering release of such
information, the Commission official
who will decide whether to release the
information or any other appropriate
Commission official will notify the
person who submitted the document
and give the person an opportunity (at
least five calendar days) in which to
comment in writing on the request. A
copy of this notice will be sent to the
requester.
(e) Notification before release. Notice
of a decision by the Commission, the
Chairman of the Commission, the
Director, Office of External Affairs, the
General Counsel or General Counsel’s
designee, a presiding officer in a
proceeding under part 385 of this
chapter, or any other appropriate official
to deny a claim of privilege, in whole
or in part, or to make a limited release
of CEII, will be given to any person
claiming that the information is
privileged or CEII no less than 5
calendar days before disclosure. The
notice will briefly explain why the
person’s objections to disclosure are not
sustained by the Commission. A copy of
this notice will be sent to the FOIA or
CEII requester.
(f) Notification of suit in Federal
courts. When a FOIA requester brings
suit to compel disclosure of information
for which a person has claimed
privileged treatment, the Commission
will notify the person who submitted
the documents of the suit.
DEPARTMENT OF STATE
Administrative Procedure Act
Federalism
This regulation will not have
substantial direct effects on the States,
on the relationship between the national
government and the States, or the
distribution of power and
responsibilities among the various
levels of government. Nor will the rule
have federalism implications warranting
the application of Executive Orders No.
12372 and No. 13132.
§ 388.113
This action is being taken as a final
rule pursuant to the ‘‘good cause’’
provision of 5 U.S.C. 553(b). It is the
position of the Department that notice
and comment are not necessary in light
of the fact that Part 52 is obsolete or
duplicative of other authorities.
Civil Justice Reform
The Department has reviewed the
regulations in light of sections 3(a) and
3(b)(2) of Executive Order No. 12988 to
eliminate ambiguity, minimize
litigation, establish clear legal
standards, and reduce burden.
[Amended]
27. In § 388.113(d)(1) and (d)(2),
remove the phrase ‘‘paragraph (d)(3)’’
and add the phrase ‘‘paragraph (d)(4)’’
in its place.
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■
[FR Doc. 2012–26126 Filed 10–26–12; 8:45 am]
BILLING CODE 6717–01–P
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22 CFR Part 52
[Public Notice 8074]
RIN 1400–AD27
Repeal of Regulations on Marriages
Department of State.
Final rule.
AGENCY:
ACTION:
In accordance with Executive
Order 13563, the Bureau of Consular
Affairs is repealing the regulations on
marriages. The current regulations are
outdated and duplicative of other
authorities that detail procedures for
authentications and documentation of
life events. Further, in light of other
authorities, it is unnecessary to
specifically state in the regulations how
consular authority is limited.
DATES: Effective Date: This rule is
effective October 29, 2012.
FOR FURTHER INFORMATION CONTACT: Dara
Morenoff, Office of Legal Affairs,
Overseas Citizen Services, U.S.
Department of State, 2201 C Street NW.,
SA–29, Washington, DC 20520, (202)
736–4995, morenoffdj@state.gov.
SUPPLEMENTARY INFORMATION: This rule
removes Part 52 of the Code of Federal
Regulations, which relates to the
consular role in marriages. The
Department is removing Part 52 because
it is outdated and duplicative of other
federal laws and regulations. For
example:
—Section 52.1 provides that consular
officers may not conduct marriages or
serve as witnesses to a marriage. The
law authorizing consular officers to
act in this capacity, 22 U.S.C. 4192,
was repealed in 1990.
—Section 52.2 relates to authentication
of marriage documents. This section
is unnecessary because the laws and
regulations that apply to
authentications in general also apply
to marriage documents, and these
functions are already covered in 22
CFR 92.41.
—Finally, Section 52.3 is unnecessary
because there is no longer demand for
official certificates with respect to
marriage laws in foreign countries.
SUMMARY:
Regulatory Analysis and Notices
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Fmt 4700
Sfmt 4700
Unfunded Mandates Reform Act
Section 202 of the Unfunded
Mandates Reform Act of 1995, 2 U.S.C.
1532, generally requires agencies to
prepare a statement before proposing
any rule that may result in an annual
expenditure of $100 million or more by
State, local, or tribal governments, or by
the private sector. This rule will not
result in any such expenditure, nor will
it significantly or uniquely affect small
governments.
Executive Orders 12866 and 13563
The Department of State has reviewed
this rule to ensure its consistency with
the regulatory philosophy and
principles set forth in Executive Order
12866 and has determined that the
benefits of this regulation justify its
costs. The Department does not consider
this rule to be an economically
significant action within the scope of
section 3(f)(1) of the Executive Order
since it is not likely to have an annual
effect on the economy of $100 million
or more or to adversely affect in a
material way the economy, a sector of
the economy, competition, jobs, the
environment, public health or safety, or
State, local or tribal governments or
communities. The Department has
considered this rule in light of
Executive Order 13563, dated January
18, 2011, and affirms that this regulation
is consistent with the guidance therein.
E:\FR\FM\29OCR1.SGM
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Agencies
[Federal Register Volume 77, Number 209 (Monday, October 29, 2012)]
[Rules and Regulations]
[Pages 65463-65477]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2012-26126]
=======================================================================
-----------------------------------------------------------------------
DEPARTMENT OF ENERGY
Federal Energy Regulatory Commission
18 CFR Parts 4, 5, 16, 33, 34, 35, 157, 348, 375, 385 and 388
[Docket No. RM12-2-000; Order No. 769]
Filing of Privileged Materials and Answers to Motions
AGENCY: Federal Energy Regulatory Commission, DOE.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: In this Final Rule, the Commission revises its rules and
regulations relating to the filing of privileged material in keeping
with the Commission's efforts to comply with the Paperwork Reduction
Act, the Government Paperwork Elimination Act and the E-Government Act
of 2002. First, the Commission establishes two categories of privileged
material for filing purposes: Privileged material and critical energy
infrastructure information. This revision will expand the ability to
file electronically by permitting electronic filing of materials
subject to Administrative Law Judge protective orders as appropriate.
Second, the Commission revises its regulations to provide a single set
of uniform procedures for filing privileged materials. These revisions
continue the Commission's effort to reassess and streamline its
regulations to ensure that they are efficient, effective and up to
date.
Also, the Commission revises Rule 213(d) of its Rules of Practice
and Procedure, which establishes the timeline for filing answers to
motions, to clarify that the standard fifteen day reply time will not
apply to motions requesting an extension of time or a shortened time
period for action. Instead, the Commission proposes to set the time for
responding to such motions at five days, unless another time period is
established by notice based on the circumstances.
DATES: Effective Date: This final rule is effective December 28, 2012.
FOR FURTHER INFORMATION CONTACT:
Christopher Cook (Technology/Procedural Information), Office of the
Executive Director, Federal Energy Regulatory Commission, 888 First
Street NE., Washington, DC 20426, Telephone: (202) 502-8102.
Richard M. Wartchow (Legal Information), Office of the General Counsel,
Federal Energy Regulatory Commission, 888 First Street NE., Washington,
DC 20426, Telephone: (202) 502-8744.
SUPPLEMENTARY INFORMATION:
Order No. 769
Final Rule
Table of Contents
Paragraph
Nos.
I. Background............................................... 3
A. Electronic Filing Procedures......................... 3
B. Notice of Proposed Rulemaking and Comments........... 9
II. Regulations for Filing Privileged Materials............. 12
A. Designation of Confidential Materials as 20
``Privileged''.........................................
1. Comments......................................... 21
2. Commission Response.............................. 22
B. Establishing Separate Regulations Governing CEII 24
Information............................................
C. Form and Use of Protective Agreement................. 29
1. Comments......................................... 30
2. Commission Response.............................. 36
D. Consistency With Discovery Procedures Used in 44
Administrative Proceedings.............................
1. Comments......................................... 45
2. Commission Response.............................. 46
E. Procedures for Distributing Privileged Information... 48
1. Comments......................................... 49
2. Commission Response.............................. 55
F. NERC Notices of Penalty and Other Communications..... 61
1. Comments......................................... 61
2. Commission Response.............................. 64
G. Electronic Filing Procedures......................... 66
H. Prospective Effect................................... 68
I. Changes to Text of Proposed Regulations.............. 70
1. Changes Adopted.................................. 71
2. Proposed Changes Not Accepted.................... 77
III. Revised Time for Filing Answers to Motions for 81
Extensions of Time or Expedited Action Dates...............
1. Comments......................................... 83
2. Commission Response.............................. 85
IV. Information Collection Statement........................ 88
V. Environmental Analysis................................... 91
VI. Regulatory Flexibility Act.............................. 92
[[Page 65464]]
VII. Document Availability.................................. 94
VIII. Effective Date and Congressional Notification......... 97
List of Subjects
Regulatory Text
Order No. 769
Final Rule
Issued October 18, 2012.
1. In this Final Rule, the Commission revises its rules and
regulations relating to the filing of privileged material in keeping
with the Commission's efforts to comply with the Paperwork Reduction
Act, the Government Paperwork Elimination Act and the E-Government Act
of 2002. First, the Commission establishes two categories of privileged
material for filing purposes: privileged material and critical energy
infrastructure information (CEII). This revision will expand the
ability to file electronically by permitting electronic filing of
materials subject to Administrative Law Judge (ALJ) protective orders
as appropriate. Second, the Commission revises its regulations to
provide a single set of uniform procedures for filing privileged
materials. These revisions continue the Commission's effort to reassess
and streamline its regulations to ensure that they are efficient,
effective and up to date.
2. Also, the Commission revises Rule 213(d) of its Rules of
Practice and Procedure, which establishes the timeline for filing
answers to motions, to clarify that the standard fifteen day reply time
will not apply to motions requesting an extension of time or a
shortened time period for action. Instead, the Commission proposes to
set the time for responding to such motions at five days, unless
another time period is established by notice based on the
circumstances.
I. Background
A. Electronic Filing Procedures
3. In 2000, the Commission first permitted filers to use the
Internet to submit documents to the Commission.\1\ Such submissions
were limited to categories of documents specified by the Secretary of
the Commission (Secretary), with the intention of gradually expanding
the range of eligible documents.\2\ In 2007, the Commission implemented
eFiling 7.0 which permitted a much broader range of documents to be
submitted through the eFiling interface.\3\ In 2008, the Commission, in
collaboration with the wholesale electric and gas quadrants of the
North American Energy Standards Board and representatives from the
Association of Oil Pipelines, implemented a set of standards to be used
by companies in electronically filing tariff and tariff-related
documents at the Commission.\4\ Under the Commission's regulations,
only ``qualified documents'' may be filed via the Internet, and the
Secretary is authorized to specify which documents are qualified and to
issue filing instructions.\5\ A list of qualified documents is
published on the Commission's Web site.\6\
---------------------------------------------------------------------------
\1\ Electronic Filing of Documents, Order No. 619, 65 FR 57088
(Sept. 21, 2000), FERC Stats. & Regs. ] 31,107 (2000).
\2\ See Rule 2003(c) of the Commission's Rules of Practice and
Procedure, 18 CFR 385.2003(c).
\3\ Filing Via the Internet, Order No. 703, FERC Stats. & Regs.
] 31,259 (2007) (amending Rule 2003(c)).
\4\ Electronic Tariff Filings, Order No. 714, FERC Stats. &
Regs. ] 31,276 (2008).
\5\ Rule 2003(c), 18 CFR 385.2003(c); Rule 2003(c)(1)(ii), 18
CFR 385.2003(c)(1)(ii); see https://www.ferc.gov/docs-filing/efiling/user-guide.asp.
\6\ See https://www.ferc.gov/docs-filing/efiling/docs-efiled.asp.
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4. The eFiling system plays an important role in the Commission's
efforts to comply with the Government Paperwork Elimination Act, which
requires that agencies provide the option to submit information
electronically, when practicable, as a substitute for paper.\7\ Users
of the Commission's eFiling system and related activities must register
electronically through the Commission's eRegistration system.\8\ Filing
via the Internet is optional for eligible documents.\9\ The eFiling
system now is receiving a substantial majority of all documents filed
at the Commission. The system is accessible through the Commission's
Web site at https://www.ferc.gov/docs-filing/efiling.asp.
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\7\ Public Law 105-277, Sec. 1702-1704 (1998); see OMB Circular
A-130 Paragraph 8.a.1(k).
\8\ 18 CFR 390.1 and 18 CFR 390.2.
\9\ Rule 2001(a) of the Commission's Rules of Practice and
Procedure, 18 CFR 385.2001(a).
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5. [Paragraph blank]
6. Currently, the Commission accepts through electronic filing all
documents, including privileged material and CEII,\10\ except for
documents submitted pursuant to an ALJ's protective order and some
forms.\11\ The Commission's current procedures for submitting materials
subject to ALJ protective orders require filers to submit an original
copy of the document in hard copy or on electronic media, along with
the requisite number of copies, pursuant to section 388.112 of the
Commission's regulations. While the Commission permits electronic
filing of documents subject to a claim of privilege not subject to an
ALJ protective order, the Commission currently does not have a standard
set of procedures for submitting such documents.
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\10\ See Critical Energy Infrastructure Information, Order No.
630, FERC Stats. & Regs. ] 31,140, order on reh'g, Order No. 630-A,
FERC Stats. & Regs. ] 31,147, at P 65 (2003) (providing that
privileged material and CEII may be filed under 18 CFR 388.112 on
electronic media--including compact discs, computer diskettes, and
tapes--and noting that the Commission would accept non-public
documents through its electronic filing process at some point in the
future).
\11\ Order No. 703, FERC Stats. & Regs. ] 31,259 at P 9. The
following are submitted through eForms: FERC Form No. 1, FERC Form
No. 2, FERC Form No. 2-A, FERC Form No. 3-Q, FERC Form No. 6, FERC
Form No. 6-Q, FERC Form No. 60, FERC Form No. 714, and Electric
Quarterly Reports. FERC Form 1-F is currently not included in
eForms.
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7. The Commission's current complaint and answer regulations
(sections 385.206 and 385.213) contain detailed requirements for
submitting privileged materials. Under these regulations, a party
filing a complaint or an answer with privileged and/or confidential
material is required to submit a request for privileged treatment of
documents, a public redacted document, a privileged unredacted
document, and a proposed form of protective agreement.\12\ The filer
must serve the public, redacted copy on appropriate parties and other
entities required to be served and must provide a copy of the non-
public, unredacted material to any participant or entity whose name is
on the official service list (compiled by the Secretary) and who has
signed the protective agreement.
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\12\ See Astoria Generating Co., L.P. v. New York Independent
System Operator, Inc., 136 FERC ] 61,155, at P 25 (2011) (Astoria).
The Commission's filing requirements for CEII and privileged
material are provided in the ``Submission Guidelines'' available via
the eFiling link on the Commission's Web site at https://www.ferc.gov.
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8. In recent years, the Commission has been receiving a larger
number of requests for privileged treatment of documents not associated
with
[[Page 65465]]
complaints or answers.\13\ The request for privileged treatment has in
some cases delayed the ability of the Commission to process such
filings because the Commission was required to issue special orders or
notices to ensure that parties could obtain access to the privileged
material they needed in order to be able to participate in the
proceeding.\14\ Particularly, in cases involving statutory deadlines,
such delays affect the ability of parties to submit timely, well
informed comments, as well as the Commission's ability to process those
comments.
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\13\ See ANR Pipeline Co., 129 FERC ] 61,080 (2009); PPL
Montana, LLC, 113 FERC ] 61,231 (2005).
\14\ See West Deptford Energy, LLC, 134 FERC ] 61,189 (2011)
(denying request to limit parties' rights to see documents). See
also PPL Montana, LLC, 113 FERC ] 61,231 (2005); PJM
Interconnection, L.L.C., Notice of Filing, Docket No. ER05-10-000
(May 6, 2005); PJM Interconnection, L.L.C., Notice of Filing, Docket
No. ER04-539-002 (April 30, 2004).
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B. Notice of Proposed Rulemaking and Comments
9. In its December 16, 2011 Notice of Proposed Rulemaking (NOPR),
the Commission proposed to revise its regulations to address two
outstanding concerns.\15\ First, the Commission proposed uniform
procedures for filing privileged materials in any proceeding in which a
right of intervention exists. The Commission proposed to (a) provide
two categories of privileged material for filing purposes, namely
categories for CEII and all other privileged materials, (b) set up
uniform procedures for filing and accessing privileged materials in
most proceedings with a right to intervene, based upon the current
complaint/answer process in Rules 206 and 213,\16\ and (c) consolidate
the Commission's regulations for submitting privileged materials in
proposed section 388.112.
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\15\ Filing of Privileged Materials and Answers to Motions,
Notice of Proposed Rulemaking, 76 FR 80838 (Dec. 27, 2011) (NOPR),
FERC Stats. & Regs. ] 32,685 (2011).
\16\ 18 CFR 385.206-.213.
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10. Second, the Commission proposed to revise its answer
regulations, Rule 213, to provide an opportunity for parties to file
answers to requests for extension of the time to take action under the
Commission's orders and regulations or seeking expedited action where
the time to act on these requests may fall sooner than the standard 15
day answer date. To provide an opportunity for interested parties to
respond and facilitate the Commission's response to such motions, the
Commission proposed to shorten the answer period for these motions to
five business days. In addition, the Commission proposed conforming
revisions, in particular, revisions to the Secretary's delegated
authority under 18 CFR 375.302(b), to clarify the Secretary's authority
to address shortened answer periods for requests for extension of time,
consistent with the delegated authority of other office directors.\17\
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\17\ See, e.g., 18 CFR 375.307(b)(1)(ii).
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11. In response to the NOPR, American Public Gas Association
(APGA), Edison Electric Institute (EEI), Electric Power Supply
Association (EPSA), Interstate Natural Gas Association (INGA),
International Transmission Co. (ITC), MidAmerican Energy Holdings
Company (MidAmerican), North American Electric Reliability Corp.
(NERC), PJM Interconnection, L.L.C. and Transmission Dependent Utility
Systems (TDU) \18\ submitted comments. EPSA and PJM support the
Commission's proposal to consolidate and establish uniform procedures
for filing privileged materials and establish two categories for filing
purposes, citing efficient and easily implemented procedures to allow
market participants to designate materials as confidential and provide
assurance that commercially sensitive and other confidential
information will be safe from inadvertent disclosure, without the need
for procedural orders. The Commission will address other concerns
raised in the comments in the discussion below.
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\18\ Consisting of Arkansas Electric Coop. Corp., Golden Spread
Electric Coop., Inc., Kansas Electric Power Coop., Inc., North
Carolina Electric Membership Corp., Power South Energy Coop. and
Seminole Electric Coop., Inc.
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II. Regulations for Filing Privileged Materials
12. In this Final Rule, the Commission largely adopts the NOPR
proposal to consolidate the Commission's regulations for filing
privileged materials in section 388.112 and establish procedures in
that section for distribution of such materials pursuant to a
protective agreement in proceedings with a right to intervene. The
protective agreement provisions largely parallel the existing
regulations governing complaints and answers. These regulations will
expand those procedures to cover other types of filings, such as
statutory public utility or pipeline filings, and protests in those
filings, containing confidential information. With these revisions, the
Commission is taking advantage of the technologies available to the
Commission to safely and securely accept materials by designating them
as privileged, while providing for limited use of the materials in
proceedings in which other parties must review the materials, by
requiring the filing party to make them available pursuant to a
protective agreement. In instances where the filer elects to
electronically file materials with a protective agreement, submission
of the identical hard copy files to the Commission will no longer be
necessary. Permitting privileged materials to be submitted via eFiling
will facilitate entry of the documents into the Commission's document
repository, eLibrary, and will make them available to staff conducting
analysis of the documents. Electronic filing will simplify retrieval of
the documents in the course of the Commission's duties because the
documents may be accessed via the Commission electronic archive in
eLibrary, and Commission staff will no longer have to retrieve hard
copy documents from offsite document storage. This will avoid the
resulting delay in obtaining materials.
13. The consolidated filing procedures, as well as the protective
agreement provisions for proceedings in which a right to intervene
exists are included in revised section 388.112. Revised section
388.112(a)(1) adopts the Commission's long-standing usage of the term
``privileged materials'' to refer to information subject to an
outstanding claim of exemption from mandatory disclosure under the
Freedom of Information Act (FOIA), including CEII.\19\ The changes
adopted in this rule retain the disclaimer that by permitting the
filing of privileged materials and treating the documents for which a
privilege is claimed as nonpublic, the Commission is not making a
determination on the merits as to any claim of privilege or CEII
status.\20\ Revised section 388.112(b) retains the requirement that a
filer include a justification for privileged treatment in its filing,
following the procedures posted on the Commission's Web site.\21\
Revised section 388.112(b)(1) requires a person requesting privileged
or CEII treatment to designate the material as privileged or CEII in an
electronic filing, or clearly indicate a request for privileged
treatment on a paper filing, with headings indicating privileged and
[[Page 65466]]
CEII material.\22\ Section 388.112(b)(1) states that a person
requesting that a document filed with the Commission be treated as
privileged or CEII must designate the document as privileged or CEII in
making an electronic filing or clearly indicate a request for such
treatment on a paper filing. The header of the first page of the cover
sheet or transmittal letter and of the pages or portions of the
document containing material for which privileged treatment is claimed
should be clearly labeled in bold, capital lettering, indicating that
it contains privileged, confidential and/or Critical Energy
Infrastructure Information, as appropriate, and marked ``DO NOT
RELEASE.''
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\19\ See also 18 CFR 388.107(g); 18 CFR 388.113(c) (defining
CEII as information that is exempt from mandatory disclosure under
FOIA, providing that CEII be filed under section 388.112(b), and
establishing specific procedures for making CEII available pursuant
to a non-disclosure agreement).
\20\ See revised section 388.112(c)(i).
\21\ See the Submission Guidelines on the Documents and Filing
link at https://www.ferc.gov.
\22\ This provision follows the Commission's existing practice
for filing privileged materials in complaint proceedings in Rule
206, 18 CFR 385.206.
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This means that, when a person files a document containing
privileged material, that person must prominently indicate the fact
that the filing contains privileged material, using an appropriate
header on the cover page of the filing. In most cases, the header must
be included on the accompanying filing letter or first page of a
pleading or motion, and on the separate cover of any portion of the
document that contains privileged material, such as an affidavit,
exhibit, attachment, etc. In addition, the individual pages should be
marked to indicate that the page contains privileged material, and the
material identified on the page.
14. The revised regulations make special provision in proceedings
featuring a right to intervene, including complaint, certificate,
merger and rate filings, to facilitate review of the privileged
materials by intervening parties. In such proceedings, a person filing
privileged material is required to include a public, redacted copy of
the filing and a proposed form of protective agreement and serve these
items on the appropriate persons, that is, those required by Commission
rule or order, or by law.\23\ The revised regulations provide that the
filing person will thereafter provide a copy of the privileged
materials to interveners that request the material and execute the
protective agreement within five days or file an objection.\24\
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\23\ Revised section 388.112(b)(2). Under revised section
388.112(b)(2)(ii) service is to be made to persons to be served
under Rule 206(c), 18 CFR 385.206(c) (complaints) or Rule 213, 18
CFR 385.213(c)(5) (answers), or otherwise as appropriate.
\24\ Trial Staff, as identified in 18 CFR 385.102(b)(2), should
be treated similarly to other persons making a request.
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15. The Commission's Model Protective Order may be used as a guide
for protective agreements, and the Commission's prior orders may also
provide guidance as to how to address particular confidentiality
concerns.\25\ The protective agreement should be self implementing and
not require action or approval by the Commission. That is, persons
wishing to rely on privileged material to support their filings should
make provision for timely and adequate review of these materials under
the protective agreement by intervening parties. While the Commission
will resolve disputes to the extent necessary to carry out its
statutory duties, the Commission intends that these standardized
procedures will minimize the need for Commission action, with the
accompanying delay in processing filings and applications subject to
the Commission's jurisdiction. Where a person wishing to use privileged
materials has reason to anticipate objection or difficulty in such
disclosure and review, it may be appropriate to negotiate in advance
with likely intervenors and attempt to resolve any disputes and come to
agreement prior to making the filing. If acceptable terms for use of
the material in a proceeding are negotiated prior to filing, the
possibility of delay in processing the filing may be avoided.
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\25\ The Model Protective Order developed by the Commission's
Office of Administrative Litigation is available at https://www.ferc.gov/legal/admin-lit/model-protective-order.doc. See also
Market-Based Rates for Wholesale Sales of Electric Energy, Capacity
and Ancillary Services by Public Utilities, Order No. 697, FERC
Stats. & Regs. ] 31,252, at P 393 (2007).
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16. The public version of the filing should be prepared with only
the privileged information redacted to the extent practicable. If a
document or filing contains both public and privileged material, the
Commission expects filers to file a public version in which the
privileged material has been removed or redacted thereby making the
non-privileged portion of a document available for use by the
Commission and participants in the proceeding.\26\
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\26\ Astoria, 136 FERC ] 61,155 at P 25 (requiring the
submission of a public redacted copy of documents that contain both
privileged and public information).
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17. The revised regulations incorporate exceptions for landowner
lists, certain cultural resources and liquefied natural gas facility
(LNG) information, and proceedings set for hearing or settlement
procedures in accordance with the Commission's Rules of Practice and
Procedure.\27\ Thus, filers are not automatically required to provide
intervenors with such material.\28\ The revised regulations retain
procedures to address practical and confidentiality concerns with the
submission of these materials, due to difficulty in copying and
manipulating the material (i.e., maps or spreadsheets presenting
voluminous data). To that end, the revised regulations retain
provisions permitting the Commission to request full size maps in
licensing applications under section 4.32(d) of its rules and
regulations.\29\
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\27\ Under revised section 388.112(b)(2)(v), a participant's
access to privileged material submitted in a trial-type hearing or
for settlement purposes continues to be governed by the presiding
official's protective order, according to policies established by
the Commission's Office of Administrative Law Judges. See Part 385
of the Commission's Rules of Practice and Procedure, Subpart D, 18
CFR 385.401, et seq. (hearing procedures), and 18 CFR 385.602, et
seq.
\28\ See revised section 388.112(b)(2)(vi); see also Columbia
Gas Transmission Corp., 128 FERC ] 61,050, at P 32 (2009) (finding
insufficient need to disclose storage field maps and landowner
lists).
\29\ 18 CFR 4.32(d). Landowner lists, cultural resource
information required in sections 380.12(f) and 380.16(f), LNG
information filed under sections 380.12(m) and (o), forms filed with
the Commission and other documents not covered under proposed
section 388.112 disclosure provisions may be sought pursuant to a
FOIA or CEII request, in accordance with section 388.108 or section
388.113, as applicable.
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18. Conforming changes were made throughout the Commission's
regulations, including revisions to reflect that section 388.112
provides the procedures for filing privileged materials. To simplify
and clarify the regulations, the Commission largely avoided directly
referencing section 388.112. Since section 388.112 is intended to apply
to all submittals and filings containing privileged or CEII material,
it is unnecessary to specify the provision that applies in the many
parts of the regulations that refer to filing of privileged
materials.\30\ Consequently, we adopt the NOPR proposals to remove
duplicate provisions for filing privileged materials and consolidate
and adopt the proposed provisions relating to submittal of and access
to privileged material in section 388.112, as revised and discussed
below.\31\
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\30\ Changes to consolidate and supersede current procedures for
filing privileged material are made to 18 CFR 33.8(a) and 33.9
(merger procedures), 18 CFR 35.37(f) (market based rate
applications), 18 CFR 34.7 (filing requirements for application for
approval of issuance of securities and assumptions of liabilities),
18 CFR 348.2(a) (oil pipeline market power application procedures),
Rule 206, 18 CFR 385.206(e) (complaint procedures), and Rule 213, 18
CFR 385.213(c)(5) (answers). In addition, changes for clarity and to
reflect the consolidation of privileged filing procedures are made
to 18 CFR 4.39(e), 5.29(c), 16.8(g), 157.21(h), 157.34(d)(4), and
385.606(f) and (j), and changes are proposed to 18 CFR 388.113(d)
(1) and (2) to reference procedures in paragraph (d)(4).
\31\ In certain instances, we have kept the reference as a guide
to practitioners in a particular Commission program.
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19. The Commission responds to the comments filed in response to
the NOPR below.
[[Page 65467]]
A. Designation of Confidential Materials as ``Privileged''
20. In the NOPR, the Commission proposed to continue its long-
standing practice of referring to confidential material as privileged.
1. Comments
21. A number of commenters object to the scope of the revised
regulations, arguing that the privileged filing procedures, in
particular the disclosure procedures developed for proceedings with a
right to intervene, should not apply to materials eligible for common
law evidentiary privileges such as attorney-client or work product
privileges or CEII, which are subject to the disclosure procedures in
18 CFR 388.113.
2. Commission Response
22. The Commission disagrees with suggestions made by EEI and INGAA
that use of the term privilege detracts from a filing party's ability
to assert a common law evidentiary privilege. The Commission's power to
withhold information from mandatory public disclosure is established by
FOIA and presented in its rules and regulations, chiefly 18 CFR
388.107. The Commission's long-standing practice has been to refer to
materials subject to an outstanding claim of exemption from mandatory
disclosure as privileged.\32\ The Commission is not aware of any
confusion arising out of use of this term with materials claimed to be
subject to a common law privilege, confidential business trade secrets
or CEII. These types of materials are already addressed in the
Commission's FOIA regulations in the categories of materials for which
a filer may request an exemption from mandatory disclosure under
FOIA.\33\
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\32\ E.g., Revision of Freedom of Information Act Rules, Order
No. 488, FERC Stats & Regs ] 30,789 (1988) (establishing rules for
requesting privileged treatment of documents claimed to be exempt
from mandatory disclosure under FOIA).
\33\ In particular, see 18 CFR 388.107(d) (incorporating FOIA
exemption 4 for trade secrets and commercial or financial
information obtained from a person that are privileged or
confidential); 18 CFR 388.107(g) (records or information compiled
for law enforcement purposes, including information that could
interfere with enforcement proceedings or deprive a person of a
right to fair trial, if produced). See also Cargill, Inc. v.
Saltville Gas Storage Co., L.L.C., 99 FERC ] 61,043, at PP 12-13
(2002) (describing privileged treatment under section 388.107(d) and
FOIA exemption 4); Critical Energy Infrastructure Information, Order
No. 630, FERC Stats. & Regs. ] 31,140, at P 14, order on reh'g,
Order No. 630-A, FERC Stats. & Regs. ] 31,147 (2003) (discussing
privileged treatment for CEII under FOIA exemption 4, and exemption
2 for ``records related solely to the internal personnel rules and
practices of an agency'' and exemption 7 for certain law enforcement
information, including information which might jeopardize a person's
life or safety, if disclosed).
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23. The Commission likewise disagrees with EEI's and INGAA's
suggestions that failure to make separate provision for information
subject to a claim of common law privilege will create a risk of
improper disclosure and loss of privilege.\34\ Indeed, as we stated in
the NOPR, the term privileged material ``is not intended to detract
from any person's right to assert a common law privilege, e.g.,
attorney-client or attorney work product privilege.'' \35\ More
importantly, the Commission is not requiring any filing party to submit
materials that are subject to an evidentiary privilege in support of
their filings or any confidential material. The choice whether to
include such materials is left to the person making the filing whether
to rely on such materials subject to the protective agreement
disclosure provisions established in this Final Rule.\36\ If a party is
asked to produce information in an investigation or discovery request
that it believes is subject to a common law privilege, the proper
course of action is to file a notice of that party's objection to
producing the document, identifying the document and the justification
of the claim, to facilitate review of the claim of privilege in a
confidential setting to determine if the claim is justified.\37\
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\34\ EEI at 5 (citing West Deptford Energy, LLC, 134 FERC ]
61,189 (2011) (seeking to protect sensitive market information);
Mojave Pipeline Corp., 38 FERC ] 61,249, at 61,842 (1987)
(discussing Commission's discovery regulations)). MidAmerican
supports the EEI comments.
\35\ NOPR, FERC Stats. & Regs. ] 32,685 at P 16, item g & n.40
(discussing proposed Sec. 388.112(b)(2)(iv)).
\36\ We note that filing information for which a common law
privilege is asserted is likely to breach the confidentiality
necessary to maintain the privilege. See generally McCormick on
Evidence Sec. 93 (2007).
\37\ See, e.g., Independent Oil & Gas Association of West
Virginia, 21 FERC ] 63,030 (1983) (appointing special administrative
law judge to perform in camera review of privileged status of
discovery materials, to preserve confidentiality).
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B. Establishing Separate Regulations Governing CEII Information
24. In the NOPR, the Commission proposed to retain its current
regulations (sections 285.206, 385.213 and 388.112) under which
privileged and CEII information are subject to the same requirements
with respect to disclosure.
25. EEI contends that CEII should be a separate category subject to
separate disclosure procedures, as provided for in 18 CFR 388.113.
26. We do not find that using the same regulatory framework for
``privileged materials'' and ``CEII'' in section 388.112 will cloud the
procedures in 18 CFR 388.113 for handling CEII or that continuation of
these procedures will not provide adequate protection for CEII. The
Commission's regulations specify that to qualify as CEII, the material
must be ``exempt from mandatory disclosure under the Freedom of
Information Act.'' \38\ Thus, CEII is already a subset of privileged
material under the Commission's regulations. Any party relying on CEII
information in a filing needs to be prepared to provide that
information to intervenors that need the information to understand the
filing.
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\38\ 18 CFR 388.113(c)(1).
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27. We also disagree with EEI that CEII should be treated
separately and distributed within a Commission proceeding under
procedures modeled after the current CEII procedures in 18 CFR 388.113,
providing for review of privilege requests with a determination.\39\ A
filing party that has reason to question whether a party has a
legitimate need to review information in a Commission proceeding may
file an objection to disclosure to that person under section
388.112(b)(2)(iii)),\40\ which is equivalent to the existing and
retained provision for notice of FOIA requests in section
388.112(d).\41\
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\39\ EEI at 4.
\40\ This provision states: ``A filer, or any other person, may
file an objection to disclosure, generally or to a particular person
or persons who have sought intervention.'' Indeed, this provision
provides greater rights to the submitter than section 388.113, which
does not provide for notice to the submitter prior to the
determination by the CEII Coordinator.
\41\ This provision states: ``When a FOIA or CEII requester
seeks a document for which privilege or CEII status has been
claimed, or when the Commission itself is considering release of
such information, the Commission official who will decide whether to
release the information or any other appropriate Commission official
will notify the person who submitted the document and give the
person an opportunity (at least five calendar days) in which to
comment in writing on the request. A copy of this notice will be
sent to the requester.''
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28. The Commission is not changing its rules for acquiring
materials through a FOIA or CEII request, and materials that may be
sought through the protective agreement procedures established herein
also remain available through FOIA and CEII requests where appropriate.
However, the Commission has determined that reliance on the existing
CEII procedures exclusively would serve to delay the processing of
filings and other pleadings in Commission proceedings. To facilitate
timely distribution of materials without the potential for delay
pending Commission review, participants who choose to submit CEII
information as part of a Commission proceeding must follow the
procedures provided in
[[Page 65468]]
section 388.112. We find this a reasonable method to permit the use of
such materials by the Commission and participants in Commission
proceedings while protecting the confidentiality of the
information.\42\
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\42\ Pennzoil Co. v. FPC, 534 F.2d 627, 632 (5th Cir. 1976)
(requiring consideration of alternatives to full disclosure to
provide consumers with adequate knowledge to participate in
Commission proceedings).
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C. Form and Use of Protective Agreement
29. The Commission proposed that its existing procedures regarding
protective agreements in its complaint and answer regulations be
applied to other filings. Under these procedures, the filing party must
provide a ``proposed form of protective agreement to each entity that
is to be served.'' \43\ Although the Commission pointed to the Model
Protective Order developed by the Commission's Office of Administrative
Litigation as a guide in developing protective agreements, it did not
propose to require a uniform protective agreement.
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\43\ 18 CFR 385.206(e)(2), 385.213(c)(5)(i)(ii).
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1. Comments
30. Several commenters ask the Commission to establish one or more
standard protective agreements, based on the Model Protective Order or
tailored to meet particular circumstances.\44\ APGA predicts that,
absent such a requirement, filers may attempt to frustrate the
interests of requesting parties, who have limited time to respond. ITC
supports the Commission's proposal that the proposed protective
agreement be self implementing and not require action by the
Commission. ITC nevertheless supports use of the Model Protective
Order, except when modifications are justified or no party objects.
TDUs note that the NOPR does not provide guidance on what provisions
may be appropriate for a protective agreement, and notes that
clarification will help ensure customer access to information and avoid
disputes.\45\ TDUs advocate adoption of the Model Protective Order as a
basis for a protective agreement, with a requirement that parties
justify any change.
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\44\ E.g., APGA, EEI, ITC. APGA provides draft text to implement
its proposals.
\45\ TDUs at 3.
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31. MidAmerican suggests refinements to the requirement that a
proposed form of protective agreement be served on each entity that is
required to be served with the filing, arguing that service need not be
required after the first time the protective agreement is used.\46\ In
particular, MidAmerican argues that such a requirement is not needed
when a party is using information that it obtained using the protective
agreement provided by the original filer.
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\46\ MidAmerican at 4.
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32. APGA urges the Commission to require that a party may execute a
non-conforming agreement under protest, with issues to be resolved at a
later date by the Commission.\47\ TDUs likewise argue that parties
should have access to materials while any objection is outstanding.
TDUs ask the Commission to ensure access to materials during
negotiations over terms of delivery, so that a party challenging a
protective agreement may still participate effectively in the
proceeding. TDUs state that such an approach will permit a party to
participate meaningfully in the relevant docket without sacrificing the
opportunity to test a filing party's privilege claims.\48\
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\47\ APGA at 3.
\48\ TDUs at 5.
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33. APGA urges the Commission to lessen the requirements for
signing the protective agreement and receiving the privileged materials
and permit any person to whom service is required under the regulations
to seek access, rather than require filing of an intervention.\49\
According to APGA, requiring a person to draft and file an intervention
wastes time and should not be a condition to receiving the material.
APGA argues that the fact that a person is required to be served
justifies access to the material. EEI, on the other hand, asks that the
Commission not require release of privileged material to persons or
organizations that have not been granted intervenor status.\50\ EEI
seeks to avoid conflict with the Commission's regulations that permit a
party 15 days to oppose a motion to intervene. EEI asks the Commission
to clarify that intervention in one sub-docket would not provide the
right to access material in another sub-docket.\51\
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\49\ APGA at 3-4.
\50\ EEI at 8.
\51\ EEI at 8.
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34. APGA argues that the Commission's proposal requiring delivery
of privileged materials within five days after a protective agreement
is signed is insufficient to ensure that interested persons have timely
access to privileged materials filed in pipeline filings due to the
short (30-day) statutory action period.\52\ APGA does not believe that
its suggestions prejudice the rights of filers to protect privileged
material, but are intended to facilitate meaningful access by
interested entities.\53\
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\52\ APGA at 2 (citing NGA section 4, 15 U.S.C. Sec. Sec.
717c(d) and (e)).
\53\ APGA at 5.
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35. Citing procedures developed in applying the Model Protective
Order, TDUs ask the Commission to clarify that the burden of proof is
on the party asserting a claim of privilege in any dispute of
privileged status. TDUs also question whether the provision permitting
a party to object to the terms in a protective agreement is effective,
given statutory deadlines. TDUs ask the Commission to specify limits on
the terms that may be included in a protective agreement, so that
parties will not be forced to agree to unduly restrictive access or
engage in fruitless litigation. TDUs argue that this is needed because,
unlike in a proceeding overseen by an administrative law judge, the
Commission cannot delay a statutory deadline to provide time to resolve
a dispute.\54\
---------------------------------------------------------------------------
\54\ TDUs at 4.
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2. Commission Response
a. Standard Protective Agreement
36. The Commission declines to adopt a standard protective
agreement or provide detailed guidance as to appropriate departures or
additions to the Model Protective Order in this proceeding, in light of
the need for flexibility in handling different types of privileged
material. In the NOPR, the Commission suggested that parties filing
privileged materials in a proceeding with a right to intervene may use
the Office of Administrative Litigation's Model Protective Order as a
guide for protective agreements.\55\ Parties choosing to use a
protective agreement based on the Model Protective Order may avoid
potential litigation over the terms of the agreement that may delay the
processing of their filing. For example, disputes that cannot be
resolved prior to filing or through the protective agreement procedures
may lead to further procedures such as suspending a filing, setting the
proceeding for hearing, deficiency letters, and requests for additional
procedures or information.
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\55\ Available at https://www.ferc.gov/legal/admin-lit/model-protective-order.doc.
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37. In the event a protective agreement is protested, the
Commission has reviewed proposed protective orders in other contexts
and provided for appropriate additions to address particular
confidentiality concerns.\56\ Parties wishing to file privileged
material may consult the Commission's
[[Page 65469]]
prior orders for approaches that have been employed to address
particular concerns that arose in prior proceedings.
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\56\ E.g., Illinois v. Exelon Generation Co., LLC, 119 FERC ]
61,027 (2007) (proposing protective order restricting access to
certain materials by competitive duty personnel).
---------------------------------------------------------------------------
b. Right To Object to Protective Agreement and Privileged Treatment
38. APGA expresses concern that a participant may be bound by
undesirable terms of a protective agreement, prior to having the
opportunity to object. We do not find that signing a protective
agreement should result in a waiver of the right to challenge the
privileged status of the information. This procedure ensures solely
that the case can be processed, not that it result in a waiver of any
procedural rights. We note that the Model Protective Order contains
procedures under which the signatory reserves its right to challenge
the privileged status of documents covered by the agreement, and we
encourage parties to include such provisions in their protective
agreements. Should a protective agreement purport to contain such a
waiver requriement, a party may preserve its rights by filing an
objection under section 388.112(b)(2)(iii) and the Commission can then
require the protective agreement be revised.
39. TDU's are concerned that the right to object to a protective
agreement may not be effective given statutory deadlines. As indicated
above, the Commission has procedures that may be used to resolve such
disputes fairly.
c. Requirement To File an Intervention
40. We decline to adopt the revision proposed by APGA that a filing
party must provide privileged materials to any person to whom service
is required on request, rather than only those who have filed an
intervention. As Mid-American suggests, the regulations provide that
parties who are entitled to receive service will receive a copy of the
filing with the protective order when served.\57\ It is not too great a
burden to require such parties to intervene prior to being given a copy
of the privileged information. Filing an intervention is not a great
burden. Indeed, the Commission has provided for an electronic document-
less form of intervention that can be filled out very quickly. The
requirement for intervention ensures that copies of the confidential
material are provided only to those with sufficient interest in the
proceeding and provides the Commission with information about a party's
interest in the privileged materials in the event an objection to
disclosure is filed.
---------------------------------------------------------------------------
\57\ Section 388.112(b)(2)(ii) (``the filer must provide the
public version of the document and its proposed form of protective
agreement to each entity that is required to be served with the
filing'').
---------------------------------------------------------------------------
41. We likewise reject EEI's suggestion that materials should not
be provided until an intervention has been granted. We do not believe
that lack of intervenor status alone provides justification for
refusing to provide the privileged materials.\58\ Furthermore, waiting
for intervention to be granted could unnecessarily delay an interested
person's access to privileged materials. As APGA notes, this could be a
particular burden in Natural Gas Act cases which must be decided within
30 days. The intervention itself will provide the party filing
privileged materials with information to determine whether a requesting
party has an interest to support disclosure in the event that an
objection to disclosure is filed under section 388.112(d)(iii).
---------------------------------------------------------------------------
\58\ Under Rule 214, an intervenor obtains party status fifteen
days after a timely intervention is filed, if no opposition is
filed. 18 CFR 385.203.
---------------------------------------------------------------------------
d. Other Issues
42. In response to EEI's inquiry whether a protective agreement may
apply in separate subdockets, the filer should determine whether a
protective agreement signed in one subdocket is sufficient for the
information that may be produced in another subdocket. The different
character of such information may require a somewhat different form of
protective agreement.
43. TDU argues that the burden of proof should be on the party
seeking privileged status. This rulemaking does not change existing
procedures regarding assignment of burdens. While the determination as
to the applicability of the privileged designation is not a hearing
with formal burdens of proof, the applicant needs to justify why the
information is confidential under the FOIA categories.\59\
---------------------------------------------------------------------------
\59\ 18 CFR 388.112(d) (providing an applicant for privilege
treatment the ability to respond to a requested disclosure).
---------------------------------------------------------------------------
D. Consistency With Discovery Procedures Used in Administrative
Proceedings
44. In the NOPR, the Commission proposed that, for filings made
prior to hearing, the party filing the privileged material will propose
a form of protective agreement. However, in proceedings set for trial-
type hearing, the NOPR proposed to leave intact the authority of the
ALJ to administer the hearing and determine the appropriate scope of a
protective order.
1. Comments
45. TDUs suggest that the Commission is inconsistent in removing
the designation ``Protected Materials'' covered by an ALJ-approved
protective order and treating these materials as privileged. It asserts
that an ALJ's protective order may cover a broader range of materials
than filings in proceedings not set for hearing. TDUs explain that, in
discovery, the term protected materials refers to materials that
customarily are treated by a participant as sensitive or proprietary,
which are not available to the public and which, if disclosed freely,
would subject the participant to competitive harm.\60\ TDUs ask the
Commission to clarify that eliminating the category ``protected
materials'' is for filing purposes and does not expand the definition
of privileged materials pursuant to section 388.112.\61\ EPSA states
that establishing separate procedures for materials provided pursuant
to a protective order issued by an ALJ may lead to confusion and
inadvertent disclosure.
---------------------------------------------------------------------------
\60\ TDUs at 8 & n.5.
\61\ TDUs at 9.
---------------------------------------------------------------------------
2. Commission Response
46. Revised section 388.112(b)(2)(v), adopted in this proceeding,
states, ``For material filed in proceedings set for trial-type hearing
or settlement judge proceedings, a participant's access to material for
which privileged treatment is claimed is governed by the presiding
official's protective order.'' The term protected material is a
colloquial term that some parties apply to materials covered by a
protective order. For consistency, the Commission has used the word
``privileged,'' as it existed in the regulations prior to this rule, to
refer to all material for which confidential treatment is claimed. But
the use of the term privileged does not change the scope of material
eligible for confidential treatment.
47. TDUs assert that the discovery materials that may be protected
by an administrative law judge's protective order include materials
that customarily are treated by a participant as sensitive or
proprietary, which are not available to the public and which, if
disclosed freely, would subject the participant to competitive harm.
This description is comparable to the type of information that
qualifies for confidential treatment under FOIA Exemption No. 4, which
protects information where disclosure is likely ``to cause substantial
harm to the competitive position of the person from whom the
information was obtained.'' \62\
[[Page 65470]]
We therefore find no reason to apply a different standard to materials
collected during discovery than filed materials in proceedings not in
hearing.\63\
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\62\ See Reporting of Natural Gas Sales to the California
Market, 96 FERC ] 61,119 at 61,466-68 (2001) (citing National Parks
and Conservation Association v. Morton, 498 F.2d 765, 770 (D.C. Cir.
1974)). FOIA Exemption No. 4 is incorporated in the Commission's
regulations in section 388.107(d).
\63\ Indeed, it would be inconsistent for the Commission to use
a different standard for defining material submitted in an
application compared with material submitted through an ALJ
proceeding. The same FOIA provisions apply to both sets of
information and an FOIA request can be filed for material submitted
during discovery in an administrative proceeding.
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E. Procedures for Distributing Privileged Information
48. The NOPR proposed procedures obtaining access to material that
is filed as privileged in complaint proceedings and in any proceeding
with a right to intervene. The Commission proposed that any participant
or person filing an intervention in the proceeding may request the
filer to provide a copy of the complete, non-public version of the
document, by providing an executed copy of the protective agreement and
showing appropriate party, participant or intervenor status. The
proposed regulations provide that the filer provide a copy of the
complete, non-public document to the requesting person within five days
of receiving the request, if no objection is filed.
1. Comments
49. To provide adequate due process for responses to requests for
information, EEI asks the Commission to modify the requirement that
confidential information be released ``within'' five days, to a
requirement that the information not be released until the 5th business
day, in order to permit parties to object, and suggests the Commission
provide a bit more time for objections to be lodged.\64\ EEI notes that
in the NOPR the Commission proposed to revise 18 CFR 388.112 to give
parties that have submitted privileged material to FERC staff at least
five calendar days to respond to requests for information and a
separate five calendar days to respond to a proposed disclosure. See 18
CFR 388.112(c)(2). EEI notes that the Commission has not afforded the
same protection for information filed under section 388.112(b)(2) and
states that the Commission should apply the same protective procedures
to all privileged materials submitted to staff or to the
Commission.\65\ To provide adequate due process rights for responses to
requests for information, EEI states that the Commission should
withhold a proposed release of confidential information if the filing
party files notice of intent to seek judicial review to block the
release.\66\
---------------------------------------------------------------------------
\64\ EEI at 9.
\65\ Id.
\66\ EEI at 10.
---------------------------------------------------------------------------
50. TDUs object to the five day delay in delivering privileged
materials after receipt of an executed copy of the non-disclosure
agreement; instead they request delivery by the next business day. TDUs
argue that delay prejudices the party seeking the information, by
providing limited time for review.\67\ APGA similarly recommends that
the proposed 5-day period for delivering privileged materials be
shortened to 24 hours. APGA states that it only takes minutes to
deliver the non-redacted version which was filed with the Commission
and there is no basis for delay, given the short time frame to review
and address the privileged material in a pleading.\68\ APGA states
that, because the contents of suspension orders may depend on the
contents of protests, that it is not sufficient for protesting parties
to receive the material at or after the intervention deadline. APGA
suggests a typical protest schedule in which a section 4 rate case is
noticed after five days, interventions are due within 13 days and an
order issued in 30, and asserts that there is no way to secure and
review the filing, draft an intervention, execute the protective
agreement and prepare a protest based on the privileged material.\69\
---------------------------------------------------------------------------
\67\ TDUs at 5.
\68\ APGA at 4.
\69\ Id. at 4-5.
---------------------------------------------------------------------------
51. INGAA objects to its reading of the proposed regulations to
require service of ``fully redacted'' documents. According to INGAA,
redacting an entire document can be burdensome to the filer and
circulation of the document does not provide any benefit to
recipients.\70\ INGAA asks that filers be permitted to comply with the
requirement in proposed section 388.112(b)(1) by submitting in its
cover page requesting privileged treatment, a statement that the entire
document qualifies for privileged, confidential and/or CEII treatment
and a short title or description of the type of information it
contains. INGAA asks that such a disclosure meet the Commission's
objective under 388.112(b)(1) to provide a redacted version ``to the
extent practicable.'' \71\
---------------------------------------------------------------------------
\70\ INGAA at 5.
\71\ Id. at 6.
---------------------------------------------------------------------------
52. EEI responds to the Commission's observation in the NOPR that a
failure by the filing party to afford intervenors a meaningful
opportunity to review confidential information under a protective
agreement could lead to suspension of the filing, rejection, or other
delays in processing an application. EEI acknowledges some delay may be
necessary to respond to requests for confidential information, but
states that such delay should not be punitive and a filer should not be
prejudiced through rejection or suspension, as long as the confidential
information designation and ensuing objection to release of the
information are made in good faith.\72\
---------------------------------------------------------------------------
\72\ EEI at 10.
---------------------------------------------------------------------------
53. According to EEI, parties seeking to justify non-disclosure of
privileged materials should only be required to submit a brief, good-
faith articulation of the reason for non-disclosure, but that in the
event the designation is challenged or anyone seeks access to the
information, the filing party will have the right to expand and
supplement the justification prior to Commission action.\73\
---------------------------------------------------------------------------
\73\ EEI at 8.
---------------------------------------------------------------------------
54. ITC suggests that, in the event that a delay in disclosure is
caused by a dispute over the protective agreement, a party would not be
harmed if the dispute were to result in a late filing, such as an
answer to a complaint.\74\
---------------------------------------------------------------------------
\74\ ITC at 3.
---------------------------------------------------------------------------
2. Commission Response
a. Five Day Distribution
55. Various parties filed comments expressing concerns with the
distribution procedures. Several parties raise issues with respect to
the requirement to distribute privileged information within five days.
EEI wants to mandate that the information not be released in less than
five days, while TDU and APGA argue that the five day requirement
should be shortened. We find that the five day requirement establishes
a reasonable balance between all the interests.
56. With respect to EEI's suggestion that the five days be made
mandatory to permit parties to object to disclosure, we see no reason
to adopt this rule for all filings. As other commenters note, early
release of information is preferable because it provides other parties
with more time to evaluate the filing. To the extent that EEI's concern
is that the filing party is claiming confidentiality for third-party
information in its possession, the filing party ought to inform the
third-party before filing, should consult with the third-party as to
the appropriate form of protective agreement for the information, and
may want to choose the full five days to permit a response.
57. We similarly reject the TDU and APGA arguments that the
information
[[Page 65471]]
be disclosed in less than five days through electronic delivery. While
immediate electronic service may be appropriate for certain materials,
a filer may have a legitimate interest in not providing such material
electronically. Even in natural gas cases, five days from the date of
the request should provide sufficient opportunity to obtain and review
such information.\75\ In those cases in which a party shows that given
the extensive nature of the privileged information, it did not have
adequate time to review the material, the Commission has procedures to
ensure an adequate review period.
---------------------------------------------------------------------------
\75\ As APGA has noted, many of these parties will be served by
the pipeline and therefore will have immediate notice that
confidential information is included. Moreover, the Commission
issues notices of these filings very shortly after they are filed.
---------------------------------------------------------------------------
b. Redaction of Entire Document
58. INGAA requests that the Commission clarify that the requirement
for filing a redacted public copy still permits, in appropriate
circumstances, the filing party in the transmittal letter to provide a
description of the document and identify the entire document as
privileged. The regulation requires that a redacted public version be
filed, to the extent practicable. The regulation, therefore, would not
preclude a filer from identifying the entire document as privileged if
it, in good faith, is unable to separate sensitive or confidential
material from the remainder of the document.
c. Opportunity to Respond
59. The Commission declines to adopt EEI's suggestion that filing
parties be provided with an opportunity to respond to requests for
information by arguing their justification for withholding material.
Under the Commission's current regulations a filing party must include
in its filing a justification for privileged treatment, demonstrating
that the material is exempt from mandatory disclosure under FOIA
according to the categories defined in section 388.107 of the
Commission's Rules and Regulations. The procedures promulgated in this
proceeding continue that practice. If a filing party objects to
disclosure to a particular party, it may file an objection under
section 388.112(b)(2)(iii) as appropriate. Furthermore, a non-filing
party may object to the privileged status of the materials under
review. The Commission may address each of these objections by issuing
an order, by which time the parties should have had time to assert
their interests in their pleadings. However, we emphasize that failure
to resolve such disputes may result in delay in processing the filing.
d. Need for Additional Procedures
60. EEI is concerned that delaying approval of filings due to the
submission of privileged information may be ``punitive.'' The
Commission needs to provide due process to allow for adequate review of
all filings and that includes filings containing privileged
information. If parties can demonstrate that they have not had
sufficient time to review a filing, the Commission may adopt whatever
procedures it deems appropriate to ensure due process to all parties.
Indeed, the Commission is adopting this rule to clarify procedures for
handling privileged material to expedite proceedings. As noted in the
NOPR, the Commission previously has preceded on an ad hoc basis when
addressing filings (other than complaints and answers) containing
privileged information which has contributed to delay in the
Commission's ability to process such filings expeditiously. To permit
parties to participate fully in these proceedings, the Commission has
issued special orders or notices to ensure access to privileged
material.\76\ By clarifying the filing procedures for privileged
information, this rule will reduce the need to use additional processes
and therefore should expedite, not delay, proceedings.
---------------------------------------------------------------------------
\76\ See West Deptford Energy, LLC, 134 FERC ] 61,189 (2011)
(denying request to limit parties' rights to see documents). See
also PPL Montana, LLC, 113 FERC ] 61,231 (2005); PJM
Interconnection, L.L.C., Notice of Filing, Docket No. ER05-10-000
(May 6, 2005); PJM Interconnection, L.L.C., Notice of Filing, Docket
No. ER04-539-002 (Apr. 30, 2004).
---------------------------------------------------------------------------
F. NERC Notices of Penalty and Other Communications
1. Comments
61. NERC asks the Commission to clarify that the procedures
proposed in the NOPR will not apply to NERC's filing of a notice of
penalty, to filings of remediated issues in a Find, Fix, Track and
Report spreadsheet, or to other communications or exchanges of
documents between NERC and FERC that are not made through formal
filings.\77\
---------------------------------------------------------------------------
\77\ NERC at 3 (discussing FPA section 215(e); 18 CFR
39.7(c)(2)).
---------------------------------------------------------------------------
62. According to NERC, it submits notices of penalty and Find, Fix,
Track reports on a monthly basis, and points out that it treats such
materials as non-public under 18 CFR 39.7(b)(4). NERC's practice is to
file some portion of the notices and reports as non-public, absent a
public hearing sought by the Commission or a penalized entity under
section 39.7(e)(1 and 7). NERC requests that the Commission clarify
that NERC is not required to submit a protective agreement with Notice
of Penalty or Find, Fix, Track filings or other communications or
documents that are not exchanged through formal filings. According to
NERC, the Commission's decision to review a Notice of Penalty may
include instructions for NERC to submit a protective agreement.
63. NERC also asks the Commission to clarify that NERC's regular
nonpublic exchanges of information exchanged through means other than
formal filings do not require a protective agreement.\78\
---------------------------------------------------------------------------
\78\ Id.
---------------------------------------------------------------------------
2. Commission Response
64. We agree that NERC need not submit a protective agreement when
filing its notices of penalties. The protective agreement procedures
apply in the case of regulations that apply to ``any proceeding to
which a right to intervention exists.'' With respect to NERC's filing
of notices of penalty, no right to intervene exists unless the
Commission issues an order initiating review of the filing and provides
for public intervention and comment.\79\ If the Commission establishes
such a proceeding, it will establish whatever procedures with respect
to the materials are necessary.
---------------------------------------------------------------------------
\79\ 18 CFR Sec. 39.7(e)(1); see also North American Electric
Reliability Corp., Order Initiating Review of Notice of Penalty, 136
FERC ] 61,135 (2011); Rules Concerning Certification of the Electric
Reliability Organization, Order No. 672, FERC Stats. & Regs. ]
31,204, at PP 510-11 (2006) (noting that Commission conducts initial
review of NERC Notice of Penalty as nonpublic pursuant to its FPA
Part 1b investigatory authority, until an on the record hearing is
provided for).
---------------------------------------------------------------------------
65. As for NERC's remaining concern with respect to materials
distributed in informal settings, NERC states that the communications
that it refers to are not made through formal filings. Consequently, we
confirm that the protective agreement requirement does not apply. This
rulemaking does not revise the applicable FOIA procedures and the
Commission will continue to abide by those procedures.
G. Electronic Filing Procedures
66. EEI proposes various revisions to the Commission's electronic
filing procedures, such as the types of media that may be used,
extension of electronic filing procedures to certain Commission forms
under 18 CFR 385.2011. In addition, EEI supports the Commission broadly
preserving the option to file on paper for parties that need such an
option and encourages the
[[Page 65472]]
Commission to minimize requirements that limit flexibility.
67. Revising the Commission's electronic filing procedures and
treatment of Forms is beyond the scope of this proceeding, and the
Commission is not prepared to implement such changes in this
proceeding. Filings may still be made on paper except in those
circumstances (tariffs, forms, etc) where the Commission requires
electronic filing.
H. Prospective Effect
68. EEI asks the Commission to clarify that the new regulations
apply prospectively only as to new dockets or sub-dockets and that
parties that have already made filings should not be compelled to
provide a protective agreement after-the-fact.\80\
---------------------------------------------------------------------------
\80\ EEI at 7-8.
---------------------------------------------------------------------------
69. We agree that these regulations will apply only to filings made
after their implementation. With respect to filings made previously,
the procedures adopted in those proceedings will need to be followed.
I. Changes to Text of Proposed Regulations
70. The Commission has made three changes to the text of the
revised regulations in response to commenters' suggestions for changes
in the regulatory text, as discussed below. The remaining suggestions
are also discussed in turn below.
1. Changes Adopted
71. MidAmerican proposes the following underlined clarifications to
reflect that a single protective agreement may apply to all materials
filed in a proceeding: ``The filer must provide the public version of
the document and its proposed form of protective agreement, if an
applicable protective agreement does not currently exist, to each
entity that is required to be served with the filing. If an applicable
protective agreement currently exists, the filer must identify where
the protective agreement can be obtained.''
72. The Commission agrees, based on the provisions in the Model
Protective Order, that one protective agreement may be drafted to apply
to all materials in a proceeding. Consequently, we have revised the
final regulations to accommodate such use.
73. EEI asks the Commission to modify 18 CFR 34.7, which it claims
requires paper filings of privileged information submitted in
applications for authorization to issue securities and assumptions of
liability under FPA section 204. EEI asks the Commission to cross
reference 18 CFR 388.112.
74. Section 34.7 states that applications for authorization to
issue securities and assumptions of liability under section 204 should
be filed in accordance with the filing procedures posted on the
Commission's web site, in reflection of the Commission's moving such
instructions out of its regulations and placing them on the internet.
Consistent with other regulations, we add a sentence to section 34.7 to
reflect that privileged materials may be filed electronically.
75. EEI proposes that the Commission consult with the Counsel on
Environmental Quality as to its proposal to remove the requirement in
sections 380.12 and 380.16 that ``The cover and relevant pages or
portions of the report should be clearly labeled in bold lettering:
`CONTAINS PRIVILEGED INFORMATION--DO NOT RELEASE.' '' \81\ According to
EEI, the Commission must consult with the Counsel on Environmental
Quality before changing National Environmental Policy Act regulations,
including 18 CFR Part 380.\82\
---------------------------------------------------------------------------
\81\ EEI at 10. In the NOPR, the Commission proposed to replace
this with the general requirement in 388.112 that ``The cover page
and relevant pages or portions of the filing document containing
material for which privileged treatment is claimed should be clearly
labeled in bold, capital lettering, indicating that it contains
privileged, confidential and/or CEII, as appropriate, and marked `DO
NOT RELEASE.' ''
\82\ EEI at 10 (citing Counsel on Environmental Quality
regulations at 40 CFR 1507.3(a)).
---------------------------------------------------------------------------
76. The NOPR proposed to adopt generic instructions in section
388.112 to permit a party to customize their headings to reflect the
privilege being claimed and identify the material in question. Thus,
the instruction may apply to either confidential trade secrets or CEII.
As for EEI's concern, while we see no inconsistency with the revised
instruction and the requirements in Part 380, we will not revise the
labeling instructions in the current versions of sections 380.12(f)(4)
and 380.16(f)(4), in order not to run afoul of the environmental
regulation review requirements.
2. Proposed Changes Not Accepted
77. MidAmerican cites inconsistency in section 388.112, which
refers to ``procedures for filing and obtaining privileged and CEII
material'' rather than ``privileged material.'' \83\ Since CEII is a
sub-set of privileged materials, we see no confusion as the procedures
we establish here apply to both, and we will not make the requested
change.\84\
---------------------------------------------------------------------------
\83\ MidAmerican at 3.
\84\ Nevertheless, clarifying changes were made throughout the
regulations.
---------------------------------------------------------------------------
78. Mid-American objects to what is sees as inconsistent usage,
noting the lack of a reference to ``Privileged Materials'' in section
388.112(b) and the requirements instead to label a filed document,
``indicating that it contains privileged, confidential and/or Critical
Energy Infrastructure Information, as appropriate, and marked `DO NOT
RELEASE.' '' \85\ According to Mid-American use of the term
confidential and describing material as privileged make the section
hard to follow. The Commission disagrees, but clarifies that the
provision was drafted to permit the use and filing of several
categories of privileged material and permit filing parties to
customize the notification that a filing contains privileged material
to fit their circumstances.
---------------------------------------------------------------------------
\85\ MidAmerican at 3.
---------------------------------------------------------------------------
79. TDUs state that the Commission should include a cross-reference
to Rule 410, 18 CFR 385.410, and section 388.112 in Rules 206 and 213
to avoid ambiguity, 18 CFR 385.206 and 18 CFR 385.213. According to
TDUs, a cross-reference would clarify that the treatment of information
for which a claim of confidentiality or privilege is asserted will be
governed by Rule 410 and section 388.112. In addition TDUs support
retaining the reference to Rule 410 and section 388.112 in Rule 606, 18
CFR Sec. 385.606, governing the treatment of privileged and protected
information in settlement proceedings.\86\
---------------------------------------------------------------------------
\86\ TDUs at 9.
---------------------------------------------------------------------------
80. The Commission's intention is to consolidate its regulations
for filing privileged materials in section 388.112. Consequently, we
found it unnecessary to reference section 388.112 as the regulation
describing how one should file privileged materials, because section
388.112 is the only regulation defining how such materials should be
handled.
III. Revised Time for Filing Answers to Motions for Extensions of Time
or Expedited Action Dates
81. To facilitate the Commission's ability to respond to motions
requesting extensions of time or shortened time to take actions
required under the Commission's orders or regulation, the Commission
proposed to revise Rule 213 in its Rules of Practice and Procedure to
provide that answers to motions requesting an extension of time as well
as motions seeking to expedite a deadline, that is, shorten the period
of time in which action is to occur, will be
[[Page 65473]]
due in five days.\87\ The Commission explained that frequently, parties
filing such motions do not know 15 days before a filing is due that
they require a change in compliance time periods, and these motions are
not controversial or complicated. The Commission stated that, with a
15-day comment period, the Secretary of the Commission (under delegated
authority) has had to issue notices shortening comment periods on such
motions. Since motions regarding the time period for responding are not
controversial or complex, five days appeared to provide a reasonable
time for responses that will eliminate the burden and additional delay
created by the need for the Secretary to issue a notice shortening the
comment period.
---------------------------------------------------------------------------
\87\ See revised Rule 213, 18 CFR 385.213.
---------------------------------------------------------------------------
82. In addition, the NOPR proposed a related change to the
Secretary's delegation authority under 18 CFR 375.302(b) to clarify
that the Secretary of the Commission has authority to address requests
for shortened answer periods and expedite requests to extend or shorten
the times to take actions consistent with the delegated authority of
other office directors.\88\ Exercise of such authority will help
expedite requests for extension of time.
---------------------------------------------------------------------------
\88\ See 18 CFR 375.307(b)(1)(ii).
---------------------------------------------------------------------------
1. Comments
83. INGAA, APGA, PJM, and ITC generally support the Commission's
proposal to reduce the time for responding to requests for extensions
of time. APGA finds the five day answer period appropriate in most
cases.\89\ PJM suggests lengthening the time for response to five
business days. While supporting the five days, ITC suggests that for
circumstances where action may be needed in a shorter time period, the
filing party be permitted to request a shorter time period in its
filing.
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\89\ MidAmerican notes that the summary of section 385.213(d)
set forth in P 4 of the NOPR states that the revised regulations
apply to all motions requesting an extension of time, not just to
those ``for which the existing time for compliance may fall fifteen
days or fewer from the date of filing.''
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84. INGAA objects to the removal of the provision in the
secretary's delegated authority in 18 CFR 375.302(b) stating, ``Absent
a waiver, no answers [to complaints, petitions, motions and other
documents] will be required to be filed by a party within less than ten
days after the date of service of the document.'' INGAA notes that
removal of this provision could permit the Secretary to shorten any
answer period, including the time for responding to a complaint, to any
time period. INGAA describes this as a wholesale change, which it
states the Commission has failed to justify.\90\ INGAA asks the
Commission to maintain the minimum ten-day answer period for
complaints, petitions, motions and other documents that do not request
an extension of time.
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\90\ INGAA at 3.
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2. Commission Response
85. The Commission will adopt the revised regulation to provide for
shortened answer periods to the motions for extensions of time or
requesting expedited action and to clarify the Secretary's authority to
act on such motions. We find that the five day answer period strikes an
appropriate balance for the need to expedite action on such requests
while preserving interested parties ability to respond to such
requests. Since motions regarding time periods are not controversial or
complex, five days provides a reasonable time for answers.\91\ The
five-day notice period also will help reduce the burden and delay
caused by the Secretary of the Commission (under delegated authority)
having to issue notices shortening answer periods.
---------------------------------------------------------------------------
\91\ In most cases, such filings are not opposed.
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86. ITC requests that the Commission affirm that parties may
request a shortened answer period. While such a filing is permitted,
the purpose of the revised regulation is to eliminate the need to issue
notices shortening answer periods. Also, given the time it takes to
issue such a notice, it will be difficult, in any but extreme cases,
for the Secretary to issue a notice shortening an answer period in time
to provide parties the ability to respond. Participants contemplating
making filings to change time periods should be able to anticipate the
need for such a filing five days in advance.
87. As for INGAA's concern with the Commission's revision of the
Secretary's delegated authority, we affirm our decision. As noted in
the NOPR, the change to the Secretary's delegated authority will
clarify that the Secretary has authority to respond to motions in a
shortened time frame when necessary to respond to a request for
extension of time or expedited action period. While INGAA is correct
that the change would also permit the Secretary to shorten the time for
filing answers in other contexts, we anticipate that the Secretary
would shorten the time for action only when justified and will do so in
such a way as not to prejudice any party.
IV. Information Collection Statement
88. Office of Management and Budget (OMB) regulations require OMB
to approve certain information collection requirements imposed by
agency rule.\92\ This rule does not contain any information collection
requirements and compliance with the OMB regulations is thus not
required. The Commission anticipates this rulemaking will reduce the
burden of making filings because it will allow filers who previously
filed on paper to take advantage of the efficiencies and ease
associated with electronic submission in the standardized procedures.
In addition, this Final Rule does not make any substantive or material
changes to requirements specified in the NOPR, where the Commission
similarly found no information collection requirements.
---------------------------------------------------------------------------
\92\ 5 CFR 1320.12.
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89. EEI suggests that the requirement to submit a protective
agreement along with the filing of privileged materials embodies a new
burden in the Commission's Paperwork Reduction Act analysis.\93\ The
Commission disagrees. The Commission is not requiring any party to file
and rely on privileged material in proceedings before the Commission.
Furthermore, the requirement to use a protective agreement to
facilitate meaningful review of the material by interested parties has
long been a part of our regulations pertaining to the filing of
complaints and answers. Additionally, those regulations have served as
a model in practice for parties filing privileged materials in other
proceedings. Thus, the requirement to provide and to use a protective
agreement represents a codification of the Commission's existing
practice under which a party seeking to rely on privileged materials
must provide interested persons the opportunity for meaningful review
of privileged materials in Commission proceedings, which typically
occurs through the use of a protective agreement. Therefore, we find
that codifying the requirement to deliver a protective agreement does
not represent a new burden, but simply reflects the Commission's
existing practice of applying the procedures developed in the complaint
regulations on a case-by-case basis for all filings in which a right of
intervention exists. Furthermore, by facilitating filing and service of
the protective agreement by electronic means, the revised regulations
minimize any impact and reduce the burden of using privileged materials
in Commission proceedings.
---------------------------------------------------------------------------
\93\ EEI at 8. Paperwork Reduction Act of 1995, section 3507(d),
44 U.S.C. 3507(d).
---------------------------------------------------------------------------
90. The Commission will submit a copy of this Final Rule to OMB
only for informational purposes.
[[Page 65474]]
V. Environmental Analysis
91. The Commission is required to prepare an Environmental
Assessment or an Environmental Impact Statement for any action that may
have a significant adverse effect on the human environment.\94\ This
rule would not represent a major federal action having a significant
adverse effect on the quality of the human environment under the
Commission's regulations implementing the National Environmental Policy
Act. Part 380 of the Commission's regulations lists exemptions to the
requirement to draft an Environmental Analysis or Environmental Impact
Statement. Included is an exemption for procedural, ministerial or
internal administrative actions.\95\ This rulemaking is exempt under
that provision.
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\94\ Regulations Implementing the National Environmental Policy
Act of 1969, Order No. 486, 52 FR 47897 (Dec. 17, 1987), FERC Stats.
& Regs. ] 30,783 (1987).
\95\ 18 CFR 380.4(1) and (5).
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VI. Regulatory Flexibility Act
92. The Regulatory Flexibility Act of 1980 (RFA) \96\ generally
requires a description and analysis of proposed rules that will have
significant economic impact on a substantial number of small entities.
The RFA mandates consideration of regulatory alternatives that
accomplish the stated objectives of a rulemaking while minimizing any
significant economic impact on a substantial number of small entities.
The Small Business Administration's (SBA) Office of Size Standards
develops the numerical definition of a small business.\97\ The SBA has
established a size standard for electrical utilities, stating that a
firm is small if, including its affiliates, it is primarily engaged in
the transmission, generation, and/or distribution of electric energy
for sale and its total electric output for the preceding twelve months
did not exceed four million MWh.\98\
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\96\ 5 U.S.C. 601-612.
\97\ 13 CFR 121.101 (2011).
\98\ 13 CFR 121.201, Sector 22 Utilities & n.1.
---------------------------------------------------------------------------
93. The Commission finds this rule concerns procedural matters and
expects it to increase the ease and convenience of filing.\99\ The
Commission certifies that it will not have a significant economic
impact upon participants in Commission proceedings. An analysis under
the RFA is not required.
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\99\ See Order No. 703, FERC Stats. & Regs. ] 31,259 at P 39.
The Commission does not believe that an RFA analysis similar to that
provided in Order No. 714, FERC Stats. & Regs. ] 31,276 at P 113, is
required or would be useful, because persons making filings with the
Commission would not need new software, systems or training, and
would not be required to convert existing materials to the new
format, as was the case in that proceeding.
---------------------------------------------------------------------------
VII. Document Availability
94. In addition to publishing the full text of this document in the
Federal Register, the Commission provides all interested persons an
opportunity to view and/or print the contents of this document via the
Internet through FERC's Home Page (https://www.ferc.gov) and in FERC's
Public Reference Room during normal business hours (8:30 a.m. to 5:00
p.m. Eastern time) at 888 First Street NE., Room 2A, Washington, DC
20426.
95. From FERC's Home Page on the Internet, this information is
available on eLibrary. The full text of this document is available on
eLibrary in PDF and Microsoft Word format for viewing, printing, and/or
downloading. To access this document in eLibrary, type the docket
number excluding the last three digits of this document in the docket
number field.
96. User assistance is available for eLibrary and the FERC's Web
site during normal business hours from FERC Online Support at (202)
502-6652 (toll free at 1-866-208-3676) or email at
ferconlinesupport@ferc.gov, or the Public Reference Room at (202) 502-
8371, TTY (202) 502-8659. Email the Public Reference Room at
public.referenceroom@ferc.gov.
VIII. Effective Date and Congressional Notification
97. These regulations are effective December 28, 2012.
List of Subjects
18 CFR Part 4
Administrative practice and procedure, Electric power, Reporting
and recordkeeping requirements.
18 CFR Part 5
Administrative practice and procedure, Electric power, Reporting
and recordkeeping requirements.
18 CFR Part 16
Administrative practice and procedure, Electric power, Electric
utilities, Reporting and recordkeeping requirements, Securities.
18 CFR Part 33
Electric utilities, Reporting and recordkeeping requirements.
18 CFR Part 34
Electric power, Electric utilities, Reporting and recordkeeping
requirements, Securities.
18 CFR Part 35
Electric power rates, Electric utilities, Reporting and
recordkeeping requirements.
18 CFR Part 157
Administrative practice and procedure, Natural gas, Reporting and
recordkeeping requirements, Uniform system of accounts.
18 CFR Part 348
Pipelines, Reporting and recordkeeping requirements.
18 CFR Part 375
Authority delegations (Government agencies), Seals and insignia,
Sunshine Act.
18 CFR Part 385
Administrative practice and procedure, Electric utilities,
Penalties, Pipelines, Reporting and recordkeeping requirements.
18 CFR Part 388
Confidential business information; Freedom of information.
By the Commission.
Nathaniel J. Davis, Sr.,
Deputy Secretary.
In consideration of the foregoing, the Commission amends Parts 4,
5, 16, 33, 34, 35, 157, 348, 375, 385, and 388, Chapter I, Title 18, of
the Code of Federal Regulations, as follows.
PART 4--LICENSES, PERMITS, EXEMPTIONS, AND DETERMINATIONS OF
PROJECT COSTS
0
1. The authority citation for Part 4 is revised to read as follows:
Authority: 16 U.S.C. 791a-825v, 2601-2645; 42 U.S.C. 7101-
7352.
Sec. 4.39 [Amended]
0
2. In paragraph (e) of Sec. 4.39, remove the phrase ``Critical Energy
Infrastructure Information in Sec. Sec. 388.112 and 388.113 of
subchapter X of this chapter'' and add the phrase ``privileged
materials and Critical Energy Infrastructure Information in Sec. Sec.
388.112 and 388.113 of this chapter'' in its place.
PART 5--INTEGRATED LICENSE APPLICATION PROCESS
0
3. The authority citation for Part 5 is revised to read as follows:
Authority: 16 U.S.C. 792-828c, 2601-2645; 42 U.S.C. 7101-7352.
[[Page 65475]]
0
4. Revise paragraph (c) of Sec. 5.29 to read as follows:
Sec. 5.29 Other provisions.
* * * * *
(c) Requests for privileged or Critical Energy Infrastructure
Information treatment of pre-filing submission. If a potential
Applicant requests privileged or critical energy infrastructure
information treatment of any information submitted to the Commission
during pre-filing consultation (except for the information specified in
Sec. 5.4), the Commission will treat the request in accordance with
the provisions in Sec. 388.112 of this chapter until the date the
application is filed with the Commission.
* * * * *
PART 16--PROCEDURES RELATING TO TAKEOVER AND RELICENSING OF
LICENSED PROJECTS
0
5. The authority citation for Part 16 is revised to read as follows:
Authority: 16 U.S.C. 791a-825r, 2601-2645; 42 U.S.C. 7101-7352.
Sec. 16.8 [Amended]
0
6. In the heading of Sec. 16.8(g), add the phrase ``or Critical Energy
Infrastructure Information'' after the word ``privileged''.
PART 33--APPLICATIONS UNDER FEDERAL POWER ACT SECTION 203
0
7. The authority citation for Part 33 is revised to read as follows:
Authority: 16 U.S.C. 791a-825r, 2601-2645; 31 U.S.C. 9701; 42
U.S.C. 7101-7352.
0
8. Revise Sec. 33.8 to read as follows:
Sec. 33.8 Requirements for filing applications.
The applicant must submit the application or petition to the
Secretary of the Commission in accordance with filing procedures posted
on the Commission's Web site at https://www.ferc.gov.
(a) If the applicant seeks to protect any portion of the
application, or any attachment thereto, from public disclosure, the
applicant must make its filing in accordance with the Commission's
instructions for submission of privileged materials and Critical Energy
Infrastructure Information in Sec. 388.112 of this chapter.
(b) If required, the applicant must submit information specified in
paragraphs (b), (c), (d), (e) and (f) of Sec. 33.3 or paragraphs (b),
(c), (d) and (e) of Sec. 33.4 on electronic recorded media (i.e., CD/
DVD) in accordance with Sec. 385.2011 of this chapter, along with a
printed description and summary. The printed portion of the applicant's
submission must include documentation for the electronic information,
including all file names and a summary of the data contained in each
file. Each column (or data item) in each separate data table or chart
must be clearly labeled in accordance with the requirements of
Sec. Sec. 33.3 and 33.4. Any units of measurement associated with
numeric entries must also be included.
Sec. 33.9 [Removed and Reserved].
0
9. Remove and reserve Sec. 33.9.
PART 34--APPLICATION FOR AUTHORIZATION OF THE ISSUANCE OF
SECURITIES OR THE ASSUMPTION OF LIABILITIES
0
10. The authority citation for Part 34 is revised to read as follows:
Authority: 16 U.S.C. 791a-825r, 2601-2645; 31 U.S.C. 9701; 42
U.S.C. 7101-7352.
0
11. In Sec. 34.7, add a sentence after the first sentence to read as
follows:
Sec. 34.7 Filing requirements.
* * * If an applicant seeks to protect any portion of an
application from public disclosure, the applicant must make its filing
in accordance with the Commission's instructions for filing privileged
materials and critical energy infrastructure information in this
chapter.
PART 35--FILING OF RATE SCHEDULES AND TARIFFS
0
12. The authority citation for Part 35 is revised to read as follows:
Authority: 16 U.S.C. 791a-825r, 2601-2645; 31 U.S.C. 9701; 42
U.S.C. 7101-7352.
0
13. Revise Sec. 35.37, paragraph (f) to read as follows.
Sec. 35.37 Market power analysis required.
* * * * *
(f) If the Seller seeks to protect any portion of a filing from
public disclosure, the Seller must make its filing in accordance with
the Commission's instructions for filing privileged materials and
critical energy infrastructure information in Sec. 388.112 of this
chapter.
PART 157--APPLICATIONS FOR CERTIFICATES OF PUBLIC CONVENIENCE AND
NECESSITY AND FOR ORDERS PERMITTING AND APPROVING ABANDONMENT UNDER
SECTION 7 OF THE NATURAL GAS ACT
0
14. The authority citation for Part 157 continues to read as follows:
Authority: 15 U.S.C. 717-717z.
Sec. 157.21 [Amended]
0
15. In Sec. 157.21(h), remove the phrase ``for the submission of
documents containing critical energy infrastructure information, as
defined in Sec. 388.113.'' and add the phrase ``of this chapter for
the submission of documents containing privileged materials or critical
energy infrastructure information.'' in its place.
Sec. 157.34 [Amended]
0
16. In Sec. 157.34(d)(4), remove the phrase ``under confidential
treatment pursuant to Sec. 388.112 of this chapter if desired.'' and
add the phrase ``seeking privileged treatment pursuant to Sec. 388.112
of this chapter.'' in its place.
PART 348--OIL PIPELINE APPLICATIONS FOR MARKET POWER DETERMINATIONS
0
17. The authority citation for Part 348 is revised to read as follows:
Authority: 42 U.S.C. 7101-7352, 49 U.S.C. 60502; 49 App. U.S.C.
1-85 (1988).
0
18. Revise Sec. 348.2, paragraph (a) to read as follows:
Sec. 348.2 Procedures.
(a) All filings under this part must be made electronically
pursuant to the requirements of Sec. Sec. 341.1 and 341.2 of this
chapter. A carrier seeking privileged treatment for all or any part of
its filing must submit a request for privileged treatment in accordance
with Sec. 388.112 of this chapter.
* * * * *
PART 375--THE COMMISSION
0
19. The authority citation for Part 375 is revised to read as follows:
Authority: 5 U.S.C. 551-557; 15 U.S.C. 717-717w, 3301-3432; 16
U.S.C. 791-825r, 2601-2645; 42 U.S.C. 7101-7352.
0
20. Revise Sec. 375.302, paragraph (b) to read as follows:
Sec. 375.302 Delegations to the Secretary.
* * * * *
(b) Prescribe, for good cause, a different time than that required
by the Commission's Rules of Practice and Procedure or Commission order
for filing by public utilities, licensees, natural gas companies, and
other persons of answers to complaints, petitions, motions, and other
documents.
* * * * *
PART 385--RULES OF PRACTICE AND PROCEDURE
0
21. The authority citation for Part 385 continues to read as follows:
[[Page 65476]]
Authority: 5 U.S.C. 551-557; 15 U.S.C. 717-717z, 3301-3432; 16
U.S.C. 792-828c, 2601-2645; 28 U.S.C. 2461; 31 U.S.C. 3701, 9701; 42
U.S.C. 7101-7352, 16441, 16451-16463; 49 U.S.C. 60502; 49 App.
U.S.C. 1-85 (1988).
Sec. 385.206 [Amended]
0
22. In Sec. 385.206, remove and reserve paragraph (e).
0
23. Revise Sec. 385.213, paragraphs (c)(5) and (d)(1) to read as
follows:
Sec. 385.213 Answers (Rule 213).
* * * * *
(c) * * *
(5) When submitting with its answer any request for privileged
treatment of documents and information in accordance with this chapter,
a respondent must provide a public version of its answer without the
information for which privileged treatment is claimed and its proposed
form of protective agreement to each entity that has either been served
pursuant to Sec. 385.206(c) or whose name is on the official service
list for the proceeding compiled by the Secretary.
* * * * *
(d) Time limitations. (1) Any answer to a motion or to an amendment
to a motion must be made within 15 days after the motion or amendment
is filed, except as described below or unless otherwise ordered.
(i) If a motion requests an extension of time or a shortened time
period for action, then answers to the motion to extend or shorten the
time period shall be made within 5 days after the motion is filed,
unless otherwise ordered.
(ii) [Reserved]
* * * * *
Sec. 385.606 [Amended]
0
24. In Sec. 385.606:
0
a. In paragraph (f), remove the sentence ``See sections 385.410 and
388.112 of this chapter.''
0
b. In paragraph (j), remove the phrase ``section 388.112 of.''
PART 388--INFORMATION AND REQUESTS
0
25. The authority citation for part 388 continues to read as follows:
Authority: 5 U.S.C. 301-305, 551, 552 (as amended), 553-557; 42
U.S.C. 7101-7352.
0
26. Revise Sec. 388.112 to read as follows:
Sec. 388.112 Requests for privileged treatment and Critical Energy
Infrastructure Information (CEII) treatment for documents submitted to
the Commission.
(a) Scope. (1) By following the procedures specified in this
section, any person submitting a document to the Commission may request
privileged treatment for some or all of the information contained in a
particular document that it claims is exempt from the mandatory public
disclosure requirements of the Freedom of Information Act, 5 U.S.C. 552
(FOIA), and should be withheld from public disclosure. For the purposes
of the Commission's filing requirements, information subject to an
outstanding claim of exemption from disclosure under FOIA, including
critical energy infrastructure information (CEII), will be referred to
as privileged material.
(2) Any person submitting documents containing CEII as defined in
Sec. 388.113, or seeking access to such information should follow the
procedures in this chapter.
(b) Procedures for filing and obtaining privileged or CEII
material. (1) General Procedures. A person requesting that material be
treated as privileged information or CEII must include in its filing a
justification for such treatment in accordance with the filing
procedures posted on the Commission's Web site at https://www.ferc.gov.
A person requesting that a document filed with the Commission be
treated as privileged or CEII must designate the document as privileged
or CEII in making an electronic filing or clearly indicate a request
for such treatment on a paper filing. The cover page and pages or
portions of the document containing material for which privileged
treatment is claimed should be clearly labeled in bold, capital
lettering, indicating that it contains privileged, confidential and/or
Critical Energy Infrastructure Information, as appropriate, and marked
``DO NOT RELEASE.'' The filer also must submit to the Commission a
public version with the information that is claimed to be privileged
material redacted, to the extent practicable.
(2) Procedures for Proceedings with a Right to Intervene. The
following procedures set forth the methods for filing and obtaining
access to material that is filed as privileged in complaint proceedings
and in any proceeding to which a right to intervention exists:
(i) If a person files material as privileged material or CEII in a
complaint proceeding or other proceeding to which a right to
intervention exists, that person must include a proposed form of
protective agreement with the filing, or identify a protective
agreement that has already been filed in the proceeding that applies to
the filed material. This requirement does not apply to material
submitted in hearing or settlement proceedings, or if the only material
for which privileged treatment is claimed consists of landowner lists
or privileged information filed under Sec. Sec. 380.12(f), (m), (o)
and 380.16(f) of this chapter.
(ii) The filer must provide the public version of the document and
its proposed form of protective agreement to each entity that is
required to be served with the filing.
(iii) Any person who is a participant in the proceeding or has
filed a motion to intervene or notice of intervention in the proceeding
may make a written request to the filer for a copy of the complete,
non-public version of the document. The request must include an
executed copy of the protective agreement and a statement of the
person's right to party or participant status or a copy of their motion
to intervene or notice of intervention. Any person may file an
objection to the proposed form of protective agreement. A filer, or any
other person, may file an objection to disclosure, generally or to a
particular person or persons who have sought intervention.
(iv) If no objection to disclosure is filed, the filer must provide
a copy of the complete, non-public document to the requesting person
within 5 days after receipt of the written request that is accompanied
by an executed copy of the protective agreement. If an objection to
disclosure is filed, the filer shall not provide the non-public
document to the person or class of persons identified in the objection
until ordered by the Commission or a decisional authority.
(v) For material filed in proceedings set for trial-type hearing or
settlement judge proceedings, a participant's access to material for
which privileged treatment is claimed is governed by the presiding
official's protective order.
(vi) For landowner lists, information filed as privileged under
Sec. Sec. 380.12(f), (m), (o) and 380.16(f), forms filed with the
Commission, and other documents not covered above, access to this
material can be sought pursuant to a FOIA request under Sec. 388.108
or a CEII request under Sec. 388.113 of this chapter. Applicants are
not required under paragraph (b)(2)(iv) of this section to provide
intervenors with landowner lists and the other materials identified in
the previous sentence.
(c) Effect of privilege or CEII claim. (1) For documents filed with
the Commission:
(i) The documents for which privileged or CEII treatment is claimed
will be maintained in the Commission's document repositories as non-
public until such time as the Commission may determine that the
document is not entitled to the treatment sought and is subject to
disclosure consistent with
[[Page 65477]]
Sec. Sec. 388.108 or 388.113 of this chapter. By treating the
documents as nonpublic, the Commission is not making a determination on
any claim of privilege or CEII status. The Commission retains the right
to make determinations with regard to any claim of privilege or CEII
status, and the discretion to release information as necessary to carry
out its jurisdictional responsibilities.
(ii) The request for privileged or CEII treatment and the public
version of the document will be made available while the request is
pending.
(2) For documents submitted to Commission staff. The notification
procedures of paragraphs (d), (e), and (f) of this section will be
followed before making a document public.
(d) Notification of request and opportunity to comment. When a FOIA
or CEII requester seeks a document for which privilege or CEII status
has been claimed, or when the Commission itself is considering release
of such information, the Commission official who will decide whether to
release the information or any other appropriate Commission official
will notify the person who submitted the document and give the person
an opportunity (at least five calendar days) in which to comment in
writing on the request. A copy of this notice will be sent to the
requester.
(e) Notification before release. Notice of a decision by the
Commission, the Chairman of the Commission, the Director, Office of
External Affairs, the General Counsel or General Counsel's designee, a
presiding officer in a proceeding under part 385 of this chapter, or
any other appropriate official to deny a claim of privilege, in whole
or in part, or to make a limited release of CEII, will be given to any
person claiming that the information is privileged or CEII no less than
5 calendar days before disclosure. The notice will briefly explain why
the person's objections to disclosure are not sustained by the
Commission. A copy of this notice will be sent to the FOIA or CEII
requester.
(f) Notification of suit in Federal courts. When a FOIA requester
brings suit to compel disclosure of information for which a person has
claimed privileged treatment, the Commission will notify the person who
submitted the documents of the suit.
Sec. 388.113 [Amended]
0
27. In Sec. 388.113(d)(1) and (d)(2), remove the phrase ``paragraph
(d)(3)'' and add the phrase ``paragraph (d)(4)'' in its place.
[FR Doc. 2012-26126 Filed 10-26-12; 8:45 am]
BILLING CODE 6717-01-P