Approval and Promulgation of Implementation Plans; State of Missouri; Infrastructure SIP Requirements for the 1997 and 2006 Fine Particulate Matter National Ambient Air Quality Standards, 21281-21295 [2013-08399]
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Federal Register / Vol. 78, No. 69 / Wednesday, April 10, 2013 / Proposed Rules
The Boeing Company: Docket No. FAA–
2013–0302; Directorate Identifier 2013–
NM–019–AD.
(a) Comments Due Date
The FAA must receive comments on this
AD action by May 28, 2013.
(b) Affected ADs
This AD supersedes AD 87–02–07,
Amendment 39–5506 (Docket No. 86–NM–
175–AD; 52 FR 518–01, January 7, 1987).
(c) Applicability
This AD applies to The Boeing Company
Model 737–100, –200, –200C, and –300 series
airplanes, certified in any category, as
identified in Boeing Service Bulletin 737–28–
1286, dated January 10, 2012.
(d) Subject
Joint Aircraft System Component (JASC)/
Air Transport Association (ATA) of America
Code 28, Fuel.
(e) Unsafe Condition
This AD was prompted by reports of
standard access doors installed where impact
resistant access doors are required and
reports of impact resistant doors without
stencils. We are issuing this AD to prevent
foreign object penetration of the wing tank,
which could lead to a fuel leak near ignition
sources (engine, hot brakes), consequently
leading to a fuel-fed fire.
(f) Compliance
Comply with this AD within the
compliance times specified, unless already
done.
(g) Inspection and Corrective Actions
Within 72 months after the effective date
of this AD, do a general visual inspection of
the left-wing and right-wing fuel tank access
doors to determine that impact resistant
access doors are installed in the correct
locations, and an inspection for proper
application of stencils and index markers of
impact resistance access doors; and do all
applicable corrective actions; in accordance
with the Accomplishment Instructions of
Boeing Service Bulletin 737–28–1286, dated
January 10, 2012. Do all applicable corrective
actions before further flight.
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(h) Maintenance Program Revision
Within 60 days after the effective date of
this AD, revise the maintenance program to
incorporate airworthiness limitation (AWL)
57–AWL–01, as specified in Section C,
Airworthiness Limitations (AWLs)—Fuel
Systems, of the Boeing 737–100/200/200C/
300/400/500 Airworthiness Limitations
(AWLs) and Certification Maintenance
Requirements (CMRs), D6–38278–CMR,
dated August 2012.
(j) Alternative Methods of Compliance
(AMOCs)
(1) The Manager, Seattle Aircraft
Certification Office (ACO), FAA, has the
authority to approve AMOCs for this AD, if
requested using the procedures found in 14
CFR 39.19. In accordance with 14 CFR 39.19,
send your request to your principal inspector
or local Flight Standards District Office, as
appropriate. If sending information directly
to the manager of the ACO, send it to the
attention of the person identified in the
Related Information section of this AD.
Information may be emailed to: 9-ANMSeattle-ACO-AMOC-Requests@faa.gov.
(2) Before using any approved AMOC,
notify your appropriate principal inspector,
or lacking a principal inspector, the manager
of the local flight standards district office/
certificate holding district office.
(3) An AMOC that provides an acceptable
level of safety may be used for any repair
required by this AD if it is approved by the
Boeing Commercial Airplanes Organization
Designation Authorization (ODA) that has
been authorized by the Manager, Seattle ACO
to make those findings. For a repair method
to be approved, the repair must meet the
certification basis of the airplane and the
approval must specifically refer to this AD.
(k) Related Information
(1) For more information about this AD,
contact Suzanne Lucier, Aerospace Engineer,
Propulsion Branch, ANM–140S, FAA, Seattle
Aircraft Certification Office, 1601 Lind
Avenue SW., Renton, Washington 98057–
3356; phone: 425–917–6438; fax: 425–917–
6590; email: suzanne.lucier@faa.gov.
(2) For service information identified in
this AD, contact Boeing Commercial
Airplanes, Attention: Data & Services
Management, P.O. Box 3707, MC 2H–65,
Seattle, WA 98124–2207; telephone 206–
544–5000, extension 1; fax 206–766–5680;
Internet https://www.myboeingfleet.com. You
may review copies of the referenced service
information at the FAA, Transport Airplane
Directorate, 1601 Lind Avenue SW., Renton,
Washington. For information on the
availability of this material at the FAA, call
425–227–1221.
Issued in Renton, Washington, on March
28, 2013.
Ali Bahrami,
Manager, Transport Airplane Directorate,
Aircraft Certification Service.
[FR Doc. 2013–08335 Filed 4–9–13; 8:45 am]
BILLING CODE 4910–13–P
(i) No Alternative Critical Design
Configuration Control Limitations (CDCCLs)
After accomplishing the revision required
by paragraph (h) of this AD, no alternative
CDCCLs may be used unless the CDCCLs are
approved as an alternative method of
compliance (AMOC) in accordance with the
procedures specified in paragraph (j) of this
AD.
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ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 52
[EPA–R07–OAR–2013–0208; FRL–9800–5]
Approval and Promulgation of
Implementation Plans; State of
Missouri; Infrastructure SIP
Requirements for the 1997 and 2006
Fine Particulate Matter National
Ambient Air Quality Standards
Environmental Protection
Agency (EPA).
ACTION: Proposed rule.
AGENCY:
EPA is proposing action on
four Missouri State Implementation
Plan (SIP) submissions. First, EPA is
proposing to approve portions of two
SIP submissions from the State of
Missouri addressing the applicable
requirements of Clean Air Act (CAA) for
the 1997 and 2006 National Ambient
Air Quality Standards (NAAQS) for fine
particulate matter (PM2.5). The CAA
requires that each state adopt and
submit a SIP to support implementation,
maintenance, and enforcement of each
new or revised NAAQS promulgated by
EPA. These SIPs are commonly referred
to as ‘‘infrastructure’’ SIPs. The
infrastructure requirements are designed
to ensure that the structural components
of each state’s air quality management
program are adequate to meet the state’s
responsibilities under the CAA. EPA is
also proposing to approve two
additional SIP submissions from
Missouri, one addressing the Prevention
of Significant Deterioration (PSD)
program in Missouri, and another
addressing the requirements applicable
to any board or body which approves
permits or enforcement orders of the
CAA, both of which support
requirements associated with
infrastructure SIPs.
DATES: Comments must be received on
or before May 10, 2013.
ADDRESSES: Submit your comments,
identified by Docket ID No. EPA–R07–
OAR–2013–0208, by one of the
following methods:
1. https://www.regulations.gov. Follow
the on-line instructions for submitting
comments.
2. Email: bhesania.amy@epa.gov.
3. Mail: Ms. Amy Bhesania, Air
Planning and Development Branch, U.S.
Environmental Protection Agency,
Region 7, Air and Waste Management
Division, 11201 Renner Boulevard,
Lenexa, Kansas 66219.
4. Hand Delivery or Courier: Deliver
your comments to Ms. Amy Bhesania,
Air Planning and Development Branch,
SUMMARY:
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U.S. Environmental Protection Agency,
Region 7, Air and Waste Management
Division, 11201 Renner Boulevard,
Lenexa, Kansas 66219.
Instructions: Direct your comments to
Docket ID No. EPA–R07–OAR–2013–
0208. EPA’s policy is that all comments
received will be included in the public
docket without change and may be
made available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be Confidential Business
Information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit through https://
www.regulations.gov or email
information that you consider to be CBI
or otherwise protected. The https://
www.regulations.gov Web site is an
‘‘anonymous access’’ system, which
means EPA will not know your identity
or contact information unless you
provide it in the body of your comment.
If you send an email comment directly
to EPA without going through https://
www.regulations.gov, your email
address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the Internet. If you
submit an electronic comment, EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
disk or CD–ROM you submit. If EPA
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, EPA may not be
able to consider your comment.
Electronic files should avoid the use of
special characters, any form of
encryption, and should be free of any
defects or viruses.
Docket: All documents in the
electronic docket are listed in the https://
www.regulations.gov index. Although
listed in the index, some information is
not publicly available, i.e., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available either
electronically at https://
www.regulations.gov or in hard copy at
U.S. Environmental Protection Agency,
Region 7, 11201 Renner Boulevard,
Lenexa, Kansas 66219 from 8:00 a.m. to
4:30 p.m., Monday through Friday,
excluding legal holidays. The interested
persons wanting to examine these
documents should make an
appointment with the office at least 24
hours in advance.
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Ms.
Amy Bhesania, Air Planning and
Development Branch, U.S.
Environmental Protection Agency,
Region 7, 11201 Renner Boulevard,
Lenexa, KS 66219; telephone number:
(913) 551–7147; fax number: (913) 551–
7065; email address:
bhesania.amy@epa.gov.
SUPPLEMENTARY INFORMATION:
Throughout this document whenever
‘‘we,’’ ‘‘us,’’ or ‘‘our’’ is used, we refer
to EPA. This section provides additional
information by addressing the following
questions:
FOR FURTHER INFORMATION CONTACT:
I. What is being addressed in this document?
II. What is a section 110(a)(1) and (2)
infrastructure SIP?
III. What elements are applicable under
sections 110(a)(1) and (2)?
IV. What is the scope of this rulemaking as
it relates to infrastructure SIPs?
V. What is EPA’s evaluation of how the state
addressed the relevant elements of
sections 110(a)(1) and (2)?
VI. What are the requirements of the PM2.5
PSD Increment-SILs-SMC Rule for PSD
SIP Programs?
VII. How Does the September 5, 2012
Missouri PSD submission satisfy the
PM2.5 PSD Increment-SILs-SMC rule?
VIII. What are the additional provisions of
the September 5, 2012 SIP submission
that EPA is proposing to take action on?
IX. What action is EPA proposing?
X. Statutory and Executive Order Review
I. What is being addressed in this
document?
In today’s proposed rulemaking, EPA
is proposing action on four Missouri SIP
submissions. EPA received the first
submission on February 27, 2007,
addressing the infrastructure SIP
requirements relating to the 1997 PM2.5
NAAQS. EPA received the second
submission on December 28, 2009,
addressing the infrastructure SIP
requirements relating to the 2006 PM2.5
NAAQS. In a previous action EPA
approved section 110(a)(2)(D)(i)(I) and
(II)—Interstate and international
transport requirements of Missouri’s
February 27, 2007, SIP submission for
the 1997 PM2.5 NAAQS (72 FR 25975,
May 8, 2007); and EPA disapproved
section 110(a)(2)(D)(i)(I)—Interstate and
international transport requirements of
Missouri’s December 28, 2009, SIP
submission for the 2006 PM2.5 NAAQS
(76 FR 43156, July 20, 2011). Therefore,
in today’s action, we are not proposing
to act on these portions since they have
already been acted upon by EPA. If EPA
takes final action as proposed, we will
have acted on both the February 27,
2007, and the December 28, 2009,
submissions in their entirety excluding
those provisions that are not within the
scope of today’s rulemaking as
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identified in section IV for both the
1997 and 2006 PM2.5 infrastructure SIP
submissions.
The third submission was received by
EPA on September 5, 2012. This
submission revises Missouri’s rule in
Title 10, Division 10, Chapter 6.060 of
the Code of State Regulations (CSR) (10
CSR 10–6.060) ‘‘Construction Permits
Required’’ to implement certain
elements of the ‘‘Prevention of
Significant Deterioration (PSD) for
Particulate Matter Less Than 2.5
Micrometers (PM2.5)—Increments,
Significant Impact Levels (SILs) and
Significant Monitoring Concentration
(SMC)’’ rule (75 FR 64864, October 20,
2010). In addition, this rule amendment
defers the application of PSD permitting
requirements to carbon dioxide
emissions from bioenergy and other
biogenic stationary sources.
EPA received the fourth submission
on August 8, 2012. This submission
addresses the conflict of interest
provisions in section 128 of the CAA as
it relates to infrastructure SIPs described
in element E below.
II. What is a section 110(a)(1) and (2)
infrastructure SIP?
Section 110(a)(1) of the CAA requires,
in part, that states make a SIP
submission to EPA to implement,
maintain and enforce each of the
NAAQS promulgated by EPA after
reasonable notice and public hearings.
Section 110(a)(2) includes a list of
specific elements that such
infrastructure SIP submissions must
address. SIPs meeting the requirements
of sections 110(a)(1) and (2) are to be
submitted by states within three years
after promulgation of a new or revised
NAAQS. These SIPs submissions are
commonly referred to as
‘‘infrastructure’’ SIPs.
III. What elements are applicable under
sections 110(a)(1) and (2)?
On October 2, 2007, EPA issued
guidance to address infrastructure SIP
elements required under sections
110(a)(1) and (2) for the 1997 8-hour
ozone and PM2.5 NAAQS.1 On
September 25, 2009, EPA issued
guidance to address infrastructure SIP
elements required under sections
110(a)(1) and (2) for the 2006 24-hour
PM2.5 NAAQS.2 EPA will address these
1 William T. Harnett, Director, Air Quality Policy
Division, Office of Air Quality Planning and
Standards, ‘‘Guidance on SIP Elements Required
Under Sections 110(a)(1) and (2) for the 1997 8-hour
Ozone and PM2.5 National Ambient Air Quality
Standards,’’ Memorandum to EPA Air Division
Directors, Regions I–X, October 2, 2007 (2007
Memo).
2 William T. Harnett, Director, Air Quality Policy
Division, Office of Air Quality Planning and
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elements below under the following
headings: (A) Emission limits and other
control measures; (B) Ambient air
quality monitoring/data system; (C)
Program for enforcement of control
measures (PSD, New Source Review for
nonattainment areas, and construction
and modification of all stationary
sources); (D) Interstate and international
transport 3; (E) Adequate authority,
resources, implementation, and
oversight; (F) Stationary source
monitoring system; (G) Emergency
authority; (H) Future SIP revisions; (I)
Nonattainment areas; (J) Consultation
with government officials, public
notification, prevention of significant
deterioration (PSD), and visibility
protection; (K) Air quality and
modeling/data; (L) Permitting fees; and
(M) Consultation/participation by
affected local entities.
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IV. What is the scope of this rulemaking
as it relates to infrastructure SIPs?
The applicable infrastructure SIP
requirements are contained in sections
110(a)(1) and (2) of the CAA. EPA is
proposing action on each of the
requirements of section 110(a)(2)(A)
through section 110(a)(2)(M), as
applicable, except for the elements
detailed in the following paragraphs.
This rulemaking will not cover four
substantive issues that are not integral
to acting on a state’s infrastructure SIP
submission: (i) Existing provisions
related to excess emissions during
periods of start-up, shutdown, or
malfunction at sources, that may be
contrary to the CAA and EPA’s policies
addressing such excess emissions
(‘‘SSM’’); (ii) existing provisions related
to ‘‘director’s variance’’ or ‘‘director’s
discretion’’ that purport to permit
revisions to SIP approved emissions
limits with limited public process or
without requiring further approval by
EPA, that may be contrary to the CAA
(‘‘director’s discretion’’); (iii) existing
provisions for minor source New Source
Review (NSR) programs that may be
inconsistent with the requirements of
the CAA and EPA’s regulations that
pertain to such programs (‘‘minor source
NSR’’); and, (iv) existing provisions for
PSD programs that may be inconsistent
with current requirements of EPA’s
December 31, 2002, ‘‘Final NSR
Standards, ‘‘Guidance on SIP Elements Required
Under Sections 110(a)(1) and (2) for the 2006 24Hour Fine Particle (PM2.5) National Ambient Air
Quality Standards (NAAQS),’’ Memorandum to
EPA Regional Air Division Directors, Regions I–X,
September 25, 2009 (2009 Memo).
3 Section 110(a)(2)(D)(i) includes four
requirements referred to as prongs 1 through 4.
Prongs 1 and 2 are provided at section
110(a)(2)(D)(i)(I); Prongs 3 and 4 are provided at
section 110(a)(2)(D)(i)(II).
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Improvement Rule’’ (67 FR 80186), as
amended by the ‘‘NSR Reform’’ final
rulemaking on June 13, 2007 (72 FR
32526). Instead, EPA has indicated that
it has other authority to address any
such existing SIP defects in other
rulemakings, as appropriate. A detailed
rationale for why these four substantive
issues are not part of the scope of
infrastructure SIP rulemakings can be
found at 76 FR 41075, 41076–41079
(July 13, 2011). See also 77 FR 38239,
38240–38243 (June 27, 2012); and 77 FR
46361, 46362–46365 (August 3, 2012).
In addition to the four substantive
areas above, EPA is not acting in this
action on section 110(a)(2)(I)—
Nonattainment Area Plan or Plan
Revisions Under Part D and on the
visibility protection portion of section
110(a)(2)(J). A detailed rationale for not
acting on elements of these
requirements is discussed within each
applicable section of this rulemaking.
As described above in section I, EPA is
also not acting on portions of section
110(a)(2)(D)(i)—Interstate and
international transport as final actions
have already been taken on portions of
this element for both the Missouri 1997
and 2006 PM2.5 infrastructure SIP
submissions.
Finally, as part of this action, EPA is
evaluating the state’s compliance with
the new PSD requirements promulgated
in the ‘‘Implementation of New Source
Review (NSR) Program for Particulate
Matter Less Than 2.5 Micrometers
(PM2.5).’’ (73 FR 28321, May 16, 2008)
and the PM2.5 Increment, SILs and SMC
rule (75 FR 64864, October 20, 2010).
Regarding the May 16, 2008 rule, on
January 4, 2013, the U.S. Court of
Appeals in the District of Columbia, in
Natural Resources Defense Council v.
EPA, 706 F.3d 428 (D.C. Cir.), issued a
judgment that remanded two of EPA’s
rules implementing the 1997 PM2.5
NAAQS, including the 2008 rule. The
Court ordered EPA to ‘‘repromulgate
these rules pursuant to Subpart 4
consistent with this opinion.’’ Id. at 437.
Subpart 4 of part D, Title 1 of the CAA
establishes additional provisions for
particulate matter nonattainment areas.
The 2008 implementation rule
addressed by the Court’s decision
promulgated NSR requirements for
implementation of PM2.5 in both
nonattainment areas (nonattainment
NSR) and attainment/unclassifiable
areas (PSD). As the requirements of
subpart 4 only pertain to nonattainment
areas, EPA does not consider the
portions of the 2008 rule that address
requirements for PM2.5 attainment and
unclassifiable areas to be affected by the
Court’s opinion. Moreover, EPA does
not anticipate the need to revise any
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PSD requirements promulgated in the
2008 rule in order to comply with the
Court’s decision. Accordingly, EPA’s
approval of Missouri’s infrastructure SIP
as to Elements (C), (D)(i)(II), and (J),
with respect to the PSD requirements
promulgated by the 2008
implementation rule, does not conflict
with the Court’s opinion.
The Court’s decision with respect to
the nonattainment NSR requirements
promulgated by the 2008
implementation rule also does not affect
EPA’s action on the present
infrastructure SIP submission. As
described above, EPA interprets the Act
to exclude nonattainment area
requirements, including requirements
associated with a nonattainment NSR
program, from infrastructure SIP
submissions due three years after
adoption or revision of a NAAQS.
Instead, these elements are typically
referred to as nonattainment SIP or
attainment plan elements, which states
must submit by the dates statutorily
prescribed under part D within subparts
2 through 5, extending as far as ten
years following designations for some
elements. Given these separate
applicable SIP submission dates, EPA
concludes that these specific
requirements are outside the scope of
the infrastructure SIPs.
V. What is EPA’s evaluation of how the
state addressed the relevant elements of
sections 110(a)(1) and (2)?
On July 18, 1997, EPA promulgated
new PM2.5 primary and secondary
NAAQS (62 FR 38652). On October 17,
2006, EPA made further revisions to the
primary and secondary NAAQS for
PM2.5 (71 FR 61144). On February 27,
2007, EPA Region 7 received Missouri’s
infrastructure SIP submission for the
1997 PM2.5 standard. EPA determined
this SIP submission complete on March
27, 2007. On December 28, 2009, EPA
Region 7 received Missouri’s
infrastructure SIP submission for the
2006 PM2.5 standard. This SIP
submission became complete as a matter
of law on June 28, 2010. EPA has
reviewed both of Missouri’s
infrastructure SIP submissions and the
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP.
(A) Emission limits and other control
measures: Section 110(a)(2)(A) requires
SIPs to include enforceable emission
limits and other control measures,
means or techniques, schedules for
compliance and other related matters as
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needed to implement, maintain and
enforce each NAAQS.4
The State of Missouri’s Air
Conservation Law and Air Pollution
Control Rules authorize the Missouri
Department of Natural Resources
(MDNR) to regulate air quality and
implement air quality control
regulations. Specifically, Missouri
Revised Statutes (RsMO) section
643.030 authorizes the ‘‘Air
Conservation Commission of the State of
Missouri’’ (MACC) to control air
pollution, which is defined in RsMO
section 643.020 to include air
contaminants in quantities, of
characteristics and of a duration which
cause or contribute to injury to human,
plant, or animal life or health or to
property. RsMO section 643.050
authorizes the MACC to classify and
identify air contaminants.
Missouri’s rule 10 CSR 10–6.010
‘‘Ambient Air Quality Standards’’
adopts the 1997 PM2.5 annual standard
and the 2006 PM2.5 24-hour standard as
promulgated by EPA. In addition, 10
CSR 10–6.040 ‘‘Reference Methods’’
incorporates by reference the relevant
appendices in 40 CFR part 50 for
measuring and calculating the
concentration of PM2.5 in the
atmosphere to determine whether the
standards have been met. Therefore,
PM2.5 is an air contaminant which may
be regulated under Missouri law.
RsMO section 643.050 of the Air
Conservation Law authorizes the MACC,
among other things, to regulate the use
of equipment known to be a source of
air contamination and to establish
emissions limitations for air
contaminant sources. Missouri also
establishes timetables for compliance in
its rules, as appropriate. Appendix A of
the state’s infrastructure SIP submission
for both the 1997 PM2.5 NAAQS and the
2006 PM2.5 NAAQS contains a link to
the Missouri Air Conservation Law and
Appendix B of each submission
contains a link to Missouri’s state rules.
Based upon review of the state’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
4 The specific nonattainment area plan
requirements of section 110(a)(2)(I) are subject to
the timing requirements of section 172, not the
timing requirement of section 110(a)(1). Thus,
section 110(a)(2)(A) does not require that states
submit regulations or emissions limits specifically
for attaining the 1997 or 2006 PM2.5 NAAQS. Those
SIP provisions are due as part of each state’s
attainment plan, and will be addressed separately
from the requirements of section 110(a)(2)(A). In the
context of an infrastructure SIP, EPA is not
evaluating the existing SIP provisions for this
purpose. Instead, EPA is only evaluating whether
the state’s SIP has basic structural provisions for the
implementation of the NAAQS.
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those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has statutory and regulatory
authority to establish additional
emissions limitations and other
measures, as necessary to address
attainment and maintenance of the
PM2.5 standards. Therefore, EPA
believes that the Missouri SIP
adequately addresses the requirements
of section 110(a)(2)(A) for the 1997 and
2006 PM2.5 NAAQS 5 and is proposing
to approve the February 27, 2007,
submission regarding the 1997 PM2.5
infrastructure SIP requirements and the
December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(B) Ambient air quality monitoring/
data system: Section 110(a)(2)(B)
requires SIPs to include provisions to
provide for establishment and operation
of ambient air quality monitors,
collection and analysis of ambient air
quality data, and making these data
available to EPA upon request.
To address this element, RsMO
section 643.050 of the Air Conservation
Law provides the enabling authority
necessary for Missouri to fulfill the
requirements of section 110(a)(2)(B).
The Air Pollution Control Program and
Air Quality Analysis Section, within
MDNR, implement these requirements.
Along with their other duties, the
monitoring program collects air
monitoring data, quality assures the
results, and reports the data.
MDNR submits annual monitoring
network plans to EPA for approval,
including its PM2.5 monitoring network,
as required by 40 CFR 58.10. Prior to
submissions to EPA, Missouri makes the
plans available for public review on
MDNR’s Web site at (https://
www.dnr.mo.gov/env/apcp/monitoring/
monitoringnetworkplan.pdf). MDNR
also conducts five-year monitoring
network assessments, including the
PM2.5 monitoring network, as required
by 40 CFR 58.10(d). On January 10,
2013, EPA approved Missouri’s 2012
Ambient Air Quality Monitoring Plan
and on October 27, 2010, EPA approved
Missouri’s Five-Year Air Monitoring
Network Assessment. Missouri 10 CSR
10–6.040(4)(L) ‘‘Reference Methods’’
requires that ambient concentrations of
PM2.5 be measured in accordance with
the applicable Federal regulations in 40
CFR part 50, Appendix L, or an
equivalent method as approved by EPA
pursuant to 40 CFR part 53.
Furthermore, Missouri submits air
quality data to EPA’s Air Quality
5 For the reasons stated earlier, EPA is not
addressing SSM and director’s discretion provisions
in this rulemaking.
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System (AQS) system in a timely
manner, pursuant to the provisions of
the state’s grant work plans developed
in conjunction with EPA.
Based upon review of the state’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that the
Missouri SIP meets the requirements of
section 110(a)(2)(B) for the 1997 and
2006 24-hour PM2.5 NAAQS and is
proposing to approve the February 27,
2007, submission regarding the 1997
PM2.5 infrastructure SIP requirements
and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(C) Program for enforcement of
control measures (PSD, New Source
Review for nonattainment areas, and
construction and modification of all
stationary sources): Section 110(a)(2)(C)
requires states to include the following
three elements in the SIP: (1) A program
providing for enforcement of all SIP
measures described in section
110(a)(2)(A); (2) a program for the
regulation of the modification and
construction of stationary sources as
necessary to protect the applicable
NAAQS (i.e., state-wide permitting of
minor sources); and (3) a permit
program to meet the major source
permitting requirements of the CAA (for
areas designated as attainment or
unclassifiable for the NAAQS in
question).6
(1) Enforcement of SIP Measures.
With respect to enforcement of
requirements of the SIP, the Missouri
statutes provide authority for MDNR to
enforce the requirements of the Air
Conservation Law, and any regulations,
permits, or final compliance orders
issued under the provisions of that law.
For example, RsMO section 643.080 of
the Air Conservation Law authorizes
MDNR to issue compliance orders for
violations of the Air Conservation Law,
rules promulgated thereunder (which
includes rules comprising the Missouri
SIP), and conditions of any permits
(which includes permits under SIPapproved permitting programs). RsMO
section 643.085 authorizes MDNR to
assess administrative penalties for
violations of the statute, regulations,
permit conditions, or administrative
orders. RsMO section 643.151
authorizes the MACC to initiate civil
6 As discussed in further detail below, this
infrastructure SIP rulemaking will not address the
Missouri program for nonattainment area related
provisions, since EPA considers evaluation of these
provisions to be outside the scope of infrastructure
SIP actions.
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to approve the infrastructure SIP for
element (C) (e.g., 76 FR 41076–41079).
EPA believes that a number of states
may have minor NSR provisions that are
contrary to the existing EPA regulations
for this program. EPA intends to work
with states to reconcile state minor NSR
programs with EPA’s regulatory
provisions for the program. The
statutory requirements of section
110(a)(2)(C) provide for considerable
flexibility in designing minor NSR
programs, and EPA believes it may be
time to revisit the regulatory
requirements for this program to give
the states an appropriate level of
flexibility to design a program that
meets their particular air quality
concerns, while assuring reasonable
consistency across the country in
protecting the NAAQS with respect to
new and modified minor sources.
(3) Prevention of Significant
Deterioration (PSD) permit program.
Missouri also has a program approved
by EPA as meeting the requirements of
part C, relating to prevention of
significant deterioration of air quality.
In order to demonstrate that Missouri
has met this sub-element, this PSD
program must cover requirements for
not just PM2.5, but for all other regulated
NSR pollutants as well. To implement
the PSD permitting component of
section 110(a)(2)(C) for the 1997 and
2006 PM2.5 NAAQS, states were
required to submit the necessary SIP
revisions to EPA by May 16, 2011, and
July 20, 2012, pursuant to EPA’s NSR
PM2.5 Implementation Rule (2008 NSR
Rule), (73 FR 28321, May 16, 2008) and
EPA’s PM2.5 Increment-SILs-SMC Rule,
(75 FR 64864, October 20, 2010). As
described in section IV above, the
January 4, 2013, court decision
remanding 2008 rule does not impact
the EPA’s action as to this element.
The 2008 NSR Rule finalized several
new requirements for SIPs to address
sources that emit direct PM2.5 and other
pollutants that contribute to secondary
PM2.5 formation. One of these
requirements is for NSR permits to
address pollutants responsible for the
secondary formation of PM2.5, otherwise
known as precursors. In the 2008 NSR
Rule, the EPA identified precursors to
PM2.5 for the PSD program to include
sulfur dioxide (SO2) and nitrogen oxide
(NOX) (unless the state demonstrates to
the Administrator’s satisfaction or EPA
demonstrates that NOX emissions in an
area are not a significant contributor to
that area’s ambient PM2.5
concentrations). See 73 FR 28325. The
2008 NSR Rule also specified that
volatile organic compounds (VOCs) are
not considered to be precursors to PM2.5
in the PSD program unless the state
Continued
actions for these violations, and to seek
penalties and injunctive relief to
prevent any further violation. RsMO
section 643.191 provides for criminal
penalties for known violations of the
statute, standards, permit conditions, or
regulations promulgated thereunder.
(2) Minor New Source Review. Section
110(a)(2)(C) also requires that the SIP
include measures to regulate
construction and modification of
stationary sources to protect the
NAAQS. With respect to smaller statewide minor sources (Missouri’s major
source permitting program is discussed
in (3) below), Missouri has a SIPapproved program under rule 10 CSR
10–6.060 ‘‘Construction Permits
Required’’ to review such sources to
ensure, among other requirements, that
new and modified sources will not
interfere with NAAQS attainment. The
state rule contains two general
categories of sources subject to the
minor source permitting program. The
first category is ‘‘de minimis’’ sources
(regulated at 10 CSR 10–6.060(5))—
sources that are not exempted or
excluded by rule 10 CSR 10–6.061
‘‘Construction Permit Exemptions’’ or
are permitted under rule 10 CSR 10–
6.062 ‘‘Construction Permits By Rule’’
and emit below specified levels defined
at 10 CSR 10–6.020(3)(A) ‘‘Definitions
and Common Reference Tables.’’
Permits for these sources may only be
issued if any construction or
modification at the source does not
result in net emissions increases above
‘‘de minimis’’ levels.
The second category of minor sources
are those that emit above the de minimis
levels, but below the major source
significance levels. Permits for these
sources may only be issued after a
determination, among other
requirements, that the proposed source
or modification would not interfere with
attainment or maintenance of a NAAQS
(10 CSR 10–6.060(6)).
In this action, EPA is proposing to
approve Missouri’s infrastructure SIP
for the 1997 and 2006 PM2.5 standards
with respect to the general requirement
in section 110(a)(2)(C) to include a
program in the SIP that regulates the
modification and construction of any
stationary source as necessary to assure
that the NAAQS are achieved. In this
action, EPA is not proposing to approve
or disapprove the state’s existing minor
NSR program to the extent that it is
inconsistent with EPA’s regulations
governing this program. EPA has
maintained that the CAA does not
require that new infrastructure SIP
submissions correct any defects in
existing EPA-approved provisions of
minor NSR programs in order for EPA
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demonstrates to the Administrator’s
satisfaction or EPA demonstrates that
emissions of VOCs in an area are
significant contributors to that area’s
ambient PM2.5 concentrations. The
specific references to SO2, NOX, and
VOCs as they pertain to secondary PM2.5
formation are currently codified at 40
CFR 51.166(b)(49)(i)(b) and 40 CFR
52.21(b)(50)(i)(b). The deadline for
states to submit SIP revisions to their
PSD programs incorporating these new
requirements was May 16, 2011 (73 FR
28341).
As part of identifying pollutants that
are precursors to PM2.5, the 2008 NSR
Rule also revised the definition of
‘‘significant’’ as it relates to a net
emissions increase or the potential of a
source to emit pollutants. Specifically,
40 CFR 51.166(b)(23)(i) and 40 CFR
52.21(b)(23)(i) define ‘‘significant’’ for
PM2.5 to mean the following emissions
rates: 10 tons per year (tpy) of direct
PM2.5; 40 tpy of SO2; and 40 tpy of NOX
(unless the state demonstrates to the
Administrator’s satisfaction or EPA
demonstrates that NOX emissions in an
area are not a significant contributor to
that area’s ambient PM2.5
concentrations).
Another provision of the 2008 NSR
Rule requires states to account for gases
that could condense to form particulate
matter, known as condensables, for
applicability determinations and in
establishing emission limits for PM2.5
and PM107 in NSR permits. EPA
provided that states were required to
account for PM2.5 and PM10
condensables beginning on or after
January 1, 2011. This requirement is
currently codified in 40 CFR
51.166(b)(49)(i)(a) and 40 CFR
52.21(b)(50)(i)(a). Revisions to states’
PSD programs incorporating the
inclusion of condensables were required
to be submitted to EPA by May 16, 2011
(73 FR at 28341).
The definition of ‘‘regulated NSR
pollutant’’ in the PSD provisions of the
2008 rule inadvertently required states
to also account for the condensable PM
fraction with respect to one indicator of
PM referred to as ‘‘particular matter
emissions.’’ The term ‘‘particulate
matter emissions’’ includes PM2.5 and
PM10 particles as well as larger particles,
and is an indicator for PM that has long
been used for measuring PM under
various New Source Performance
Standards (NSPS) (40 CFR part 60).8 A
7 PM
10 refers to particles with diameters between
2.5 and 10 microns, oftentimes referred to as
‘‘coarse’’ particles.
8 In addition to the NSPS for PM, it is noted that
states regulated ‘‘particulate matter emissions’’ for
many years in their SIPs for PM, and the same
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similar provision addressing
condensables was added to the
Nonattainment NSR SIP provisions of
the 2008 NSR Rule but does not include
a requirement to account for
‘‘particulate matter (PM) emissions’’ in
all cases (40 CFR
51.165(a)(1)(xxxvii)(D)). On October 12,
2012, EPA finalized a rulemaking to
amend the definition of ‘‘regulated NSR
pollutant’’ promulgated in the NSR
PM2.5 Rule regarding the PM
condensable provision currently at 40
CFR 51.166(b)(49)(i)(a),
52.21(b)(50)(i)(a), and EPA’s Emissions
Offset Interpretative Ruling. See 77 FR
65107. The rulemaking removes the
inadvertent requirement in the 2008
NSR Rule that the measurement of
condensables be generally included as
part of the measurement and regulation
of ‘‘particulate matter emissions.’’ 9
On April 2, 2013 (78 FR 19602), EPA
proposed to approve Missouri’s request
to amend the SIP to meet the 2008 PM2.5
NAAQS implementation requirements
of the May 16, 2008, NSR PM2.5 Rule as
described above. In this SIP revision,
Missouri adopted rule revisions to
establish (1) the requirement for NSR
permits to address directly emitted
PM2.5 and precursor pollutants; and (2)
significant emission rates for direct
PM2.5 and precursor pollutants (SO2 and
NOX), among other revisions. With
respect to the condensable PM issue
described above, Missouri has
addressed this through the SIP
submission received by EPA on
September 5, 2012, and which is being
proposed for approval in today’s action,
as discussed in more detail below.
Therefore, EPA has proposed to
incorporate into Missouri’s SIP all of the
provisions required by the 2008 PM2.5
implementation rule that are applicable
to element C of infrastructure SIPs.
With respect to the 2010 PM2.5
Increment-SILs-SMC Rule, EPA is
proposing to approve the portion of the
September 5, 2012, submission
addressing the required PM2.5
increments and associated
implementing regulations as part of
today’s proposed rulemaking. A further
indicator has been used as a surrogate for
determining compliance with certain standards
contained in 40 CFR part 63, regarding National
Emission Standards for Hazardous Air Pollutants.
9 The change finalized in that action does not
mean that EPA has entirely exempted the inclusion
of the condensable PM fraction as part of
accounting for ‘‘particulate matter emissions.’’ It
may be necessary for PSD sources to count the
condensable PM fraction with regard to ‘‘particulate
matter emissions’’ where either the applicable
NSPS compliance test includes the condensable PM
fraction or the applicable implementation plan
requires the condensable PM fraction to be counted.
See 77 FR 65112.
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analysis of how Missouri meets the
requirements of the 2010 rule is
described below in sections VI and VII.
To meet the requirements of element
(C), in addition to the PM2.5 PSD
elements that must be incorporated in to
the SIP, each state’s PSD program must
meet applicable requirements for all
regulated pollutants in PSD permits. For
example, if a state lacks provisions
needed to address NOX as a precursor to
ozone, the provisions of section
110(a)(2)(C) requiring a suitable PSD
permitting program for PM2.5 will not be
considered to be met.
Relating to ozone, EPA’s ‘‘Final Rule
to Implement the 8-Hour Ozone
National Ambient Air Quality
Standard—Phase 2; Final Rule to
Implement Certain Aspects of the 1990
Amendments Relating to New Source
Review and Prevention of Significant
Deterioration as They Apply in Carbon
Monoxide, Particulate Matter, and
Ozone NAAQS; Final Rule for
Reformulated Gasoline’’ (Phase 2 Rule),
was published on November 8, 2005 (70
FR 71612). Among other requirements,
the Phase 2 Rule obligated states to
revise their PSD programs to explicitly
identify NOX as a precursor to ozone (70
FR 71612 at 71679, and 71699–71700).
This requirement is currently codified
in 40 CFR 51.166(b)(49)(i)(b). On April
16, 2012, EPA finalized a rulemaking to
approve the provisions into the
Missouri SIP which provide that ozone
precursors (volatile organic
compounds—VOC and nitrogen
oxides—NOX) are regulated. See 77 FR
22500. For example, a source that is
major for NOX is also major for ozone
under the state’s PSD program in rule 10
CSR 10–6.060(8). In addition, rules 10
CSR 10–6.060(1)(A) and 10–6.060(8)(A)
incorporate 40 CFR 52.21(b)(50)(i)(a) by
reference. The latter regulation
specifically identifies volatile organic
compounds and nitrogen oxides as
precursors to ozone in all attainment
and unclassifiable areas.
Regarding greenhouse gases (GHG), on
June 3, 2010, EPA issued a final rule
establishing a ‘‘common sense’’
approach to addressing GHG emissions
from stationary sources under the CAA
permitting programs. The ‘‘Prevention
of Significant Deterioration and Title V
Greenhouse Gas Tailoring Rule,’’ or
‘‘Tailoring Rule,’’ set thresholds for
GHG emissions that define when
permits under the NSR PSD and Title V
operating permit programs are required
for new and existing industrial facilities.
See 75 FR 31514. Without the new
threshold provided by the Tailoring
Rule, sources with GHG emissions
above the statutory thresholds (of 100 or
250 tons per year) would be subject to
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PSD, which could have potentially
resulted in apartment complexes, strip
malls, small farms, restaurants, etc.
triggering GHG PSD requirements.
On December 23, 2010, EPA
promulgated a subsequent series of rules
that put the necessary framework in
place to ensure that industrial facilities
can get CAA permits covering their GHG
emissions when needed, and that
facilities emitting GHGs at levels below
those established in the Tailoring Rule
need not obtain CAA permits.10
Included in this series of rules was
EPA’s issuance of the ‘‘Limitation of
Approval of Prevention of Significant
Deterioration Provisions Concerning
Greenhouse Gas Emitting-Sources in
State Implementation Plans,’’ referred to
as the PSD SIP ‘‘Narrowing Rule’’ (75 FR
82536, December 30, 2010). The
Narrowing Rule limits, or ‘‘narrows,’’
EPA’s approval of PSD programs
applied to previously EPA-approved SIP
PSD programs, including Missouri’s,
that apply PSD to GHG emissions. The
Narrowing Rule limited, or ‘‘narrowed,’’
EPA’s approval of Missouri’s and other
PSD programs so that the SIP provisions
that apply PSD to GHG emissions
increases from sources emitting GHG
below the Tailoring Rule thresholds
were no longer EPA approved, and
instead, had the status of having been
submitted by the state but not yet acted
upon by EPA. In other words, the
Narrowing Rule focused on eliminating
the PSD obligations under Federal law
for sources below the Tailoring Rule
thresholds.
After EPA adopted the Narrowing
Rule, Missouri submitted to EPA, and
EPA approved in to the Missouri SIP on
April 16, 2012, a revision that limited
PSD applicability to GHG-emitting
sources at or above the Tailoring Rule
thresholds. With this SIP revision,
Missouri’s PSD program conforms to
EPA’s requirements for PSD programs
with respect to GHG emissions, and
avoids an overwhelming increase in the
number of required permits and
resulting burden on Missouri’s
permitting resources (77 FR 22500,
April 16, 2012).
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS and the
September 5, 2012, submission
regarding PSD requirements, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, with respect to the
requirements of section 110(a)(2)(C) for
the 1997 and 2006 24-hour PM2.5
NAAQS, EPA is proposing to approve
10 https://www.epa.gov/NSR/actions.html#2010.
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the February 27, 2007, submission
regarding the 1997 PM2.5 infrastructure
SIP requirements, the December 28,
2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements,
and the September 5, 2012, submission
regarding the PSD requirements. EPA’s
analysis of the September 5, 2012,
submission is provided in sections VI
and VII below.
(D) Interstate and international
transport:
Section 110(a)(2)(D)(i)(I) requires SIPs
to include adequate provisions
prohibiting any source or other type of
emissions activity in one state from
contributing significantly to
nonattainment, or interfering with
maintenance, of any NAAQS in another
state. Furthermore, section
110(a)(2)(D)(i)(II) requires SIPs to
include adequate provisions prohibiting
any source or other type of emissions
activity in one state from interfering
with measures required of any other
state to prevent significant deterioration
of air quality or to protect visibility.
Section 110(a)(2)(D)(i) includes four
requirements referred to as prongs 1
through 4. Prongs 1 and 2 are provided
at section 110(a)(2)(D)(i)(I); Prongs 3 and
4 are provided at section
110(a)(2)(D)(i)(II).
In this notice, we are not proposing to
take any actions related to the interstate
transport requirements of section
110(a)(2)(D)(i)(I)—prongs 1 and 2. At
this time, there is no SIP submission
from Missouri relating to
110(a)(2)(D)(i)(I) for the 1997 or 2006
PM2.5 NAAQS pending before the
Agency. EPA previously approved the
provisions of the Missouri SIP
submission addressing the requirements
of section 110(a)(2)(D)(i)(I) and (II), with
respect to the 1997 PM2.5 standards, into
the Missouri SIP (72 FR 25975, May 8,
2007). EPA also disapproved the portion
of the Missouri SIP submission intended
to address section 110(a)(2)(D)(i)(I) with
respect to the 2006 PM2.5 NAAQS (76
FR 43156, July 20, 2011).
With respect to the PSD requirements
of section 110(a)(2)(D)(i)(II)—prong 3,
EPA notes that Missouri’s satisfaction of
the applicable infrastructure SIP PSD
requirements for the 1997 and 2006
PM2.5 NAAQS have been detailed in the
section addressing section 110(a)(2)(C).
EPA also notes that the proposed action
in that section related to PSD is
consistent with the proposed approval
related to PSD for section
110(a)(2)(D)(i)(II). Therefore, EPA is
proposing to approve the PSD
requirements of section
110(a)(2)(D)(i)(II)—prong 3.
With regard to the applicable
requirements for visibility protection of
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section 110(a)(2)(D)(i)(II)—prong 4,
states are subject to visibility and
regional haze program requirements
under part C of the CAA (which
includes sections 169A and 169B). The
2009 Memo 11 states that these
requirements can be satisfied by an
approved SIP addressing reasonably
attributable visibility impairment, if
required, and an approved SIP
addressing regional haze.
Missouri meets this requirement
through EPA-approved provisions
requiring electric generating units
(EGUs) in Missouri to comply with the
Clean Air Interstate Rule (CAIR) and
through the limited approval and
limited disapproval of Missouri’s
regional haze SIP. Although Missouri’s
regional haze SIP has not been fully
approved, EPA believes that the
infrastructure SIP submission together
with previously approved SIP
provisions, specifically those provisions
that require EGUs to comply with CAIR
and the additional measures in the
regional haze SIP addressing best
available retrofit technology (BART) and
reasonable progress requirements for
other sources or pollutants, are adequate
to demonstrate compliance with prong
4; thus, EPA is proposing to fully
approve this aspect of the submission.
Missouri’s regional haze SIP relied on
the previous incorporation of CAIR into
the EPA-approved SIP for Missouri as
an alternative to the requirement that
regional haze SIPs provide for sourcespecific BART emission limits for SO2
and NOX emissions from EGUs. At the
time the regional haze SIP was being
developed, Missouri’s reliance on CAIR
was fully consistent with EPA’s
regulations. CAIR, as originally
promulgated, requires significant
reductions in emissions of SO2 and NOX
to limit the interstate transport of these
pollutants, and EPA’s determination
that states could rely on CAIR as an
alternative to requiring BART for CAIRsubject EGUs had specifically been
upheld in Utility Air Regulatory Group
v. EPA, 471 F.3d 1333 (D.C. Cir. 2006).
Moreover, the states with Class I areas
affected by emissions from sources in
Missouri had adopted reasonable
progress goals for visibility protection
that were consistent with the EGU
emission limits resulting from CAIR.
In 2008, however, the D.C. Circuit
remanded CAIR back to EPA (see North
11 William T. Harnett, Director, Air Quality Policy
Division, Office of Air Quality Planning and
Standards, ‘‘Guidance on SIP Elements Required
Under Sections 110(a(1) and (2) for the 2006 24Hour Fine Particle (PM2.5) National Ambient Air
Quality Standards (NAAQS),’’ Memorandum to
EPA Regional Air Division Directors, Regions I–X,
September 25, 2009.
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21287
Carolina v. EPA, 550 F.3d 1176 (D.C.
Cir. 2008)). The Court found CAIR to be
inconsistent with the requirements of
the CAA (see North Carolina v. EPA,
531 F.3d 896 (D.C. Cir. 2008)), but
ultimately remanded the rule to EPA
without vacatur because it found that
‘‘allowing CAIR to remain in effect until
it is replaced by a rule consistent with
[the Court’s] opinion would at least
temporarily preserve the environmental
values covered by CAIR’’ (North
Carolina, 550 F.3d at 1178).
After the remand of CAIR by the D.C.
Circuit and the promulgation by EPA of
a new rule—Cross State Air Pollution
Rule (CSAPR)—to replace CAIR, EPA
issued a limited disapproval and
Federal Implementation Plan (FIP) for
Missouri regional haze SIP (and other
states’ regional haze SIPs that relied
similarly on CAIR), which merely
substituted reliance on CSAPR NOX and
SO2 trading programs for EGUs for the
SIP’s reliance on CAIR because EPA
believed that full approval of the SIP
was not appropriate in light of the
court’s remand of CAIR and the
uncertain but limited remaining period
of operation of CAIR (77 FR 33642, June
7, 2012). EPA finalized a limited
approval of the regional haze SIP,
indicating that except for its reliance on
CAIR, the SIP met CAA requirements for
the first planning period of the regional
haze program (77 FR 38007, June 26,
2012).12
Since the above-described
developments with regard to Missouri’s
regional haze SIP, the situation has
changed. In August 2012, the D.C.
Circuit issued a decision to vacate
CSAPR (see EME Homer City v. EPA,
696 F.3d 7 (D.C. Cir. 2012). In this
decision, the Court ordered EPA to
‘‘continue administering CAIR pending
the promulgation of a valid
replacement.’’ Thus, EPA has been
ordered by the Court to develop a new
rule, and to continue implementing
CAIR in the meantime, and the opinion
makes clear that after promulgating that
new rule EPA must provide states an
opportunity to draft and submit SIPs to
implement that rule. CAIR thus cannot
be replaced until EPA has promulgated
a final rule through a notice-andcomment rulemaking process; states
12 Under CAA sections 301(a) and 110(k)(6) and
EPA’s long-standing guidance, a limited approval
results in approval of the entire SIP submission,
even of those parts that are deficient and prevent
EPA from granting a full approval of the SIP
revision. Processing of State Implementation Plan
(SIP) Revisions, EPA Memorandum from John
Calcagni, Director, Air Quality Management
Division, OAQPS, to Air Division Directors, EPA
Regional Offices I–X, September 7, 1992, (1992
Calcagni Memorandum) located at https://
www.epa.gov/ttn/caaa/t1/memoranda/siproc.pdf.
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have had an opportunity to draft and
submit SIPs; EPA has reviewed the SIPs
to determine if they can be approved;
and EPA has taken action on the SIPs,
including promulgating a FIP, if
appropriate.
EPA filed a petition for rehearing of
the Court’s decision on CSAPR, which
was denied by the D.C. Circuit on
January 24, 2013. However, based on the
current direction from the Court to
continue administering CAIR, EPA
believes that it is appropriate to rely on
CAIR emission reductions as permanent
and enforceable for purposes of
assessing the adequacy of Missouri’s
infrastructure SIP with respect to prong
4 while a valid replacement rule is
developed and until implementation
plans complying with any new rule are
submitted by the states and acted upon
by EPA or until the court case is
resolved in a way that provides
direction regarding CAIR and CSAPR.
As neither Missouri nor EPA has
taken any action to remove CAIR from
the Missouri SIP, CAIR remains part of
the EPA-approved SIP and can be
considered in determining whether the
SIP as a whole meets the requirement of
prong 4 of 110(a)(2)(D)(i). EPA is
proposing to approve the infrastructure
SIP submission with respect to prong 4
because Missouri’s regional haze SIP
which EPA has given a limited
approval, in combination with its SIP
provisions to implement CAIR,
adequately prevent sources in Missouri
from interfering with measures adopted
by other states to protect visibility
during the first planning period. While
EPA is not at this time proposing to
change the June 7, 2012, or June 26,
2012, limited disapproval and limited
approval of Missouri’s regional haze
SIP, EPA expects to propose an
appropriate action regarding Missouri’s
regional haze SIP upon final resolution
of EME Homer City.
Section 110(a)(2)(D)(ii) also requires
that the SIP insure compliance with the
applicable requirements of sections 126
and 115 of the CAA, relating to
interstate and international pollution
abatement, respectively.
Section 126(a) of the CAA requires
new or modified sources to notify
neighboring states of potential impacts
from sources within the state. Missouri
regulations require that affected states
receive notice prior to the
commencement of any construction or
modification of a source. Missouri’s rule
10 CSR 10–6.060(6), ‘‘Construction
Permits Required’’ requires that the
review of all PSD permit applications
follow the procedures of section (12)(A),
Appendix A. Appendix A, in turn,
requires that the permitting authority
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shall issue a draft permit for public
comment, with notification to affected
states on or before the time notice is
provided to the public. In addition, no
Missouri source or sources have been
identified by EPA as having any
interstate impacts under section 126 in
any pending actions relating to any air
pollutant.
Section 115 of the CAA authorizes
EPA to require a state to revise its SIP
under certain conditions to alleviate
international transport into another
country. There are no final findings
under section 115 of the CAA against
Missouri with respect to any air
pollutant. Thus, the State’s SIP does not
need to include any provisions to meet
the requirements of section 115.
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has the adequate infrastructure
needed to address sections
110(a)(2)(D)(i)(II)—Prongs 3 and 4 and
110 (a)(2)(D)(ii) for the 1997 and 2006
PM2.5 NAAQS. EPA is proposing to
approve the February 27, 2007,
submission regarding the 1997 PM2.5
infrastructure SIP requirements and the
December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(E) Adequate authority, resources,
implementation, and oversight: Section
110(a)(2)(E) requires that SIPs provide
for the following: (1) Necessary
assurances that the state (and other
entities within the state responsible for
implementing the SIP) will have
adequate personnel, funding, and
authority under State or local law to
implement the SIP, and that there are no
legal impediments to such
implementation; (2) requirements that
the state comply with the requirements
relating to state boards, pursuant to
section 128 of the CAA; and (3)
necessary assurances that the state has
responsibility for ensuring adequate
implementation of any plan provision
for which it relies on local governments
or other entities to carry out that portion
of the plan.
(1) Section 110(a)(2)(E)(i) requires
states to establish that they have
adequate personnel, funding and
authority. With respect to adequate
authority, we have previously discussed
Missouri’s statutory and regulatory
authority to implement the 1997 and
2006 PM2.5 NAAQS, primarily in the
discussion of section 110(a)(2)(A) above.
Neither Missouri nor EPA has identified
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any legal impediments in the State’s SIP
to implementation of these NAAQS.
With respect to adequate resources,
MDNR asserts that it has adequate
personnel to implement the SIP. The
infrastructure SIP submission for both
the 1997 and 2006 PM2.5 NAAQS
describes the regulations governing the
various functions of personnel within
the Air Pollution Control Program,
including the Administration, Technical
Support (Air Quality Analysis),
Planning, Enforcement, and Permit
Sections of the program (10 CSR 10–
1.010(2)(D) ‘‘Ambient Air Quality
Standards’’).
With respect to funding, the Air
Conservation Law requires the MACC to
establish an annual emissions fee for
sources in order to fund the reasonable
costs of administering various air
pollution control programs. RsMO
section 643.079 of the Air Conservation
Law provides for the deposit of the fees
into various subaccounts (e.g., a
subaccount for the Title V operating
permit program used for Title V
implementation activities; a subaccount
for non-Title V air pollution control
program activities). The state uses funds
in the non-Title V subaccounts, along
with General Revenue funds and EPA
grants under, for example, sections 103
and 105 of the CAA, to fund the
programs. EPA conducts periodic
program reviews to ensure that the state
has adequate resources and funding to,
among other things, implement the SIP.
(2) Conflict of interest provisions—
Section 128
Section 110(a)(2)(E)(ii) requires that
each state SIP meet the requirements of
section 128, relating to representation
on state boards and conflicts of interest
by members of such boards. Section
128(a)(1) requires that any board or
body which approves permits or
enforcement orders under the CAA must
have at least a majority of members who
represent the public interest and do not
derive any ‘‘significant portion’’ of their
income from persons subject to permits
and enforcement orders under the CAA.
Section 128(a)(2) requires that members
of such a board or body, or the head of
an agency with similar powers,
adequately disclose any potential
conflicts of interest. In 1978, EPA issued
a guidance memorandum
recommending ways that states could
meet the requirements of section 128,
including suggested interpretations of
certain terms in section 128.13 EPA has
not issued further guidance or
13 See Memorandum from David O. Bickart to
Regional Air Directors, ‘‘Guidance to States for
Meeting Conflict of Interest Requirements of
Section 128,’’ Suggested Definitions, March 2, 1978.
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regulations of general applicability on
the subject since that time. However,
EPA has recently proposed certain
interpretations of section 128 as part of
its actions on other infrastructure SIPs
consistent with the statutory
requirements (see, e.g., (77 FR 44555,
July 30, 2012) and (77 FR 66398,
November 5, 2012)). We are now
proposing these same interpretations in
relation to the Missouri SIP. On August
8, 2012, EPA received Missouri’s SIP
revision that addresses the section 128
requirements. In today’s action, we are
also proposing to approve Missouri’s
August 8, 2012, submission related to
sections 110(a)(2)(E)(ii) and 128 of the
CAA. EPA and Missouri have worked to
assure that the State’s SIP correctly
addresses these requirements.
EPA’s analysis consisted of review of
Missouri’s August 8, 2012, SIP
submission and EPA’s additional review
of Missouri statutes and authorities. The
first step in the analysis included
identifying boards, bodies and persons
responsible for approving permits and
enforcement orders and determining the
applicability of the section 128
requirements to these entities. Section
643.050 of the Air Conservation Law
authorizes the MACC to approve
enforcement orders. In addition,
Missouri Chapter 1 rule ‘‘General
Organization’’ (2)(B) gives the Director
of MDNR the authority to issue orders
and act upon permit applications.
Therefore, at a minimum the MACC
must satisfy the requirements of
sections 128(a)(1) and (2), and as the
head of an executive agency with
similar powers, the Director of MDNR
must satisfy the requirements of section
128(a)(2).
Section 128(a)(1) contains two
separate requirements applicable to any
board or body which approves permits
or enforcement orders under the CAA.
First, a majority of members of the board
or body must ‘‘represent the public
interest’’ (‘‘public interest’’
requirement). Second, a majority of
members must ‘‘not derive any
significant portion of their income from
persons subject to permits or
enforcement orders’’ (‘‘significant
income’’ requirement). The specific
provisions of Missouri’s Air
Conservation Law submitted as SIP
revisions are relevant to the
requirements of CAA section 128(a)(1).
With respect to the ‘‘public interest’’
requirement, section 643.040.2 of the
Air Conservation Law establishes that
the MACC members must ‘‘be
representative of the general interest of
the public.’’ With respect to the
‘‘significant income’’ requirement, both
sections 643.040.2 and 105.450 of
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Missouri’s Air Conservation Law were
submitted to EPA for inclusion in the
SIP. Section 643.040.2 states that ‘‘the
governor shall not appoint any other
person who has a substantial interest as
defined in 105.450’’ in any business
entity regulated under the Air
Conservation Law or any business entity
which would be regulated under the Air
Conservation Law if located in Missouri.
‘‘Substantial interest,’’ in turn, is
defined in section 105.450 as ownership
by the individual, the individual’s
spouse, or the individual’s dependent
children, whether singularly or
collectively, directly or indirectly, of ten
percent or more of any business entity,
or of an interest having a value of ten
thousand dollars or more, or the receipt
by an individual, the individual’s
spouse or the individual’s dependent
children, whether singularly or
collectively, of a salary, gratuity, or
other compensation or remuneration of
five thousand dollars, or more, per year
from any individual, partnership,
organization, or association with any
calendar year. The provisions at
sections 643.040 and 105.450 have both
been submitted for inclusion in to the
SIP. In addition, section 105.463 which
has also been submitted for inclusion in
to the SIP, requires members of the
commission to file a financial interest
statement.
To satisfy section 128(a)(2) of the
CAA, Missouri’s August 8, 2012,
submission identified RsMO section
643.040.2, which establishes ‘‘rules of
procedure which specify when members
shall exempt themselves from
participating in discussions and from
voting on issues before the commission
due to potential conflict of interest.’’ In
addition, RsMO sections 105.452 and
105.454 identify ‘‘prohibited acts’’ that
apply to both elected or appointed
officials and to state employees which
relate to disclosure of conflicts of
interest and financial gain. As an
example of a ‘‘prohibited act,’’ elected
or appointed officials or employees of
Missouri shall not act (or refrain from
acting in any capacity in which she is
lawfully empowered to act) ‘‘by reason
of any payment, offer to pay, promise to
pay, or receipt of anything of actual
pecuniary value’’ paid or received to
herself or any third person in
relationship to or as a condition of the
performance of an official act (RsMO
105.452.1(1)). These officials or
employees are also prohibited from
using or disclosing confidential
information obtained in the course of or
by reason of her employment or official
capacity in any manner with intent to
result in financial gain for herself, her
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spouse, her dependent child, or any
business with which she is associated
(RsMO 105.452.1(2),(3)).
Chapter 1 Missouri State regulation
‘‘Commission Voting and Meeting
Procedures’’ (1) and (2) also further
require disclosure of conflicts of interest
and require members with conflicts of
interest to be excluded from voting on
the matter at issue, unless that member
receives a determination from the
MACC that the interest is ‘‘not so
substantial as to be deemed likely to
affect the integrity of the services which
the state expects from commission
members.’’ Finally, RsMO sections
105.466 and 105.472 include applicable
exemptions to the ‘‘prohibited acts’’
identified in RsMO sections 105.450 to
105.458 and 105.462 to 105.468 and
information regarding complaints about
any violations of these prohibitions
related to boards and executives. All of
these provisions have been submitted by
Missouri for inclusion in to the SIP.
As it relates to appointed public
officials, such as the Director of MDNR,
the provisions as described above in
sections 105.452 and 105.454 also apply
to heads of the executive agency.
EPA believes that the above identified
relevant sections of Missouri’s Air
Conservation Law and the Missouri air
regulations directly address the
provisions related to sections 128(a)(1)
and (2) of the CAA. We propose to
approve the following provisions in to
the Missouri SIP, as they strengthen the
SIP with respect to the conflict of
interest requirement of CAA section
128:
• RsMO 643.040.2
• RsMO 105.450
• RsMO 105.452
• RsMO 105.454
• RsMO 105.462
• RsMO 105.463
• RsMO 105.466
• RsMO 105.472
• 10 CSR 10–1.020(1) and (2)
(3) With respect to assurances that the
state has responsibility to implement
the SIP adequately when it authorizes
local or other agencies to carry out
portions of the plan, RsMO section
643.190 designates the MDNR as the air
pollution control agency ‘‘for all
purposes’’ of the CAA. Although RsMO
section 643.140 authorizes the MACC to
grant local governments such as cities or
counties authority to carry out their own
air pollution control programs, the
MACC retains authority to enforce the
provisions of Missouri’s Air
Conservation Law in these local areas,
notwithstanding any such authorization
(RsMO 643.140.4). The MACC may also
suspend or repeal the granting of
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authority if the local government is
enforcing any local rules in a manner
inconsistent with state law (RsMO
643.140.10).
There are three local air agencies that
conduct air quality work in Missouri:
Kansas City, Springfield/Greene County
and St. Louis County. The MDNR’s Air
Pollution Control Program has a signed
Memorandum of Understanding (MOU)
with Kansas City and Springfield/
Greene County and a draft agreement for
St. Louis County (to be finalized) which
outlines the responsibilities for air
quality activities with each local agency.
The MDNR Air Program oversees the
activities of the local agencies to ensure
adequate implementation of the
Missouri SIP. EPA conducts reviews of
the local program activities in
conjunction with its oversight of the
state program.
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS and the
August 8, 2012, SIP submission, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has the adequate infrastructure
needed to address section 110(a)(2)(E)
for the 1997 and 2006 PM2.5 NAAQS
and is proposing to approve the
February 27, 2007, submission regarding
the 1997 PM2.5 infrastructure SIP
requirements, the December 28, 2009,
submission regarding the 2006 PM2.5
infrastructure SIP requirements, and the
August 8, 2012, submission relating to
section 128 requirements.
(F) Stationary source monitoring
system: Section 110(a)(2)(F) requires
states to establish a system to monitor
emissions from stationary sources and
to submit periodic emission reports.
Each SIP shall require the installation,
maintenance, and replacement of
equipment, and the implementation of
other necessary steps, by owners or
operators of stationary sources, to
monitor emissions from such sources.
The SIP shall also require periodic
reports on the nature and amounts of
emissions and emissions-related data
from such sources, and requires that the
state correlate the source reports with
emission limitations or standards
established under the CAA. These
reports must be made available for
public inspection at reasonable times.
To address this element, RsMO
section 643.050.1(3)(a) of the Air
Conservation Law authorizes the MACC
to require persons engaged in operations
which result in air pollution to monitor
or test emissions and to file reports
containing information relating to rate,
period of emission and composition of
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effluent. Missouri rule 10 CSR 10–6.030
‘‘Sampling Methods for Air Pollution
Sources’’ incorporates various EPA
reference methods for sampling and
testing source emissions, including
methods for PM emissions. The Federal
test methods are in 40 CFR part 51,
Appendix M and part 60, Appendix A.
Missouri rule 10 CSR 10–6.110
‘‘Reporting & Emission Data, Emission
Fees, and Process Information’’ also
requires monitoring of emissions and
filing of periodic reports on emissions
(see (4)(A) for the specific information
required). Missouri uses this
information to track progress towards
maintaining the NAAQS, developing
control and maintenance strategies,
identifying sources and general
emission levels, and determining
compliance with emission regulations
and additional EPA requirements.
Missouri makes this information
available to the public (10 CSR 10–
6.110(3)(D) ‘‘Reporting & Emission Data,
Emission Fees, and Process
Information’’). Missouri rule 10 CSR 10–
6.210 ‘‘Confidential Information,’’
specifically excludes emissions data
from confidential treatment. Under that
rule emissions data includes the results
of any emissions testing or monitoring
required to be reported by sources under
Missouri’s air pollution control rules (10
CSR 10–6.210(3)(B)2).
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has the adequate infrastructure
needed to address section 110(a)(2)(F)
for the 1997 and 2006 PM2.5 NAAQS
and is proposing to approve the
February 27, 2007, submission regarding
the 1997 PM2.5 infrastructure SIP
requirements and the December 28,
2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements
for this element.
(G) Emergency authority: Section
110(a)(2)(G) requires SIPs to provide for
authority to address activities causing
imminent and substantial endangerment
to public health or welfare or the
environment (comparable to the
authorities provided in Section 303 of
the CAA), and to include contingency
plans to implement such authorities as
necessary.
RsMO section 643.090.1 of the Air
Conservation Law authorizes the MACC
or the director of MDNR to declare an
emergency where the ambient air, ‘‘due
to meteorological conditions and a
buildup of air contaminants’’ in
Missouri, may present an ‘‘emergency
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risk to the public health, safety, or
welfare.’’ The MACC or director may,
with the written approval of the
governor, by order prohibit, restrict or
condition all sources of air
contaminants contributing to the
emergency condition, during such
periods of time necessary to alleviate or
lessen the effects of the emergency
condition. The statute also enables the
MACC to promulgate implementing
regulations. Even in the absence of an
emergency condition, RsMO section
643.090.2 also authorizes the MACC or
the director to issue ‘‘cease and desist’’
orders to any specific person who is
either engaging or may engage in
activities which involve a significant
risk of air contamination or who is
discharging into the ambient air any air
contaminant, and such activity or
discharge presents a clear and present
danger to public health or welfare.
Missouri rule 10 CSR 10–6.130
‘‘Controlling Emissions During Episodes
of High Air Pollution Potential’’
includes action levels and contingency
measures for PM2.5 and other pollutants.
This rule specifies the conditions that
establish an air pollution alert and the
associated procedures and emissions
reduction objectives for dealing with
each.
With respect to contingency plan
requirements of section 110(a)(2)(G),
EPA has issued guidance making
recommendations for how states may
elect to approach this issue. In that
guidance, EPA recommended that,
where a state can demonstrate that PM2.5
levels have remained below 140.4
micrograms per cubic meter, the state is
not required to develop a contingency
plan to satisfy element (G). EPA believes
that this is a reasonable interpretation of
the statute and addresses the PM2.5
NAAQS in a way analogous to other
NAAQS pollutants. PM2.5 monitoring
data from monitors across the state have
shown that 24-hour PM2.5 values have
never exceeded 140.4 micrograms per
cubic meter in Missouri. Therefore,
Missouri is not required to develop a
contingency plan for PM2.5 at this time.
That said, Missouri’s regulations
provide for contingency plans (or alert
plans) to be implemented if an area’s
Air Quality Alert value exceeds 200
micrograms per cubic meter. These
plans must include provisions for
reducing emissions, such as curtailing
production processes, diverting power
generation to facilities outside of the
alert area, and stoppage of waste
disposal practices or open burning.
Missouri rule 10 CSR 10–6.130(3)(D)4
‘‘Controlling Emissions During Episodes
of High Air Pollution Potential.’’
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Based on a review of these regulatory
requirements (which have previously
been approved by EPA as part of
Missouri’s SIP (see 50 FR 41348), and a
comparison of it to the requirements in
40 CFR 51.150–51.153, EPA believes
that the Missouri SIP adequately
addresses section 110(a)(2)(G) for the
1997 and 2006 PM2.5 NAAQS and is
proposing to approve the February 27,
2007, submission regarding the 1997
PM2.5 infrastructure SIP requirements
and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(H) Future SIP revisions: Section
110(a)(2)(H) requires states to have the
authority to revise their SIPs in response
to changes in the NAAQS, availability of
improved methods for attaining the
NAAQS, or in response to an EPA
finding that the SIP is substantially
inadequate to attain the NAAQS.
In addition to the MACC’s general
enabling authority in RsMO section
643.050 of the Air Conservation Law,
discussed previously in element (A),
section 643.055.1 grants the MACC and
MDNR authority to promulgate rules
and regulations to establish standards
and guidelines, to ensure that Missouri
complies with the provisions of the
Federal CAA. Missouri’s Chapter 1 state
rule ‘‘General Organization’’ (2) grants
similar powers to MDNR. This includes
the authority to submit SIP revisions to
the EPA for approval as necessary to
respond to a revised NAAQS and to
respond to EPA findings of substantial
inadequacy (e.g., 71 FR 46860, August
15, 2006), in which EPA approved
Missouri rules promulgated in response
to EPA’s NOX SIP call for Missouri and
other states).
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has adequate authority to
address section 110(a)(2)(H) for the 1997
and 2006 PM2.5 NAAQS and is
proposing to approve the February 27,
2007, submission regarding the 1997
PM2.5 infrastructure SIP requirements
and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(I) Nonattainment areas: Section
110(a)(2)(I) requires that in the case of
a plan or plan revision for areas
designated as nonattainment areas,
states must meet applicable
requirements of part D of the CAA,
relating to SIP requirements for
designated nonattainment areas.
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As noted earlier, EPA does not expect
infrastructure SIP submissions to
address subsection (I). The specific SIP
submissions for designated
nonattainment areas, as required under
CAA title I, part D, are subject to
different submission schedules than
those for section 110 infrastructure
elements. Instead, EPA will take action
on part D attainment plan SIP
submissions through a separate
rulemaking governed by the
requirements for nonattainment areas,
as described in part D.
(J) Consultation with government
officials, public notification, PSD and
visibility protection: Section 110(a)(2)(J)
requires SIPs to meet the applicable
requirements of the following CAA
provisions: (1) Section 121, relating to
interagency consultation regarding
certain CAA requirements; (2) section
127, relating to public notification of
NAAQS exceedances and related issues;
and (3) part C of the CAA, relating to
prevention of significant deterioration of
air quality and visibility protection.
(1) With respect to interagency
consultation, the SIP should provide a
process for consultation with generalpurpose local governments, designated
organizations of elected officials of local
governments, and any Federal Land
Manager having authority over Federal
land to which the SIP applies. Section
643.050.3 of the Missouri Air
Conservation Law requires the MACC to
consult and cooperate with other
Federal and state agencies, and with
political subdivisions, for the purpose of
prevention, abatement, and control of
air pollution. Missouri also has
appropriate interagency consultation
provisions in its preconstruction permit
program. For instance, Missouri rule 10
CSR 10–6.060(12)(B)2.E ‘‘Construction
Permits Required’’ requires that when a
permit goes out for public comment, the
permitting authority must provide
notice to local air pollution control
agencies, the chief executive of the city
and county where the installation or
modification would be located, any
comprehensive regional land use
planning agency, any state air program
permitting authority, and any Federal
Land Manager whose lands may be
affected by emissions from the
installation or modification.
(2) With respect to the requirements
for public notification in section 127,
the infrastructure SIP should provide
citations to regulations in the SIP
requiring the air agency to regularly
notify the public of instances or areas in
which any NAAQS are exceeded; advise
the public of the health hazard
associated with such exceedances; and
enhance public awareness of measures
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that can prevent such exceedances and
of ways in which the public can
participate in the regulatory and other
efforts to improve air quality. Missouri
rule 10 CSR 10–6.130 ‘‘Controlling
Emissions During Episodes of High Air
Pollution Potential,’’ discussed
previously in connection with the
state’s authority to address emergency
episodes, contains provisions for public
notification of elevated PM2.5 and other
air pollutant levels, and measures which
can be taken by the public to reduce
concentrations. In addition, information
regarding air pollution and related
issues, is provided on an MDNR Web
site, https://www.dnr.missouri.gov/env/
apcp/.
(3) With respect to the applicable
requirements of part C of the CAA,
relating to prevention of significant
deterioration of air quality and visibility
protection, we note in section VII of this
rulemaking how the Missouri SIP meets
the PSD requirements, incorporating the
federal rule by reference. With respect
to the visibility component of section
110(a)(2)(J), EPA recognizes that states
are subject to visibility and regional
haze program requirements under part C
of the CAA. However, when EPA
establishes or revises a NAAQS, these
visibility and regional haze
requirements under part C do not
change. EPA believes that there are no
new visibility protection requirements
under part C as a result of a revised
NAAQS. Therefore, there are no newly
applicable visibility protection
obligations pursuant to element J after
the promulgation of a new or revised
NAAQS. Missouri has submitted a SIP
revision to satisfy the requirements of
CAA sections 169A and 169B, and the
regional haze and BART rules contained
in 40 CFR 51.308. On June 7, 2012, EPA
published a final rulemaking regarding
Missouri’s regional haze program
consisting of a limited disapproval and
FIP (see 77 FR 33642). In addition, on
June 26, 2012, EPA published a final
rulemaking regarding Missouri’s
regional haze program consisting of a
limited approval (see 77 FR 38007). In
EPA’s view, the current status of
Missouri’s regional haze SIP as having
not been fully approved is not a bar to
full approval of the infrastructure SIP
submission with respect to the visibility
protection aspect of 110(a)(2)(J), and
EPA is proposing to fully approve the
infrastructure SIP for this aspect. While
EPA is not at this time proposing to
change the June 26, 2012, limited
approval or the June 7, 2012, limited
disapproval of Missouri’s regional haze
SIP itself, EPA expects to address the
approval status of the regional haze SIP
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upon final resolution of EME Homer
City.
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has met the applicable
requirements of section 110(a)(2)(J) for
the 1997 and 2006 PM2.5 NAAQS in the
state and is therefore proposing to
approve the February 27, 2007,
submission regarding the 1997 PM2.5
infrastructure SIP requirements and the
December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(K) Air quality and modeling/data:
Section 110(a)(2)(K) requires that SIPs
provide for performing air quality
modeling, as prescribed by EPA, to
predict the effects on ambient air quality
of any emissions of any NAAQS
pollutant, and for submission of such
data to EPA upon request.
Missouri has authority to conduct air
quality modeling and report the results
of such modeling to EPA. Section
643.050 of the Air Conservation Law
provides the MACC with the general
authority to develop a general
comprehensive plan to prevent, abate
and control air pollution. Along with
section 643.055, which grants the
MACC the authority to promulgate rules
and regulations to establish standards
and guidelines to ensure that Missouri
is in compliance with the provisions of
the CAA, EPA believes MDNR has the
authority to conduct modeling to
address NAAQS issues. As an example
of regulatory authority to perform
modeling for purposes of determining
NAAQS compliance, Missouri
regulation 10 CSR 10–6.060(12)(F)
‘‘Construction Permits Required’’
requires the use of EPA-approved air
quality models (e.g., those found in 40
CFR part 51, Appendix W) for
construction permitting. Rule 10 CSR
10–6.110(4) ‘‘Reporting & Emission
Data, Emission Fees, and Process
Information’’ requires specified sources
of air pollution to report emissions to
MDNR, which among other purposes
may be utilized in modeling analyses.
These data are available to any member
of the public, upon request (10 CSR 10–
6.110(3)(D)).
Based upon review of the state’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has the adequate infrastructure
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needed to address section 110(a)(2)(K)
for the 1997 and 2006 PM2.5 NAAQS
and is proposing to approve the
February 27, 2007, submission regarding
the 1997 PM2.5 infrastructure SIP
requirements and the December 28,
2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements
for this element.
(L) Permitting Fees: Section
110(a)(2)(L) requires SIPs to require
each major stationary source to pay
permitting fees to the permitting
authority, as a condition of any permit
required under the CAA, to cover the
cost of reviewing and acting upon any
application for such a permit, and, if the
permit is issued, the costs of
implementing and enforcing the terms
of the permit. The fee requirement
applies until a fee program established
by the state pursuant to Title V of the
CAA, relating to operating permits, is
approved by EPA.
Section 643.079 of the Air
Conservation Law provides authority for
MDNR to collect permit fees, including
Title V fees. EPA approved Missouri’s
Title V program in May 1997 (see 62 FR
26405). EPA is reviewing the Missouri
Title V program, including Title V fee
structure, separately from this proposed
action. Because the Title V program and
associated fees legally are not part of the
SIP, the infrastructure SIP action we are
proposing today does not preclude EPA
from taking future action regarding
Missouri’s Title V program.
Therefore, EPA believes that the
requirements of section 110(a)(2)(L) are
met and is proposing to approve the
February 27, 2007, submission regarding
the 1997 PM2.5 infrastructure SIP
requirements and the December 28,
2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements
for this element.
(M) Consultation/participation by
affected local entities: Section
110(a)(2)(M) requires SIPs to provide for
consultation and participation by local
political subdivisions affected by the
SIP.
Section 643.050.3 of the Air
Conservation Law requires that the
MACC encourage political subdivisions
to handle air pollution control problems
within their respective jurisdictions to
the extent possible and practicable, and
to provide assistance to those political
subdivisions. The MACC is also
required to advise, consult and
cooperate with other political
subdivisions in Missouri. RsMO section
643.140 provides the mechanism for
local political subdivisions to enact and
enforce their own air pollution control
regulations, subject to the oversight of
the MACC. The MDNR’s Air Pollution
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Control Program has a signed
Memorandum of Understanding (MOU)
with Kansas City and Springfield/
Greene County and a draft agreement
with St. Louis County (to be finalized)
which outlines the responsibilities for
air quality activities with each local
agency. In addition, MDNR participates
in community meetings and consults
with and participates in interagency
consultation groups such as the
Metropolitan Planning Organizations in
both Kansas City and St. Louis. In
Kansas City, MDNR works with the
Mid-America Regional Council and in
St. Louis, MDNR works with East-West
Gateway Coordinating Council of
Governments.
Based upon review of the State’s
infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and
relevant statutory and regulatory
authorities and provisions referenced in
those submissions or referenced in
Missouri’s SIP, EPA believes that
Missouri has the adequate infrastructure
needed to address section 110(a)(2)(M)
for the 1997 and 2006 PM2.5 NAAQS
and is proposing to approve the
February 27, 2007, submission regarding
the 1997 PM2.5 infrastructure SIP
requirements and the December 28,
2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements
for this element.
VI. What are the requirements of the
PM2.5 PSD Increment-SILs-SMC rule for
PSD SIP programs?
The 2010 PM2.5 Increment-SILs-SMC
Rule provided additional regulatory
requirements under the PSD SIP
program regarding the implementation
of the PM2.5 NAAQS (75 FR 64864). As
a result, the rule required states to
submit SIP revisions to adopt the
required PSD increments by July 20,
2012 (75 FR 64864). Specifically, the
rule required a state’s submitted PSD
SIP revision to adopt and submit for
EPA approval the PM2.5 increments
pursuant to section 166(a) of the CAA to
prevent significant deterioration of air
quality in areas meeting the NAAQS.
That rule also permitted states, at
their discretion, to choose to adopt and
submit for EPA approval into the SIP
SILs, used as a screening tool (by a
major source subject to PSD), to evaluate
the impact a proposed major source or
modification may have on the NAAQS
or PSD increment; and a SMC (also a
screening tool), used by a major source
subject to PSD to determine the
subsequent level of data gathering
required for a PSD permit application
for emissions of PM2.5. More detail on
the PM2.5 PSD Increment-SILs-SMC Rule
can be found at 75 FR 64864. In regards
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to the SILs and SMC provisions of the
2010 PM2.5 rule, on January 22, 2013,
the U.S. Court of Appeals for the District
of Columbia, in Sierra Club v. EPA, No.
10–1413 (filed Dec. 17. 2010), issued a
judgment that, inter alia, vacated and
remanded the provisions concerning
implementation of the PM2.5 SILs and
vacated the provisions adding the PM2.5
SMC that were promulgated as part of
the 2010 PM2.5 PSD Rule.
Accordingly, the only remaining
requirements from the 2010 rule are the
PM2.5 increment and associated
provisions discussed below. Under
section 165(a)(3) of the CAA, a PSD
permit applicant must demonstrate that
emissions from the proposed
construction and operation of a facility
‘‘will not cause, or contribute to, air
pollution in excess of any maximum
allowable increase or allowable
concentration for any pollutant.’’ In
other words, when a source applies for
a PSD SIP permit to emit a regulated
pollutant in an attainment or
unclassifiable area, the permitting
authority implementing the PSD SIP
must determine if emissions of the
regulated pollutant from the source will
cause significant deterioration in air
quality. Significant deterioration occurs
when the amount of the new pollution
exceeds the applicable PSD increment,
which is the ‘‘maximum allowable
increase’’ of an air pollutant allowed to
occur above the applicable baseline
concentration 14 for that pollutant. PSD
increments prevent air quality in
attainment and unclassifiable areas from
deteriorating up to or beyond the level
set by the NAAQS. Therefore, an
increment is the mechanism used to
estimate ‘‘significant deterioration’’ of
air quality for a pollutant in an area.
For PSD baseline purposes, a baseline
area for a particular pollutant emitted
from a source includes the attainment or
unclassifiable/attainment area in which
the source is located, as well as any
other attainment or unclassifiable/
attainment area in which the source’s
emissions of that pollutant are projected
(by air quality modeling) to result in an
ambient pollutant increase of at least 1
ug/m3 (annual average) (40 CFR
51.166(b)(15)(i) and (ii)). Under EPA’s
existing regulations, the establishment
of a baseline area for any PSD increment
results from the submission of the first
complete PSD permit application after a
trigger date (which for PM2.5 is defined
as October 20, 2011, by regulation) and
is based on the location of the proposed
14 Section 169(4) of the CAA provides that the
baseline concentration of a pollutant for a particular
baseline area is generally the same air quality at the
time of the first application for a PSD permit in the
area.
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source and its emissions impact on the
area. Once the baseline area is
established, subsequent PSD sources
locating in that area must consider that
a portion of the available increment may
have already been consumed by
previous emissions increases. In
general, the submittal date of the first
complete PSD permit application in a
particular area is the operative ‘‘baseline
date.’’ 15 On or before the date of the
first complete PSD application,
emissions generally are considered to be
part of the baseline concentration,
except for certain emissions from major
stationary sources. Most emissions
increases that occur after the baseline
date will be counted toward the amount
of increment consumed. Similarly,
emissions decreases after the baseline
date restore or expand the amount of
increment that is available (see 75 FR
64864). As described in the PM2.5 PSD
Increment-SILs-SMC rule, pursuant to
the authority under section 166(a) of the
CAA, EPA promulgated numerical
increments for PM2.5 as a new
pollutant 16 for which the NAAQS were
established after August 7, 1977,17 and
derived 24-hour and annual PM2.5
increments for the three area
classifications (Class I, II and III) using
the ‘‘contingent safe harbor’’ approach
(75 FR at 64869, and table at 40 CFR
51.166(c)(1)).
In addition to PSD increments for the
2006 PM2.5 NAAQS, the PM2.5 PSD
Increment-SILs-SMC rule amended the
definition at 40 CFR 51.166 and 40 CFR
52.21 for ‘‘major source baseline date’’
and ‘‘minor source baseline date’’ to
establish the PM2.5 NAAQS specific
dates (including trigger dates) associated
with the implementation of PM2.5 PSD
increments. See the PSD IncrementSILs-SMC rule for a more detailed
discussion on the amendments to these
definitions (75 FR 64864). In accordance
with section 166(b) of the CAA, EPA
required the states to submit revised
implementation plans adopting the
15 Baseline dates are pollutant specific. That is, a
complete PSD application establishes the baseline
date only for those regulated NSR pollutants that
are projected to be emitted in significant amounts
(as defined in the regulations) by the applicant’s
new source or modification. Thus, an area may have
different baseline dates for different pollutants.
16 EPA generally characterized the PM
2.5 NAAQS
as a NAAQS for a new indicator of PM. EPA did
not replace the PM10 NAAQs with the NAAQS for
PM2.5 when the PM2.5 NAAQS were promulgated in
1997. Rather, EPA retained the annual and 24-hour
NAAQS for PM10 as if PM2.5 was a new pollutant
even though EPA had already developed air quality
criteria for PM generally. 75 FR 64864.
17 EPA interprets 166(a) to authorize EPA to
promulgate pollutant-specific PSD regulations
meeting the requirements of section 166(c) and
166(d) for any pollutant for which EPA promulgates
a NAAQS after 1977.
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PM2.5 PSD increments to EPA for
approval within twenty one months
from promulgation of the final rule (i.e.,
by July 20, 2012). Each state was
responsible for determining how
increment consumption and the setting
of the minor source baseline date for
PM2.5 would occur under its own PSD
program. Regardless of when a state
begins to require PM2.5 increment
analysis and how it chooses to set the
PM2.5 minor source baseline date, the
emissions from sources subject to PSD
for PM2.5 for which construction
commenced after October 20, 2010
(major source baseline date) consume
the PM2.5 increment and therefore
should be included in the increment
analyses occurring after the minor
source baseline date is established for
an area under the state’s revised PSD
SIP program.
VII. How does the September 5, 2012
Missouri PSD submission satisfy the
PM2.5 PSD Increment-SILs-SMC Rule?
To address the requirements of EPA’s
October 20, 2010, PM2.5 PSD IncrementSILs-SMC Rule, Missouri submitted a
SIP revision received by EPA on
September 5, 2012, which updated its
PSD rules to establish the allowable
PM2.5 increments, the optional screening
tools (SILs), and significant monitoring
concentrations (SMCs). On March 19,
2013, Missouri amended and clarified
its submission so that it was no longer
intending to include specific provisions
relating to the SILs and SMC affected by
the January 22, 2013, court decision
referenced above. Therefore, in today’s
action, EPA is proposing to approve
portions of the SIP revision which adopt
PSD increments for the PM2.5 annual
and 24-hour NAAQS pursuant to
section 166(a) of the CAA only. Our
analysis of the SIP revision follows.
Specifically, regarding the PSD
increments, the submitted SIP revision
changes include: (1) The PM2.5
increments as promulgated at 40 CFR
51.166(c)(1) and (p)(4) (for Class I
variances) and (2) amendments to the
terms ‘‘major source baseline date’’ (at
40 CFR 51.166(b)(14)(i)(c)) and 40 CFR
52.21(b)(14)(i)(c)), ‘‘minor source
baseline date’’(including establishment
of the ‘‘trigger date’’) and ‘‘baseline
area’’ (as amended at 40 CFR
51.166(b)(15)(i) and (ii) and 40 CFR
52.21(b)(15)(i)). In the September 5,
2012, SIP revision, Missouri
incorporates by reference into the SIP
the particular definitions from 40 CFR
part 51 as referenced above through July
1, 2011. Missouri updated Table 1—
Ambient Air Increment Table to adopt
the increments as described above in
Class I, II, and III areas. Missouri has
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also updated Table 2—Significant
Monitoring Concentrations for PM2.5
and Table 4 Significant Levels for PM2.5.
As described under element C in
section V of this rulemaking, states had
an obligation to address condensable
PM emissions as a part of the 2008 PM2.5
NSR implementation rule. In Missouri’s
SIP submission from September 5, 2012,
Missouri incorporated by reference
EPA’s definition for regulated NSR
pollutant (formerly at 40 CFR
51.166(b)(49)(vi)), including the term
‘‘particulate matter emissions,’’ as
inadvertently promulgated in the 2008
NSR Rule. EPA is, however, proposing
to approve into the Missouri SIP the
requirement that condensable PM be
accounted for in applicability
determinations and in establishing
emissions limitations for PM2.5 and
PM10 because it is more stringent than
the Federal requirement. Missouri can
choose to initiate further rulemaking to
ensure consistency with Federal
requirements.
In today’s action, EPA is proposing to
approve Missouri’s September 5, 2012,
revision to address the PM2.5 PSD
increment provisions promulgated in
the PM2.5 PSD Increments SILs-SMC
rule and the obligation to address
condensable PM emissions as a part of
the 2008 PM2.5 NSR implementation
rule except as identified in Missouri’s
letter where Missouri amended and
clarified its submission so that it was no
longer intending to include specific
provisions relating to the SILs and SMC
affected by the January 22, 2013, court
decision referenced above. As noted in
EPA’s April 16, 2012, final action on
Missouri’s PSD program (77 FR 22500),
provisions of the incorporated 2002
NSR reform rule relating to the Clean
Unit Exemption, Pollution Control
Projects (PCPs), and exemption from the
recordkeeping provisions for certain
sources using the actual-to-projectedactual emissions projections test are not
SIP approved because in 2005 the DC
Circuit Court vacated portions of the
rule pertaining to clean units, PCPs, and
remanded portions of the rule regarding
recordkeeping. In addition, EPA did not
approve Missouri’s rule incorporating
EPA’s 2007 revision of the definition of
‘‘chemical processing plants’’ (the
‘‘Ethanol Rule,’’) (72 FR 24060, May 1,
2007) or EPA’s 2008 ‘‘fugitive emissions
rule’’ (73 FR 77882, December 19, 2008).
Otherwise, Missouri’s revisions also
incorporate by reference the other
provisions of 40 CFR 52.21 as in effect
on July 1, 2011.
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VIII. What are the additional
provisions of the September 5, 2012,
SIP submission that EPA is proposing to
take action on?
Within Missouri’s September 5, 2012,
SIP submission, Missouri amended rule
10 CSR 10–6.060 ‘‘Construction Permits
Required’’ to defer the application of the
PSD permitting requirements to carbon
dioxide emissions from bioenergy and
other biogenic stationary sources
pursuant to the July 20, 2011, EPA final
rulemaking ‘‘Deferral for Carbon
Dioxide (CO2) Emissions from Bioenergy
and other Biogenic Sources Under the
Prevention of Significant Deterioration
(PSD) and Title V Programs’’ (see 76 FR
43490). The Biomass Deferral delays
until July 21, 2014, the consideration of
CO2 emissions from bioenergy and other
biogenic sources (hereinafter referred to
as ‘‘biogenic CO2 emissions’’) when
determining whether a stationary source
meets the PSD and Title V applicability
thresholds, including those for the
application of Best Available Control
Technology (BACT). Stationary sources
that combust biomass (or otherwise emit
biogenic CO2 emissions) and construct
or modify during the deferral period
will avoid the application of PSD to the
biogenic CO2 emissions resulting from
those actions. The deferral applies only
to biogenic CO2 emissions and does not
affect non-GHG pollutants or other
GHG’s (e.g., methane (CH4) and nitrous
oxide (N2O)) emitted from the
combustion of biomass fuel. Also, the
deferral only pertains to biogenic CO2
emissions in the PSD and Title V
programs and does not pertain to any
other EPA programs such as the GHG
Reporting Program. Biogenic CO2
emissions are defined as emissions of
CO2 from a stationary source directly
resulting from the combustion or
decomposition of biologically-based
materials other than fossil fuels and
mineral sources of carbon. Examples of
‘‘biogenic CO2 emissions’’ include, but
are not limited to:
• CO2 generated from the biological
decomposition of waste in landfills,
wastewater treatment or manure
management processes;
• CO2 from the combustion of biogas
collected from biological decomposition
of waste in landfills, wastewater
treatment or manure management
processes;
• CO2 from fermentation during
ethanol production or other industrial
fermentation processes;
• CO2 from combustion of the
biological fraction of municipal solid
waste or biosolids;
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• CO2 from combustion of the
biological fraction of tire-derived fuel;
and
• CO2 derived from combustion of
biological material, including all types
of wood and wood waste, forest residue,
and agricultural material.
EPA recognizes that use of certain
types of biomass can be part of the
national strategy to reduce dependence
on fossil fuels. Efforts are underway at
the Federal, state and regional level to
foster the expansion of renewable
resources and promote bioenergy
projects when they are a way to address
climate change, increase domestic
alternative energy production, enhance
forest management and create related
employment opportunities.
For stationary sources co-firing fossil
fuel and biologically-based fuel, and/or
combusting mixed fuels (e.g., tire
derived fuels, municipal solid waste
(MSW)), the biogenic CO2 emissions
from that combustion are included in
the biomass deferral. However, the fossil
fuel CO2 emissions are not. Emissions of
CO2 from processing of mineral
feedstocks (e.g., calcium carbonate) are
also not included in the deferral.
Various methods are available to
calculate both the biogenic and fossil
fuel portions of CO2 emissions,
including those methods contained in
the GHG Reporting Program (40 CFR
part 98). Consistent with the other
pollutants in PSD and Title V, there are
no requirements to use a particular
method in determining biogenic and
fossil fuel CO2 emissions.
EPA’s final biomass deferral rule is an
interim deferral for biogenic CO2
emissions only and does not relieve
sources of the obligation to meet the
PSD and Title V permitting
requirements for other pollutant
emissions that are otherwise applicable
to the source during the deferral period
or that may be applicable to the source
at a future date pending the results of
EPA’s study and subsequent rulemaking
action. This means, for example, that if
the deferral is applicable to biogenic
CO2 emissions from a particular source
during the three-year effective period
and the study and potential future
rulemaking do not provide for a
permanent exemption from PSD and
Title V permitting requirements for the
biogenic CO2 emissions from a source
with particular characteristics, then the
deferral would end for that type of
source and its biogenic CO2 emissions
would have to be appropriately
considered in any applicability
determinations that the source may
need to conduct for future stationary
source permitting purposes, consistent
with the potential subsequent
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rulemaking and the Final Tailoring Rule
(e.g., a major source determination for
Title V purposes or a major modification
determination for PSD purposes).
EPA also wishes to clarify that we do
not require that a PSD permit issued
during the deferral period be amended
or that any PSD requirements in a PSD
permit existing at the time the deferral
took effect, such as BACT limitations, be
revised or removed from an effective
PSD permit for any reason related to the
deferral or when the deferral period
expires. The regulation at 40 CFR
52.21(w) requires that any PSD permit
shall remain in effect, unless and until
it expires or it is rescinded, under the
limited conditions specified in that
provision. Thus, a PSD permit that is
issued to a source while the deferral was
effective need not be reopened or
amended if the source is no longer
eligible to exclude its biogenic CO2
emissions from PSD applicability after
the deferral expires. However, if such a
source undertakes a modification that
could potentially require a PSD permit
and the source is not eligible to
continue excluding its biogenic CO2
emissions after the deferral expires, the
source will need to consider its biogenic
CO2 emissions in assessing whether it
needs a PSD permit to authorize the
modification.
Any future actions to modify, shorten,
or make permanent the deferral for
biogenic sources are beyond the scope
of the biomass deferral action and this
proposed approval of the deferral into
the Missouri SIP, and will be addressed
through subsequent rulemaking. The
results of EPA’s review of the science
related to net atmospheric impacts of
biogenic CO2 and the framework to
properly account for such emissions in
Title V and PSD permitting programs
based on the study are prospective and
unknown. Thus, we are unable to
predict which biogenic CO2 sources, if
any, currently subject to the deferral as
incorporated into the Missouri SIP
could be subject to any permanent
exemptions, or which currently deferred
sources could be potentially required to
account for their emissions.
Similar to our approach with the
Tailoring Rule, EPA incorporated the
biomass deferral into the regulations
governing state programs and into the
Federal PSD program by amending the
definition of ‘‘subject to regulation’’
under 40 CFR sections 51.166 and 40
CFR 52.21 respectively. Missouri
implements its PSD program by
incorporating section 52.21 by reference
in its rule 10 CSR 10–6.060
‘‘Construction Permits Required.’’ The
Missouri submission incorporates by
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reference the CFR through July 1, 2011,
in order to adopt the Biomass Deferral.
Based upon EPA’s analysis of the
required provisions of the July 20, 2011,
Biomass Deferral rule and how Missouri
meets these requirements, EPA is
proposing to approve the September 5,
2012, Missouri SIP revision
incorporating the Biomass Deferral.
IX. What action is EPA proposing?
EPA proposes to approve the
infrastructure SIP submissions from
Missouri which address the
requirements of CAA sections 110 (a)(1)
and (2) as applicable to the 1997 and
2006 NAAQS for PM2.5. Based upon
review of the State’s infrastructure SIP
submissions for the 1997 and 2006
PM2.5 NAAQS, and relevant statutory
and regulatory authorities and
provisions referenced in those
submissions or referenced in Missouri’s
SIP, EPA believes that Missouri has the
infrastructure to address all applicable
required elements of sections 110(a)(1)
and(2) (except otherwise noted) to
ensure that the 1997 and 2006 PM2.5
NAAQS are implemented in the state.
In addition, EPA proposes to approve
two additional SIP submissions from
Missouri, one addressing the Prevention
of Significant Deterioration (PSD)
program in Missouri as it relates to
PM2.5 (unless otherwise noted), and
another SIP revision addressing the
requirements of section 128 of the CAA,
both of which support the requirements
associated with infrastructure SIPs.
We are hereby soliciting comment on
this proposed action. Final rulemaking
will occur after consideration of any
comments.
X. Statutory and Executive Order
Review
Under the CAA, the Administrator is
required to approve a SIP submission
that complies with the provisions of the
CAA and applicable Federal regulations.
42 U.S.C. 7410(k); 40 CFR 52.02(a).
Thus, in reviewing SIP submissions,
EPA’s role is to approve state choices,
provided that they meet the criteria of
the CAA. Accordingly, this action
merely approves state law as meeting
Federal requirements and does not
impose additional requirements beyond
those imposed by state law. For that
reason, this proposed action:
• Is not a ‘‘significant regulatory
action’’ subject to review by the Office
of Management and Budget under
Executive Order 12866 (58 FR 51735,
October 4, 1993);
• does not impose an information
collection burden under the provisions
of the Paperwork Reduction Act (44
U.S.C. 3501 et seq.);
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• is certified as not having a
significant economic impact on a
substantial number of small entities
under the Regulatory Flexibility Act (5
U.S.C. 601 et seq.);
• does not contain any unfunded
mandate or significantly or uniquely
affect small governments, as described
in the Unfunded Mandates Reform Act
of 1995 (Pub. L. 104–4);
• does not have Federalism
implications as specified in Executive
Order 13132 (64 FR 43255, August 10,
1999);
• is not an economically significant
regulatory action based on health or
safety risks subject to Executive Order
13045 (62 FR 19885, April 23, 1997);
• is not a significant regulatory action
subject to Executive Order 13211 (66 FR
28355, May 22, 2001);
• is not subject to requirements of
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (15 U.S.C. 272 note) because
application of those requirements would
be inconsistent with the CAA; and
• does not provide EPA with the
discretionary authority to address, as
appropriate, disproportionate human
health or environmental effects, using
practicable and legally permissible
methods, under Executive Order 12898
(59 FR 7629, February 16, 1994).
In addition, this rule does not have
Tribal implications as specified by
Executive Order 13175 (65 FR 67249,
November 9, 2000), because the SIP is
not approved to apply in Indian country
located in the state, and EPA notes that
it will not impose substantial direct
costs on tribal governments or preempt
tribal law.
Statutory Authority
The statutory authority for this action
is provided by Section 110 of the CAA,
as amended (42 U.S.C. 7410).
List of Subjects in 40 CFR Part 52
Environmental protection, Air
pollution control, Incorporation by
reference, Intergovernmental relations,
Ozone, Particulate matter, Reporting
and recordkeeping requirements.
Dated: March 29, 2013.
Karl Brooks,
Regional Administrator, Region 7.
[FR Doc. 2013–08399 Filed 4–9–13; 8:45 am]
BILLING CODE 6560–50–P
E:\FR\FM\10APP1.SGM
10APP1
Agencies
[Federal Register Volume 78, Number 69 (Wednesday, April 10, 2013)]
[Proposed Rules]
[Pages 21281-21295]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-08399]
=======================================================================
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 52
[EPA-R07-OAR-2013-0208; FRL-9800-5]
Approval and Promulgation of Implementation Plans; State of
Missouri; Infrastructure SIP Requirements for the 1997 and 2006 Fine
Particulate Matter National Ambient Air Quality Standards
AGENCY: Environmental Protection Agency (EPA).
ACTION: Proposed rule.
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SUMMARY: EPA is proposing action on four Missouri State Implementation
Plan (SIP) submissions. First, EPA is proposing to approve portions of
two SIP submissions from the State of Missouri addressing the
applicable requirements of Clean Air Act (CAA) for the 1997 and 2006
National Ambient Air Quality Standards (NAAQS) for fine particulate
matter (PM2.5). The CAA requires that each state adopt and
submit a SIP to support implementation, maintenance, and enforcement of
each new or revised NAAQS promulgated by EPA. These SIPs are commonly
referred to as ``infrastructure'' SIPs. The infrastructure requirements
are designed to ensure that the structural components of each state's
air quality management program are adequate to meet the state's
responsibilities under the CAA. EPA is also proposing to approve two
additional SIP submissions from Missouri, one addressing the Prevention
of Significant Deterioration (PSD) program in Missouri, and another
addressing the requirements applicable to any board or body which
approves permits or enforcement orders of the CAA, both of which
support requirements associated with infrastructure SIPs.
DATES: Comments must be received on or before May 10, 2013.
ADDRESSES: Submit your comments, identified by Docket ID No. EPA-R07-
OAR-2013-0208, by one of the following methods:
1. https://www.regulations.gov. Follow the on-line instructions for
submitting comments.
2. Email: bhesania.amy@epa.gov.
3. Mail: Ms. Amy Bhesania, Air Planning and Development Branch,
U.S. Environmental Protection Agency, Region 7, Air and Waste
Management Division, 11201 Renner Boulevard, Lenexa, Kansas 66219.
4. Hand Delivery or Courier: Deliver your comments to Ms. Amy
Bhesania, Air Planning and Development Branch,
[[Page 21282]]
U.S. Environmental Protection Agency, Region 7, Air and Waste
Management Division, 11201 Renner Boulevard, Lenexa, Kansas 66219.
Instructions: Direct your comments to Docket ID No. EPA-R07-OAR-
2013-0208. EPA's policy is that all comments received will be included
in the public docket without change and may be made available online at
https://www.regulations.gov, including any personal information
provided, unless the comment includes information claimed to be
Confidential Business Information (CBI) or other information whose
disclosure is restricted by statute. Do not submit through https://www.regulations.gov or email information that you consider to be CBI or
otherwise protected. The https://www.regulations.gov Web site is an
``anonymous access'' system, which means EPA will not know your
identity or contact information unless you provide it in the body of
your comment. If you send an email comment directly to EPA without
going through https://www.regulations.gov, your email address will be
automatically captured and included as part of the comment that is
placed in the public docket and made available on the Internet. If you
submit an electronic comment, EPA recommends that you include your name
and other contact information in the body of your comment and with any
disk or CD-ROM you submit. If EPA cannot read your comment due to
technical difficulties and cannot contact you for clarification, EPA
may not be able to consider your comment. Electronic files should avoid
the use of special characters, any form of encryption, and should be
free of any defects or viruses.
Docket: All documents in the electronic docket are listed in the
https://www.regulations.gov index. Although listed in the index, some
information is not publicly available, i.e., CBI or other information
whose disclosure is restricted by statute. Certain other material, such
as copyrighted material, will be publicly available only in hard copy.
Publicly available docket materials are available either electronically
at https://www.regulations.gov or in hard copy at U.S. Environmental
Protection Agency, Region 7, 11201 Renner Boulevard, Lenexa, Kansas
66219 from 8:00 a.m. to 4:30 p.m., Monday through Friday, excluding
legal holidays. The interested persons wanting to examine these
documents should make an appointment with the office at least 24 hours
in advance.
FOR FURTHER INFORMATION CONTACT: Ms. Amy Bhesania, Air Planning and
Development Branch, U.S. Environmental Protection Agency, Region 7,
11201 Renner Boulevard, Lenexa, KS 66219; telephone number: (913) 551-
7147; fax number: (913) 551-7065; email address: bhesania.amy@epa.gov.
Supplementary Information: Throughout this document whenever ``we,''
``us,'' or ``our'' is used, we refer to EPA. This section provides
additional information by addressing the following questions:
I. What is being addressed in this document?
II. What is a section 110(a)(1) and (2) infrastructure SIP?
III. What elements are applicable under sections 110(a)(1) and (2)?
IV. What is the scope of this rulemaking as it relates to
infrastructure SIPs?
V. What is EPA's evaluation of how the state addressed the relevant
elements of sections 110(a)(1) and (2)?
VI. What are the requirements of the PM2.5 PSD Increment-
SILs-SMC Rule for PSD SIP Programs?
VII. How Does the September 5, 2012 Missouri PSD submission satisfy
the PM2.5 PSD Increment-SILs-SMC rule?
VIII. What are the additional provisions of the September 5, 2012
SIP submission that EPA is proposing to take action on?
IX. What action is EPA proposing?
X. Statutory and Executive Order Review
I. What is being addressed in this document?
In today's proposed rulemaking, EPA is proposing action on four
Missouri SIP submissions. EPA received the first submission on February
27, 2007, addressing the infrastructure SIP requirements relating to
the 1997 PM2.5 NAAQS. EPA received the second submission on
December 28, 2009, addressing the infrastructure SIP requirements
relating to the 2006 PM2.5 NAAQS. In a previous action EPA
approved section 110(a)(2)(D)(i)(I) and (II)--Interstate and
international transport requirements of Missouri's February 27, 2007,
SIP submission for the 1997 PM2.5 NAAQS (72 FR 25975, May 8,
2007); and EPA disapproved section 110(a)(2)(D)(i)(I)--Interstate and
international transport requirements of Missouri's December 28, 2009,
SIP submission for the 2006 PM2.5 NAAQS (76 FR 43156, July
20, 2011). Therefore, in today's action, we are not proposing to act on
these portions since they have already been acted upon by EPA. If EPA
takes final action as proposed, we will have acted on both the February
27, 2007, and the December 28, 2009, submissions in their entirety
excluding those provisions that are not within the scope of today's
rulemaking as identified in section IV for both the 1997 and 2006
PM2.5 infrastructure SIP submissions.
The third submission was received by EPA on September 5, 2012. This
submission revises Missouri's rule in Title 10, Division 10, Chapter
6.060 of the Code of State Regulations (CSR) (10 CSR 10-6.060)
``Construction Permits Required'' to implement certain elements of the
``Prevention of Significant Deterioration (PSD) for Particulate Matter
Less Than 2.5 Micrometers (PM2.5)--Increments, Significant
Impact Levels (SILs) and Significant Monitoring Concentration (SMC)''
rule (75 FR 64864, October 20, 2010). In addition, this rule amendment
defers the application of PSD permitting requirements to carbon dioxide
emissions from bioenergy and other biogenic stationary sources.
EPA received the fourth submission on August 8, 2012. This
submission addresses the conflict of interest provisions in section 128
of the CAA as it relates to infrastructure SIPs described in element E
below.
II. What is a section 110(a)(1) and (2) infrastructure SIP?
Section 110(a)(1) of the CAA requires, in part, that states make a
SIP submission to EPA to implement, maintain and enforce each of the
NAAQS promulgated by EPA after reasonable notice and public hearings.
Section 110(a)(2) includes a list of specific elements that such
infrastructure SIP submissions must address. SIPs meeting the
requirements of sections 110(a)(1) and (2) are to be submitted by
states within three years after promulgation of a new or revised NAAQS.
These SIPs submissions are commonly referred to as ``infrastructure''
SIPs.
III. What elements are applicable under sections 110(a)(1) and (2)?
On October 2, 2007, EPA issued guidance to address infrastructure
SIP elements required under sections 110(a)(1) and (2) for the 1997 8-
hour ozone and PM2.5 NAAQS.\1\ On September 25, 2009, EPA
issued guidance to address infrastructure SIP elements required under
sections 110(a)(1) and (2) for the 2006 24-hour PM2.5
NAAQS.\2\ EPA will address these
[[Page 21283]]
elements below under the following headings: (A) Emission limits and
other control measures; (B) Ambient air quality monitoring/data system;
(C) Program for enforcement of control measures (PSD, New Source Review
for nonattainment areas, and construction and modification of all
stationary sources); (D) Interstate and international transport \3\;
(E) Adequate authority, resources, implementation, and oversight; (F)
Stationary source monitoring system; (G) Emergency authority; (H)
Future SIP revisions; (I) Nonattainment areas; (J) Consultation with
government officials, public notification, prevention of significant
deterioration (PSD), and visibility protection; (K) Air quality and
modeling/data; (L) Permitting fees; and (M) Consultation/participation
by affected local entities.
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\1\ William T. Harnett, Director, Air Quality Policy Division,
Office of Air Quality Planning and Standards, ``Guidance on SIP
Elements Required Under Sections 110(a)(1) and (2) for the 1997 8-
hour Ozone and PM2.5 National Ambient Air Quality
Standards,'' Memorandum to EPA Air Division Directors, Regions I-X,
October 2, 2007 (2007 Memo).
\2\ William T. Harnett, Director, Air Quality Policy Division,
Office of Air Quality Planning and Standards, ``Guidance on SIP
Elements Required Under Sections 110(a)(1) and (2) for the 2006 24-
Hour Fine Particle (PM2.5) National Ambient Air Quality
Standards (NAAQS),'' Memorandum to EPA Regional Air Division
Directors, Regions I-X, September 25, 2009 (2009 Memo).
\3\ Section 110(a)(2)(D)(i) includes four requirements referred
to as prongs 1 through 4. Prongs 1 and 2 are provided at section
110(a)(2)(D)(i)(I); Prongs 3 and 4 are provided at section
110(a)(2)(D)(i)(II).
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IV. What is the scope of this rulemaking as it relates to
infrastructure SIPs?
The applicable infrastructure SIP requirements are contained in
sections 110(a)(1) and (2) of the CAA. EPA is proposing action on each
of the requirements of section 110(a)(2)(A) through section
110(a)(2)(M), as applicable, except for the elements detailed in the
following paragraphs.
This rulemaking will not cover four substantive issues that are not
integral to acting on a state's infrastructure SIP submission: (i)
Existing provisions related to excess emissions during periods of
start-up, shutdown, or malfunction at sources, that may be contrary to
the CAA and EPA's policies addressing such excess emissions (``SSM'');
(ii) existing provisions related to ``director's variance'' or
``director's discretion'' that purport to permit revisions to SIP
approved emissions limits with limited public process or without
requiring further approval by EPA, that may be contrary to the CAA
(``director's discretion''); (iii) existing provisions for minor source
New Source Review (NSR) programs that may be inconsistent with the
requirements of the CAA and EPA's regulations that pertain to such
programs (``minor source NSR''); and, (iv) existing provisions for PSD
programs that may be inconsistent with current requirements of EPA's
December 31, 2002, ``Final NSR Improvement Rule'' (67 FR 80186), as
amended by the ``NSR Reform'' final rulemaking on June 13, 2007 (72 FR
32526). Instead, EPA has indicated that it has other authority to
address any such existing SIP defects in other rulemakings, as
appropriate. A detailed rationale for why these four substantive issues
are not part of the scope of infrastructure SIP rulemakings can be
found at 76 FR 41075, 41076-41079 (July 13, 2011). See also 77 FR
38239, 38240-38243 (June 27, 2012); and 77 FR 46361, 46362-46365
(August 3, 2012).
In addition to the four substantive areas above, EPA is not acting
in this action on section 110(a)(2)(I)--Nonattainment Area Plan or Plan
Revisions Under Part D and on the visibility protection portion of
section 110(a)(2)(J). A detailed rationale for not acting on elements
of these requirements is discussed within each applicable section of
this rulemaking. As described above in section I, EPA is also not
acting on portions of section 110(a)(2)(D)(i)--Interstate and
international transport as final actions have already been taken on
portions of this element for both the Missouri 1997 and 2006
PM2.5 infrastructure SIP submissions.
Finally, as part of this action, EPA is evaluating the state's
compliance with the new PSD requirements promulgated in the
``Implementation of New Source Review (NSR) Program for Particulate
Matter Less Than 2.5 Micrometers (PM2.5).'' (73 FR 28321,
May 16, 2008) and the PM2.5 Increment, SILs and SMC rule (75
FR 64864, October 20, 2010). Regarding the May 16, 2008 rule, on
January 4, 2013, the U.S. Court of Appeals in the District of Columbia,
in Natural Resources Defense Council v. EPA, 706 F.3d 428 (D.C. Cir.),
issued a judgment that remanded two of EPA's rules implementing the
1997 PM2.5 NAAQS, including the 2008 rule. The Court ordered
EPA to ``repromulgate these rules pursuant to Subpart 4 consistent with
this opinion.'' Id. at 437. Subpart 4 of part D, Title 1 of the CAA
establishes additional provisions for particulate matter nonattainment
areas. The 2008 implementation rule addressed by the Court's decision
promulgated NSR requirements for implementation of PM2.5 in
both nonattainment areas (nonattainment NSR) and attainment/
unclassifiable areas (PSD). As the requirements of subpart 4 only
pertain to nonattainment areas, EPA does not consider the portions of
the 2008 rule that address requirements for PM2.5 attainment
and unclassifiable areas to be affected by the Court's opinion.
Moreover, EPA does not anticipate the need to revise any PSD
requirements promulgated in the 2008 rule in order to comply with the
Court's decision. Accordingly, EPA's approval of Missouri's
infrastructure SIP as to Elements (C), (D)(i)(II), and (J), with
respect to the PSD requirements promulgated by the 2008 implementation
rule, does not conflict with the Court's opinion.
The Court's decision with respect to the nonattainment NSR
requirements promulgated by the 2008 implementation rule also does not
affect EPA's action on the present infrastructure SIP submission. As
described above, EPA interprets the Act to exclude nonattainment area
requirements, including requirements associated with a nonattainment
NSR program, from infrastructure SIP submissions due three years after
adoption or revision of a NAAQS. Instead, these elements are typically
referred to as nonattainment SIP or attainment plan elements, which
states must submit by the dates statutorily prescribed under part D
within subparts 2 through 5, extending as far as ten years following
designations for some elements. Given these separate applicable SIP
submission dates, EPA concludes that these specific requirements are
outside the scope of the infrastructure SIPs.
V. What is EPA's evaluation of how the state addressed the relevant
elements of sections 110(a)(1) and (2)?
On July 18, 1997, EPA promulgated new PM2.5 primary and
secondary NAAQS (62 FR 38652). On October 17, 2006, EPA made further
revisions to the primary and secondary NAAQS for PM2.5 (71
FR 61144). On February 27, 2007, EPA Region 7 received Missouri's
infrastructure SIP submission for the 1997 PM2.5 standard.
EPA determined this SIP submission complete on March 27, 2007. On
December 28, 2009, EPA Region 7 received Missouri's infrastructure SIP
submission for the 2006 PM2.5 standard. This SIP submission
became complete as a matter of law on June 28, 2010. EPA has reviewed
both of Missouri's infrastructure SIP submissions and the relevant
statutory and regulatory authorities and provisions referenced in those
submissions or referenced in Missouri's SIP.
(A) Emission limits and other control measures: Section
110(a)(2)(A) requires SIPs to include enforceable emission limits and
other control measures, means or techniques, schedules for compliance
and other related matters as
[[Page 21284]]
needed to implement, maintain and enforce each NAAQS.\4\
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\4\ The specific nonattainment area plan requirements of section
110(a)(2)(I) are subject to the timing requirements of section 172,
not the timing requirement of section 110(a)(1). Thus, section
110(a)(2)(A) does not require that states submit regulations or
emissions limits specifically for attaining the 1997 or 2006
PM2.5 NAAQS. Those SIP provisions are due as part of each
state's attainment plan, and will be addressed separately from the
requirements of section 110(a)(2)(A). In the context of an
infrastructure SIP, EPA is not evaluating the existing SIP
provisions for this purpose. Instead, EPA is only evaluating whether
the state's SIP has basic structural provisions for the
implementation of the NAAQS.
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The State of Missouri's Air Conservation Law and Air Pollution
Control Rules authorize the Missouri Department of Natural Resources
(MDNR) to regulate air quality and implement air quality control
regulations. Specifically, Missouri Revised Statutes (RsMO) section
643.030 authorizes the ``Air Conservation Commission of the State of
Missouri'' (MACC) to control air pollution, which is defined in RsMO
section 643.020 to include air contaminants in quantities, of
characteristics and of a duration which cause or contribute to injury
to human, plant, or animal life or health or to property. RsMO section
643.050 authorizes the MACC to classify and identify air contaminants.
Missouri's rule 10 CSR 10-6.010 ``Ambient Air Quality Standards''
adopts the 1997 PM2.5 annual standard and the 2006
PM2.5 24-hour standard as promulgated by EPA. In addition,
10 CSR 10-6.040 ``Reference Methods'' incorporates by reference the
relevant appendices in 40 CFR part 50 for measuring and calculating the
concentration of PM2.5 in the atmosphere to determine
whether the standards have been met. Therefore, PM2.5 is an
air contaminant which may be regulated under Missouri law.
RsMO section 643.050 of the Air Conservation Law authorizes the
MACC, among other things, to regulate the use of equipment known to be
a source of air contamination and to establish emissions limitations
for air contaminant sources. Missouri also establishes timetables for
compliance in its rules, as appropriate. Appendix A of the state's
infrastructure SIP submission for both the 1997 PM2.5 NAAQS
and the 2006 PM2.5 NAAQS contains a link to the Missouri Air
Conservation Law and Appendix B of each submission contains a link to
Missouri's state rules.
Based upon review of the state's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has
statutory and regulatory authority to establish additional emissions
limitations and other measures, as necessary to address attainment and
maintenance of the PM2.5 standards. Therefore, EPA believes
that the Missouri SIP adequately addresses the requirements of section
110(a)(2)(A) for the 1997 and 2006 PM2.5 NAAQS \5\ and is
proposing to approve the February 27, 2007, submission regarding the
1997 PM2.5 infrastructure SIP requirements and the December
28, 2009, submission regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
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\5\ For the reasons stated earlier, EPA is not addressing SSM
and director's discretion provisions in this rulemaking.
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(B) Ambient air quality monitoring/data system: Section
110(a)(2)(B) requires SIPs to include provisions to provide for
establishment and operation of ambient air quality monitors, collection
and analysis of ambient air quality data, and making these data
available to EPA upon request.
To address this element, RsMO section 643.050 of the Air
Conservation Law provides the enabling authority necessary for Missouri
to fulfill the requirements of section 110(a)(2)(B). The Air Pollution
Control Program and Air Quality Analysis Section, within MDNR,
implement these requirements. Along with their other duties, the
monitoring program collects air monitoring data, quality assures the
results, and reports the data.
MDNR submits annual monitoring network plans to EPA for approval,
including its PM2.5 monitoring network, as required by 40
CFR 58.10. Prior to submissions to EPA, Missouri makes the plans
available for public review on MDNR's Web site at (https://www.dnr.mo.gov/env/apcp/monitoring/monitoringnetworkplan.pdf). MDNR
also conducts five-year monitoring network assessments, including the
PM2.5 monitoring network, as required by 40 CFR 58.10(d). On
January 10, 2013, EPA approved Missouri's 2012 Ambient Air Quality
Monitoring Plan and on October 27, 2010, EPA approved Missouri's Five-
Year Air Monitoring Network Assessment. Missouri 10 CSR 10-6.040(4)(L)
``Reference Methods'' requires that ambient concentrations of
PM2.5 be measured in accordance with the applicable Federal
regulations in 40 CFR part 50, Appendix L, or an equivalent method as
approved by EPA pursuant to 40 CFR part 53. Furthermore, Missouri
submits air quality data to EPA's Air Quality System (AQS) system in a
timely manner, pursuant to the provisions of the state's grant work
plans developed in conjunction with EPA.
Based upon review of the state's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that the Missouri SIP
meets the requirements of section 110(a)(2)(B) for the 1997 and 2006
24-hour PM2.5 NAAQS and is proposing to approve the February
27, 2007, submission regarding the 1997 PM2.5 infrastructure
SIP requirements and the December 28, 2009, submission regarding the
2006 PM2.5 infrastructure SIP requirements for this element.
(C) Program for enforcement of control measures (PSD, New Source
Review for nonattainment areas, and construction and modification of
all stationary sources): Section 110(a)(2)(C) requires states to
include the following three elements in the SIP: (1) A program
providing for enforcement of all SIP measures described in section
110(a)(2)(A); (2) a program for the regulation of the modification and
construction of stationary sources as necessary to protect the
applicable NAAQS (i.e., state-wide permitting of minor sources); and
(3) a permit program to meet the major source permitting requirements
of the CAA (for areas designated as attainment or unclassifiable for
the NAAQS in question).\6\
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\6\ As discussed in further detail below, this infrastructure
SIP rulemaking will not address the Missouri program for
nonattainment area related provisions, since EPA considers
evaluation of these provisions to be outside the scope of
infrastructure SIP actions.
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(1) Enforcement of SIP Measures. With respect to enforcement of
requirements of the SIP, the Missouri statutes provide authority for
MDNR to enforce the requirements of the Air Conservation Law, and any
regulations, permits, or final compliance orders issued under the
provisions of that law. For example, RsMO section 643.080 of the Air
Conservation Law authorizes MDNR to issue compliance orders for
violations of the Air Conservation Law, rules promulgated thereunder
(which includes rules comprising the Missouri SIP), and conditions of
any permits (which includes permits under SIP-approved permitting
programs). RsMO section 643.085 authorizes MDNR to assess
administrative penalties for violations of the statute, regulations,
permit conditions, or administrative orders. RsMO section 643.151
authorizes the MACC to initiate civil
[[Page 21285]]
actions for these violations, and to seek penalties and injunctive
relief to prevent any further violation. RsMO section 643.191 provides
for criminal penalties for known violations of the statute, standards,
permit conditions, or regulations promulgated thereunder.
(2) Minor New Source Review. Section 110(a)(2)(C) also requires
that the SIP include measures to regulate construction and modification
of stationary sources to protect the NAAQS. With respect to smaller
state-wide minor sources (Missouri's major source permitting program is
discussed in (3) below), Missouri has a SIP-approved program under rule
10 CSR 10-6.060 ``Construction Permits Required'' to review such
sources to ensure, among other requirements, that new and modified
sources will not interfere with NAAQS attainment. The state rule
contains two general categories of sources subject to the minor source
permitting program. The first category is ``de minimis'' sources
(regulated at 10 CSR 10-6.060(5))--sources that are not exempted or
excluded by rule 10 CSR 10-6.061 ``Construction Permit Exemptions'' or
are permitted under rule 10 CSR 10-6.062 ``Construction Permits By
Rule'' and emit below specified levels defined at 10 CSR 10-6.020(3)(A)
``Definitions and Common Reference Tables.'' Permits for these sources
may only be issued if any construction or modification at the source
does not result in net emissions increases above ``de minimis'' levels.
The second category of minor sources are those that emit above the
de minimis levels, but below the major source significance levels.
Permits for these sources may only be issued after a determination,
among other requirements, that the proposed source or modification
would not interfere with attainment or maintenance of a NAAQS (10 CSR
10-6.060(6)).
In this action, EPA is proposing to approve Missouri's
infrastructure SIP for the 1997 and 2006 PM2.5 standards
with respect to the general requirement in section 110(a)(2)(C) to
include a program in the SIP that regulates the modification and
construction of any stationary source as necessary to assure that the
NAAQS are achieved. In this action, EPA is not proposing to approve or
disapprove the state's existing minor NSR program to the extent that it
is inconsistent with EPA's regulations governing this program. EPA has
maintained that the CAA does not require that new infrastructure SIP
submissions correct any defects in existing EPA-approved provisions of
minor NSR programs in order for EPA to approve the infrastructure SIP
for element (C) (e.g., 76 FR 41076-41079). EPA believes that a number
of states may have minor NSR provisions that are contrary to the
existing EPA regulations for this program. EPA intends to work with
states to reconcile state minor NSR programs with EPA's regulatory
provisions for the program. The statutory requirements of section
110(a)(2)(C) provide for considerable flexibility in designing minor
NSR programs, and EPA believes it may be time to revisit the regulatory
requirements for this program to give the states an appropriate level
of flexibility to design a program that meets their particular air
quality concerns, while assuring reasonable consistency across the
country in protecting the NAAQS with respect to new and modified minor
sources.
(3) Prevention of Significant Deterioration (PSD) permit program.
Missouri also has a program approved by EPA as meeting the requirements
of part C, relating to prevention of significant deterioration of air
quality. In order to demonstrate that Missouri has met this sub-
element, this PSD program must cover requirements for not just
PM2.5, but for all other regulated NSR pollutants as well.
To implement the PSD permitting component of section 110(a)(2)(C) for
the 1997 and 2006 PM2.5 NAAQS, states were required to
submit the necessary SIP revisions to EPA by May 16, 2011, and July 20,
2012, pursuant to EPA's NSR PM2.5 Implementation Rule (2008
NSR Rule), (73 FR 28321, May 16, 2008) and EPA's PM2.5
Increment-SILs-SMC Rule, (75 FR 64864, October 20, 2010). As described
in section IV above, the January 4, 2013, court decision remanding 2008
rule does not impact the EPA's action as to this element.
The 2008 NSR Rule finalized several new requirements for SIPs to
address sources that emit direct PM2.5 and other pollutants
that contribute to secondary PM2.5 formation. One of these
requirements is for NSR permits to address pollutants responsible for
the secondary formation of PM2.5, otherwise known as
precursors. In the 2008 NSR Rule, the EPA identified precursors to
PM2.5 for the PSD program to include sulfur dioxide
(SO2) and nitrogen oxide (NOX) (unless the state
demonstrates to the Administrator's satisfaction or EPA demonstrates
that NOX emissions in an area are not a significant
contributor to that area's ambient PM2.5 concentrations).
See 73 FR 28325. The 2008 NSR Rule also specified that volatile organic
compounds (VOCs) are not considered to be precursors to
PM2.5 in the PSD program unless the state demonstrates to
the Administrator's satisfaction or EPA demonstrates that emissions of
VOCs in an area are significant contributors to that area's ambient
PM2.5 concentrations. The specific references to
SO2, NOX, and VOCs as they pertain to secondary
PM2.5 formation are currently codified at 40 CFR
51.166(b)(49)(i)(b) and 40 CFR 52.21(b)(50)(i)(b). The deadline for
states to submit SIP revisions to their PSD programs incorporating
these new requirements was May 16, 2011 (73 FR 28341).
As part of identifying pollutants that are precursors to
PM2.5, the 2008 NSR Rule also revised the definition of
``significant'' as it relates to a net emissions increase or the
potential of a source to emit pollutants. Specifically, 40 CFR
51.166(b)(23)(i) and 40 CFR 52.21(b)(23)(i) define ``significant'' for
PM2.5 to mean the following emissions rates: 10 tons per
year (tpy) of direct PM2.5; 40 tpy of SO2; and 40
tpy of NOX (unless the state demonstrates to the
Administrator's satisfaction or EPA demonstrates that NOX
emissions in an area are not a significant contributor to that area's
ambient PM2.5 concentrations).
Another provision of the 2008 NSR Rule requires states to account
for gases that could condense to form particulate matter, known as
condensables, for applicability determinations and in establishing
emission limits for PM2.5 and PM10\7\ in NSR
permits. EPA provided that states were required to account for
PM2.5 and PM10 condensables beginning on or after
January 1, 2011. This requirement is currently codified in 40 CFR
51.166(b)(49)(i)(a) and 40 CFR 52.21(b)(50)(i)(a). Revisions to states'
PSD programs incorporating the inclusion of condensables were required
to be submitted to EPA by May 16, 2011 (73 FR at 28341).
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\7\ PM10 refers to particles with diameters between
2.5 and 10 microns, oftentimes referred to as ``coarse'' particles.
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The definition of ``regulated NSR pollutant'' in the PSD provisions
of the 2008 rule inadvertently required states to also account for the
condensable PM fraction with respect to one indicator of PM referred to
as ``particular matter emissions.'' The term ``particulate matter
emissions'' includes PM2.5 and PM10 particles as
well as larger particles, and is an indicator for PM that has long been
used for measuring PM under various New Source Performance Standards
(NSPS) (40 CFR part 60).\8\ A
[[Page 21286]]
similar provision addressing condensables was added to the
Nonattainment NSR SIP provisions of the 2008 NSR Rule but does not
include a requirement to account for ``particulate matter (PM)
emissions'' in all cases (40 CFR 51.165(a)(1)(xxxvii)(D)). On October
12, 2012, EPA finalized a rulemaking to amend the definition of
``regulated NSR pollutant'' promulgated in the NSR PM2.5
Rule regarding the PM condensable provision currently at 40 CFR
51.166(b)(49)(i)(a), 52.21(b)(50)(i)(a), and EPA's Emissions Offset
Interpretative Ruling. See 77 FR 65107. The rulemaking removes the
inadvertent requirement in the 2008 NSR Rule that the measurement of
condensables be generally included as part of the measurement and
regulation of ``particulate matter emissions.'' \9\
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\8\ In addition to the NSPS for PM, it is noted that states
regulated ``particulate matter emissions'' for many years in their
SIPs for PM, and the same indicator has been used as a surrogate for
determining compliance with certain standards contained in 40 CFR
part 63, regarding National Emission Standards for Hazardous Air
Pollutants.
\9\ The change finalized in that action does not mean that EPA
has entirely exempted the inclusion of the condensable PM fraction
as part of accounting for ``particulate matter emissions.'' It may
be necessary for PSD sources to count the condensable PM fraction
with regard to ``particulate matter emissions'' where either the
applicable NSPS compliance test includes the condensable PM fraction
or the applicable implementation plan requires the condensable PM
fraction to be counted. See 77 FR 65112.
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On April 2, 2013 (78 FR 19602), EPA proposed to approve Missouri's
request to amend the SIP to meet the 2008 PM2.5 NAAQS
implementation requirements of the May 16, 2008, NSR PM2.5
Rule as described above. In this SIP revision, Missouri adopted rule
revisions to establish (1) the requirement for NSR permits to address
directly emitted PM2.5 and precursor pollutants; and (2)
significant emission rates for direct PM2.5 and precursor
pollutants (SO2 and NOX), among other revisions.
With respect to the condensable PM issue described above, Missouri has
addressed this through the SIP submission received by EPA on September
5, 2012, and which is being proposed for approval in today's action, as
discussed in more detail below. Therefore, EPA has proposed to
incorporate into Missouri's SIP all of the provisions required by the
2008 PM2.5 implementation rule that are applicable to
element C of infrastructure SIPs.
With respect to the 2010 PM2.5 Increment-SILs-SMC Rule,
EPA is proposing to approve the portion of the September 5, 2012,
submission addressing the required PM2.5 increments and
associated implementing regulations as part of today's proposed
rulemaking. A further analysis of how Missouri meets the requirements
of the 2010 rule is described below in sections VI and VII.
To meet the requirements of element (C), in addition to the
PM2.5 PSD elements that must be incorporated in to the SIP,
each state's PSD program must meet applicable requirements for all
regulated pollutants in PSD permits. For example, if a state lacks
provisions needed to address NOX as a precursor to ozone,
the provisions of section 110(a)(2)(C) requiring a suitable PSD
permitting program for PM2.5 will not be considered to be
met.
Relating to ozone, EPA's ``Final Rule to Implement the 8-Hour Ozone
National Ambient Air Quality Standard--Phase 2; Final Rule to Implement
Certain Aspects of the 1990 Amendments Relating to New Source Review
and Prevention of Significant Deterioration as They Apply in Carbon
Monoxide, Particulate Matter, and Ozone NAAQS; Final Rule for
Reformulated Gasoline'' (Phase 2 Rule), was published on November 8,
2005 (70 FR 71612). Among other requirements, the Phase 2 Rule
obligated states to revise their PSD programs to explicitly identify
NOX as a precursor to ozone (70 FR 71612 at 71679, and
71699-71700). This requirement is currently codified in 40 CFR
51.166(b)(49)(i)(b). On April 16, 2012, EPA finalized a rulemaking to
approve the provisions into the Missouri SIP which provide that ozone
precursors (volatile organic compounds--VOC and nitrogen oxides--
NOX) are regulated. See 77 FR 22500. For example, a source
that is major for NOX is also major for ozone under the
state's PSD program in rule 10 CSR 10-6.060(8). In addition, rules 10
CSR 10-6.060(1)(A) and 10-6.060(8)(A) incorporate 40 CFR
52.21(b)(50)(i)(a) by reference. The latter regulation specifically
identifies volatile organic compounds and nitrogen oxides as precursors
to ozone in all attainment and unclassifiable areas.
Regarding greenhouse gases (GHG), on June 3, 2010, EPA issued a
final rule establishing a ``common sense'' approach to addressing GHG
emissions from stationary sources under the CAA permitting programs.
The ``Prevention of Significant Deterioration and Title V Greenhouse
Gas Tailoring Rule,'' or ``Tailoring Rule,'' set thresholds for GHG
emissions that define when permits under the NSR PSD and Title V
operating permit programs are required for new and existing industrial
facilities. See 75 FR 31514. Without the new threshold provided by the
Tailoring Rule, sources with GHG emissions above the statutory
thresholds (of 100 or 250 tons per year) would be subject to PSD, which
could have potentially resulted in apartment complexes, strip malls,
small farms, restaurants, etc. triggering GHG PSD requirements.
On December 23, 2010, EPA promulgated a subsequent series of rules
that put the necessary framework in place to ensure that industrial
facilities can get CAA permits covering their GHG emissions when
needed, and that facilities emitting GHGs at levels below those
established in the Tailoring Rule need not obtain CAA permits.\10\
Included in this series of rules was EPA's issuance of the ``Limitation
of Approval of Prevention of Significant Deterioration Provisions
Concerning Greenhouse Gas Emitting-Sources in State Implementation
Plans,'' referred to as the PSD SIP ``Narrowing Rule'' (75 FR 82536,
December 30, 2010). The Narrowing Rule limits, or ``narrows,'' EPA's
approval of PSD programs applied to previously EPA-approved SIP PSD
programs, including Missouri's, that apply PSD to GHG emissions. The
Narrowing Rule limited, or ``narrowed,'' EPA's approval of Missouri's
and other PSD programs so that the SIP provisions that apply PSD to GHG
emissions increases from sources emitting GHG below the Tailoring Rule
thresholds were no longer EPA approved, and instead, had the status of
having been submitted by the state but not yet acted upon by EPA. In
other words, the Narrowing Rule focused on eliminating the PSD
obligations under Federal law for sources below the Tailoring Rule
thresholds.
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\10\ https://www.epa.gov/NSR/actions.html#2010.
---------------------------------------------------------------------------
After EPA adopted the Narrowing Rule, Missouri submitted to EPA,
and EPA approved in to the Missouri SIP on April 16, 2012, a revision
that limited PSD applicability to GHG-emitting sources at or above the
Tailoring Rule thresholds. With this SIP revision, Missouri's PSD
program conforms to EPA's requirements for PSD programs with respect to
GHG emissions, and avoids an overwhelming increase in the number of
required permits and resulting burden on Missouri's permitting
resources (77 FR 22500, April 16, 2012).
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS and the September 5, 2012,
submission regarding PSD requirements, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, with respect to the requirements of
section 110(a)(2)(C) for the 1997 and 2006 24-hour PM2.5
NAAQS, EPA is proposing to approve
[[Page 21287]]
the February 27, 2007, submission regarding the 1997 PM2.5
infrastructure SIP requirements, the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure SIP requirements,
and the September 5, 2012, submission regarding the PSD requirements.
EPA's analysis of the September 5, 2012, submission is provided in
sections VI and VII below.
(D) Interstate and international transport:
Section 110(a)(2)(D)(i)(I) requires SIPs to include adequate
provisions prohibiting any source or other type of emissions activity
in one state from contributing significantly to nonattainment, or
interfering with maintenance, of any NAAQS in another state.
Furthermore, section 110(a)(2)(D)(i)(II) requires SIPs to include
adequate provisions prohibiting any source or other type of emissions
activity in one state from interfering with measures required of any
other state to prevent significant deterioration of air quality or to
protect visibility. Section 110(a)(2)(D)(i) includes four requirements
referred to as prongs 1 through 4. Prongs 1 and 2 are provided at
section 110(a)(2)(D)(i)(I); Prongs 3 and 4 are provided at section
110(a)(2)(D)(i)(II).
In this notice, we are not proposing to take any actions related to
the interstate transport requirements of section 110(a)(2)(D)(i)(I)--
prongs 1 and 2. At this time, there is no SIP submission from Missouri
relating to 110(a)(2)(D)(i)(I) for the 1997 or 2006 PM2.5
NAAQS pending before the Agency. EPA previously approved the provisions
of the Missouri SIP submission addressing the requirements of section
110(a)(2)(D)(i)(I) and (II), with respect to the 1997 PM2.5
standards, into the Missouri SIP (72 FR 25975, May 8, 2007). EPA also
disapproved the portion of the Missouri SIP submission intended to
address section 110(a)(2)(D)(i)(I) with respect to the 2006
PM2.5 NAAQS (76 FR 43156, July 20, 2011).
With respect to the PSD requirements of section
110(a)(2)(D)(i)(II)--prong 3, EPA notes that Missouri's satisfaction of
the applicable infrastructure SIP PSD requirements for the 1997 and
2006 PM2.5 NAAQS have been detailed in the section
addressing section 110(a)(2)(C). EPA also notes that the proposed
action in that section related to PSD is consistent with the proposed
approval related to PSD for section 110(a)(2)(D)(i)(II). Therefore, EPA
is proposing to approve the PSD requirements of section
110(a)(2)(D)(i)(II)--prong 3.
With regard to the applicable requirements for visibility
protection of section 110(a)(2)(D)(i)(II)--prong 4, states are subject
to visibility and regional haze program requirements under part C of
the CAA (which includes sections 169A and 169B). The 2009 Memo \11\
states that these requirements can be satisfied by an approved SIP
addressing reasonably attributable visibility impairment, if required,
and an approved SIP addressing regional haze.
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\11\ William T. Harnett, Director, Air Quality Policy Division,
Office of Air Quality Planning and Standards, ``Guidance on SIP
Elements Required Under Sections 110(a(1) and (2) for the 2006 24-
Hour Fine Particle (PM2.5) National Ambient Air Quality
Standards (NAAQS),'' Memorandum to EPA Regional Air Division
Directors, Regions I-X, September 25, 2009.
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Missouri meets this requirement through EPA-approved provisions
requiring electric generating units (EGUs) in Missouri to comply with
the Clean Air Interstate Rule (CAIR) and through the limited approval
and limited disapproval of Missouri's regional haze SIP. Although
Missouri's regional haze SIP has not been fully approved, EPA believes
that the infrastructure SIP submission together with previously
approved SIP provisions, specifically those provisions that require
EGUs to comply with CAIR and the additional measures in the regional
haze SIP addressing best available retrofit technology (BART) and
reasonable progress requirements for other sources or pollutants, are
adequate to demonstrate compliance with prong 4; thus, EPA is proposing
to fully approve this aspect of the submission.
Missouri's regional haze SIP relied on the previous incorporation
of CAIR into the EPA-approved SIP for Missouri as an alternative to the
requirement that regional haze SIPs provide for source-specific BART
emission limits for SO2 and NOX emissions from
EGUs. At the time the regional haze SIP was being developed, Missouri's
reliance on CAIR was fully consistent with EPA's regulations. CAIR, as
originally promulgated, requires significant reductions in emissions of
SO2 and NOX to limit the interstate transport of
these pollutants, and EPA's determination that states could rely on
CAIR as an alternative to requiring BART for CAIR-subject EGUs had
specifically been upheld in Utility Air Regulatory Group v. EPA, 471
F.3d 1333 (D.C. Cir. 2006). Moreover, the states with Class I areas
affected by emissions from sources in Missouri had adopted reasonable
progress goals for visibility protection that were consistent with the
EGU emission limits resulting from CAIR.
In 2008, however, the D.C. Circuit remanded CAIR back to EPA (see
North Carolina v. EPA, 550 F.3d 1176 (D.C. Cir. 2008)). The Court found
CAIR to be inconsistent with the requirements of the CAA (see North
Carolina v. EPA, 531 F.3d 896 (D.C. Cir. 2008)), but ultimately
remanded the rule to EPA without vacatur because it found that
``allowing CAIR to remain in effect until it is replaced by a rule
consistent with [the Court's] opinion would at least temporarily
preserve the environmental values covered by CAIR'' (North Carolina,
550 F.3d at 1178).
After the remand of CAIR by the D.C. Circuit and the promulgation
by EPA of a new rule--Cross State Air Pollution Rule (CSAPR)--to
replace CAIR, EPA issued a limited disapproval and Federal
Implementation Plan (FIP) for Missouri regional haze SIP (and other
states' regional haze SIPs that relied similarly on CAIR), which merely
substituted reliance on CSAPR NOX and SO2 trading
programs for EGUs for the SIP's reliance on CAIR because EPA believed
that full approval of the SIP was not appropriate in light of the
court's remand of CAIR and the uncertain but limited remaining period
of operation of CAIR (77 FR 33642, June 7, 2012). EPA finalized a
limited approval of the regional haze SIP, indicating that except for
its reliance on CAIR, the SIP met CAA requirements for the first
planning period of the regional haze program (77 FR 38007, June 26,
2012).\12\
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\12\ Under CAA sections 301(a) and 110(k)(6) and EPA's long-
standing guidance, a limited approval results in approval of the
entire SIP submission, even of those parts that are deficient and
prevent EPA from granting a full approval of the SIP revision.
Processing of State Implementation Plan (SIP) Revisions, EPA
Memorandum from John Calcagni, Director, Air Quality Management
Division, OAQPS, to Air Division Directors, EPA Regional Offices I-
X, September 7, 1992, (1992 Calcagni Memorandum) located at https://www.epa.gov/ttn/caaa/t1/memoranda/siproc.pdf.
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Since the above-described developments with regard to Missouri's
regional haze SIP, the situation has changed. In August 2012, the D.C.
Circuit issued a decision to vacate CSAPR (see EME Homer City v. EPA,
696 F.3d 7 (D.C. Cir. 2012). In this decision, the Court ordered EPA to
``continue administering CAIR pending the promulgation of a valid
replacement.'' Thus, EPA has been ordered by the Court to develop a new
rule, and to continue implementing CAIR in the meantime, and the
opinion makes clear that after promulgating that new rule EPA must
provide states an opportunity to draft and submit SIPs to implement
that rule. CAIR thus cannot be replaced until EPA has promulgated a
final rule through a notice-and-comment rulemaking process; states
[[Page 21288]]
have had an opportunity to draft and submit SIPs; EPA has reviewed the
SIPs to determine if they can be approved; and EPA has taken action on
the SIPs, including promulgating a FIP, if appropriate.
EPA filed a petition for rehearing of the Court's decision on
CSAPR, which was denied by the D.C. Circuit on January 24, 2013.
However, based on the current direction from the Court to continue
administering CAIR, EPA believes that it is appropriate to rely on CAIR
emission reductions as permanent and enforceable for purposes of
assessing the adequacy of Missouri's infrastructure SIP with respect to
prong 4 while a valid replacement rule is developed and until
implementation plans complying with any new rule are submitted by the
states and acted upon by EPA or until the court case is resolved in a
way that provides direction regarding CAIR and CSAPR.
As neither Missouri nor EPA has taken any action to remove CAIR
from the Missouri SIP, CAIR remains part of the EPA-approved SIP and
can be considered in determining whether the SIP as a whole meets the
requirement of prong 4 of 110(a)(2)(D)(i). EPA is proposing to approve
the infrastructure SIP submission with respect to prong 4 because
Missouri's regional haze SIP which EPA has given a limited approval, in
combination with its SIP provisions to implement CAIR, adequately
prevent sources in Missouri from interfering with measures adopted by
other states to protect visibility during the first planning period.
While EPA is not at this time proposing to change the June 7, 2012, or
June 26, 2012, limited disapproval and limited approval of Missouri's
regional haze SIP, EPA expects to propose an appropriate action
regarding Missouri's regional haze SIP upon final resolution of EME
Homer City.
Section 110(a)(2)(D)(ii) also requires that the SIP insure
compliance with the applicable requirements of sections 126 and 115 of
the CAA, relating to interstate and international pollution abatement,
respectively.
Section 126(a) of the CAA requires new or modified sources to
notify neighboring states of potential impacts from sources within the
state. Missouri regulations require that affected states receive notice
prior to the commencement of any construction or modification of a
source. Missouri's rule 10 CSR 10-6.060(6), ``Construction Permits
Required'' requires that the review of all PSD permit applications
follow the procedures of section (12)(A), Appendix A. Appendix A, in
turn, requires that the permitting authority shall issue a draft permit
for public comment, with notification to affected states on or before
the time notice is provided to the public. In addition, no Missouri
source or sources have been identified by EPA as having any interstate
impacts under section 126 in any pending actions relating to any air
pollutant.
Section 115 of the CAA authorizes EPA to require a state to revise
its SIP under certain conditions to alleviate international transport
into another country. There are no final findings under section 115 of
the CAA against Missouri with respect to any air pollutant. Thus, the
State's SIP does not need to include any provisions to meet the
requirements of section 115.
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has the
adequate infrastructure needed to address sections
110(a)(2)(D)(i)(II)--Prongs 3 and 4 and 110 (a)(2)(D)(ii) for the 1997
and 2006 PM2.5 NAAQS. EPA is proposing to approve the
February 27, 2007, submission regarding the 1997 PM2.5
infrastructure SIP requirements and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure SIP requirements for
this element.
(E) Adequate authority, resources, implementation, and oversight:
Section 110(a)(2)(E) requires that SIPs provide for the following: (1)
Necessary assurances that the state (and other entities within the
state responsible for implementing the SIP) will have adequate
personnel, funding, and authority under State or local law to implement
the SIP, and that there are no legal impediments to such
implementation; (2) requirements that the state comply with the
requirements relating to state boards, pursuant to section 128 of the
CAA; and (3) necessary assurances that the state has responsibility for
ensuring adequate implementation of any plan provision for which it
relies on local governments or other entities to carry out that portion
of the plan.
(1) Section 110(a)(2)(E)(i) requires states to establish that they
have adequate personnel, funding and authority. With respect to
adequate authority, we have previously discussed Missouri's statutory
and regulatory authority to implement the 1997 and 2006
PM2.5 NAAQS, primarily in the discussion of section
110(a)(2)(A) above. Neither Missouri nor EPA has identified any legal
impediments in the State's SIP to implementation of these NAAQS.
With respect to adequate resources, MDNR asserts that it has
adequate personnel to implement the SIP. The infrastructure SIP
submission for both the 1997 and 2006 PM2.5 NAAQS describes
the regulations governing the various functions of personnel within the
Air Pollution Control Program, including the Administration, Technical
Support (Air Quality Analysis), Planning, Enforcement, and Permit
Sections of the program (10 CSR 10-1.010(2)(D) ``Ambient Air Quality
Standards'').
With respect to funding, the Air Conservation Law requires the MACC
to establish an annual emissions fee for sources in order to fund the
reasonable costs of administering various air pollution control
programs. RsMO section 643.079 of the Air Conservation Law provides for
the deposit of the fees into various subaccounts (e.g., a subaccount
for the Title V operating permit program used for Title V
implementation activities; a subaccount for non-Title V air pollution
control program activities). The state uses funds in the non-Title V
subaccounts, along with General Revenue funds and EPA grants under, for
example, sections 103 and 105 of the CAA, to fund the programs. EPA
conducts periodic program reviews to ensure that the state has adequate
resources and funding to, among other things, implement the SIP.
(2) Conflict of interest provisions--Section 128
Section 110(a)(2)(E)(ii) requires that each state SIP meet the
requirements of section 128, relating to representation on state boards
and conflicts of interest by members of such boards. Section 128(a)(1)
requires that any board or body which approves permits or enforcement
orders under the CAA must have at least a majority of members who
represent the public interest and do not derive any ``significant
portion'' of their income from persons subject to permits and
enforcement orders under the CAA. Section 128(a)(2) requires that
members of such a board or body, or the head of an agency with similar
powers, adequately disclose any potential conflicts of interest. In
1978, EPA issued a guidance memorandum recommending ways that states
could meet the requirements of section 128, including suggested
interpretations of certain terms in section 128.\13\ EPA has not issued
further guidance or
[[Page 21289]]
regulations of general applicability on the subject since that time.
However, EPA has recently proposed certain interpretations of section
128 as part of its actions on other infrastructure SIPs consistent with
the statutory requirements (see, e.g., (77 FR 44555, July 30, 2012) and
(77 FR 66398, November 5, 2012)). We are now proposing these same
interpretations in relation to the Missouri SIP. On August 8, 2012, EPA
received Missouri's SIP revision that addresses the section 128
requirements. In today's action, we are also proposing to approve
Missouri's August 8, 2012, submission related to sections
110(a)(2)(E)(ii) and 128 of the CAA. EPA and Missouri have worked to
assure that the State's SIP correctly addresses these requirements.
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\13\ See Memorandum from David O. Bickart to Regional Air
Directors, ``Guidance to States for Meeting Conflict of Interest
Requirements of Section 128,'' Suggested Definitions, March 2, 1978.
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EPA's analysis consisted of review of Missouri's August 8, 2012,
SIP submission and EPA's additional review of Missouri statutes and
authorities. The first step in the analysis included identifying
boards, bodies and persons responsible for approving permits and
enforcement orders and determining the applicability of the section 128
requirements to these entities. Section 643.050 of the Air Conservation
Law authorizes the MACC to approve enforcement orders. In addition,
Missouri Chapter 1 rule ``General Organization'' (2)(B) gives the
Director of MDNR the authority to issue orders and act upon permit
applications. Therefore, at a minimum the MACC must satisfy the
requirements of sections 128(a)(1) and (2), and as the head of an
executive agency with similar powers, the Director of MDNR must satisfy
the requirements of section 128(a)(2).
Section 128(a)(1) contains two separate requirements applicable to
any board or body which approves permits or enforcement orders under
the CAA. First, a majority of members of the board or body must
``represent the public interest'' (``public interest'' requirement).
Second, a majority of members must ``not derive any significant portion
of their income from persons subject to permits or enforcement orders''
(``significant income'' requirement). The specific provisions of
Missouri's Air Conservation Law submitted as SIP revisions are relevant
to the requirements of CAA section 128(a)(1).
With respect to the ``public interest'' requirement, section
643.040.2 of the Air Conservation Law establishes that the MACC members
must ``be representative of the general interest of the public.'' With
respect to the ``significant income'' requirement, both sections
643.040.2 and 105.450 of Missouri's Air Conservation Law were submitted
to EPA for inclusion in the SIP. Section 643.040.2 states that ``the
governor shall not appoint any other person who has a substantial
interest as defined in 105.450'' in any business entity regulated under
the Air Conservation Law or any business entity which would be
regulated under the Air Conservation Law if located in Missouri.
``Substantial interest,'' in turn, is defined in section 105.450 as
ownership by the individual, the individual's spouse, or the
individual's dependent children, whether singularly or collectively,
directly or indirectly, of ten percent or more of any business entity,
or of an interest having a value of ten thousand dollars or more, or
the receipt by an individual, the individual's spouse or the
individual's dependent children, whether singularly or collectively, of
a salary, gratuity, or other compensation or remuneration of five
thousand dollars, or more, per year from any individual, partnership,
organization, or association with any calendar year. The provisions at
sections 643.040 and 105.450 have both been submitted for inclusion in
to the SIP. In addition, section 105.463 which has also been submitted
for inclusion in to the SIP, requires members of the commission to file
a financial interest statement.
To satisfy section 128(a)(2) of the CAA, Missouri's August 8, 2012,
submission identified RsMO section 643.040.2, which establishes ``rules
of procedure which specify when members shall exempt themselves from
participating in discussions and from voting on issues before the
commission due to potential conflict of interest.'' In addition, RsMO
sections 105.452 and 105.454 identify ``prohibited acts'' that apply to
both elected or appointed officials and to state employees which relate
to disclosure of conflicts of interest and financial gain. As an
example of a ``prohibited act,'' elected or appointed officials or
employees of Missouri shall not act (or refrain from acting in any
capacity in which she is lawfully empowered to act) ``by reason of any
payment, offer to pay, promise to pay, or receipt of anything of actual
pecuniary value'' paid or received to herself or any third person in
relationship to or as a condition of the performance of an official act
(RsMO 105.452.1(1)). These officials or employees are also prohibited
from using or disclosing confidential information obtained in the
course of or by reason of her employment or official capacity in any
manner with intent to result in financial gain for herself, her spouse,
her dependent child, or any business with which she is associated (RsMO
105.452.1(2),(3)).
Chapter 1 Missouri State regulation ``Commission Voting and Meeting
Procedures'' (1) and (2) also further require disclosure of conflicts
of interest and require members with conflicts of interest to be
excluded from voting on the matter at issue, unless that member
receives a determination from the MACC that the interest is ``not so
substantial as to be deemed likely to affect the integrity of the
services which the state expects from commission members.'' Finally,
RsMO sections 105.466 and 105.472 include applicable exemptions to the
``prohibited acts'' identified in RsMO sections 105.450 to 105.458 and
105.462 to 105.468 and information regarding complaints about any
violations of these prohibitions related to boards and executives. All
of these provisions have been submitted by Missouri for inclusion in to
the SIP.
As it relates to appointed public officials, such as the Director
of MDNR, the provisions as described above in sections 105.452 and
105.454 also apply to heads of the executive agency.
EPA believes that the above identified relevant sections of
Missouri's Air Conservation Law and the Missouri air regulations
directly address the provisions related to sections 128(a)(1) and (2)
of the CAA. We propose to approve the following provisions in to the
Missouri SIP, as they strengthen the SIP with respect to the conflict
of interest requirement of CAA section 128:
RsMO 643.040.2
RsMO 105.450
RsMO 105.452
RsMO 105.454
RsMO 105.462
RsMO 105.463
RsMO 105.466
RsMO 105.472
10 CSR 10-1.020(1) and (2)
(3) With respect to assurances that the state has responsibility to
implement the SIP adequately when it authorizes local or other agencies
to carry out portions of the plan, RsMO section 643.190 designates the
MDNR as the air pollution control agency ``for all purposes'' of the
CAA. Although RsMO section 643.140 authorizes the MACC to grant local
governments such as cities or counties authority to carry out their own
air pollution control programs, the MACC retains authority to enforce
the provisions of Missouri's Air Conservation Law in these local areas,
notwithstanding any such authorization (RsMO 643.140.4). The MACC may
also suspend or repeal the granting of
[[Page 21290]]
authority if the local government is enforcing any local rules in a
manner inconsistent with state law (RsMO 643.140.10).
There are three local air agencies that conduct air quality work in
Missouri: Kansas City, Springfield/Greene County and St. Louis County.
The MDNR's Air Pollution Control Program has a signed Memorandum of
Understanding (MOU) with Kansas City and Springfield/Greene County and
a draft agreement for St. Louis County (to be finalized) which outlines
the responsibilities for air quality activities with each local agency.
The MDNR Air Program oversees the activities of the local agencies to
ensure adequate implementation of the Missouri SIP. EPA conducts
reviews of the local program activities in conjunction with its
oversight of the state program.
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS and the August 8, 2012, SIP
submission, and relevant statutory and regulatory authorities and
provisions referenced in those submissions or referenced in Missouri's
SIP, EPA believes that Missouri has the adequate infrastructure needed
to address section 110(a)(2)(E) for the 1997 and 2006 PM2.5
NAAQS and is proposing to approve the February 27, 2007, submission
regarding the 1997 PM2.5 infrastructure SIP requirements,
the December 28, 2009, submission regarding the 2006 PM2.5
infrastructure SIP requirements, and the August 8, 2012, submission
relating to section 128 requirements.
(F) Stationary source monitoring system: Section 110(a)(2)(F)
requires states to establish a system to monitor emissions from
stationary sources and to submit periodic emission reports. Each SIP
shall require the installation, maintenance, and replacement of
equipment, and the implementation of other necessary steps, by owners
or operators of stationary sources, to monitor emissions from such
sources. The SIP shall also require periodic reports on the nature and
amounts of emissions and emissions-related data from such sources, and
requires that the state correlate the source reports with emission
limitations or standards established under the CAA. These reports must
be made available for public inspection at reasonable times.
To address this element, RsMO section 643.050.1(3)(a) of the Air
Conservation Law authorizes the MACC to require persons engaged in
operations which result in air pollution to monitor or test emissions
and to file reports containing information relating to rate, period of
emission and composition of effluent. Missouri rule 10 CSR 10-6.030
``Sampling Methods for Air Pollution Sources'' incorporates various EPA
reference methods for sampling and testing source emissions, including
methods for PM emissions. The Federal test methods are in 40 CFR part
51, Appendix M and part 60, Appendix A.
Missouri rule 10 CSR 10-6.110 ``Reporting & Emission Data, Emission
Fees, and Process Information'' also requires monitoring of emissions
and filing of periodic reports on emissions (see (4)(A) for the
specific information required). Missouri uses this information to track
progress towards maintaining the NAAQS, developing control and
maintenance strategies, identifying sources and general emission
levels, and determining compliance with emission regulations and
additional EPA requirements. Missouri makes this information available
to the public (10 CSR 10-6.110(3)(D) ``Reporting & Emission Data,
Emission Fees, and Process Information''). Missouri rule 10 CSR 10-
6.210 ``Confidential Information,'' specifically excludes emissions
data from confidential treatment. Under that rule emissions data
includes the results of any emissions testing or monitoring required to
be reported by sources under Missouri's air pollution control rules (10
CSR 10-6.210(3)(B)2).
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has the
adequate infrastructure needed to address section 110(a)(2)(F) for the
1997 and 2006 PM2.5 NAAQS and is proposing to approve the
February 27, 2007, submission regarding the 1997 PM2.5
infrastructure SIP requirements and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure SIP requirements for
this element.
(G) Emergency authority: Section 110(a)(2)(G) requires SIPs to
provide for authority to address activities causing imminent and
substantial endangerment to public health or welfare or the environment
(comparable to the authorities provided in Section 303 of the CAA), and
to include contingency plans to implement such authorities as
necessary.
RsMO section 643.090.1 of the Air Conservation Law authorizes the
MACC or the director of MDNR to declare an emergency where the ambient
air, ``due to meteorological conditions and a buildup of air
contaminants'' in Missouri, may present an ``emergency risk to the
public health, safety, or welfare.'' The MACC or director may, with the
written approval of the governor, by order prohibit, restrict or
condition all sources of air contaminants contributing to the emergency
condition, during such periods of time necessary to alleviate or lessen
the effects of the emergency condition. The statute also enables the
MACC to promulgate implementing regulations. Even in the absence of an
emergency condition, RsMO section 643.090.2 also authorizes the MACC or
the director to issue ``cease and desist'' orders to any specific
person who is either engaging or may engage in activities which involve
a significant risk of air contamination or who is discharging into the
ambient air any air contaminant, and such activity or discharge
presents a clear and present danger to public health or welfare.
Missouri rule 10 CSR 10-6.130 ``Controlling Emissions During
Episodes of High Air Pollution Potential'' includes action levels and
contingency measures for PM2.5 and other pollutants. This
rule specifies the conditions that establish an air pollution alert and
the associated procedures and emissions reduction objectives for
dealing with each.
With respect to contingency plan requirements of section
110(a)(2)(G), EPA has issued guidance making recommendations for how
states may elect to approach this issue. In that guidance, EPA
recommended that, where a state can demonstrate that PM2.5
levels have remained below 140.4 micrograms per cubic meter, the state
is not required to develop a contingency plan to satisfy element (G).
EPA believes that this is a reasonable interpretation of the statute
and addresses the PM2.5 NAAQS in a way analogous to other
NAAQS pollutants. PM2.5 monitoring data from monitors across
the state have shown that 24-hour PM2.5 values have never
exceeded 140.4 micrograms per cubic meter in Missouri. Therefore,
Missouri is not required to develop a contingency plan for
PM2.5 at this time.
That said, Missouri's regulations provide for contingency plans (or
alert plans) to be implemented if an area's Air Quality Alert value
exceeds 200 micrograms per cubic meter. These plans must include
provisions for reducing emissions, such as curtailing production
processes, diverting power generation to facilities outside of the
alert area, and stoppage of waste disposal practices or open burning.
Missouri rule 10 CSR 10-6.130(3)(D)4 ``Controlling Emissions During
Episodes of High Air Pollution Potential.''
[[Page 21291]]
Based on a review of these regulatory requirements (which have
previously been approved by EPA as part of Missouri's SIP (see 50 FR
41348), and a comparison of it to the requirements in 40 CFR 51.150-
51.153, EPA believes that the Missouri SIP adequately addresses section
110(a)(2)(G) for the 1997 and 2006 PM2.5 NAAQS and is
proposing to approve the February 27, 2007, submission regarding the
1997 PM2.5 infrastructure SIP requirements and the December
28, 2009, submission regarding the 2006 PM2.5 infrastructure
SIP requirements for this element.
(H) Future SIP revisions: Section 110(a)(2)(H) requires states to
have the authority to revise their SIPs in response to changes in the
NAAQS, availability of improved methods for attaining the NAAQS, or in
response to an EPA finding that the SIP is substantially inadequate to
attain the NAAQS.
In addition to the MACC's general enabling authority in RsMO
section 643.050 of the Air Conservation Law, discussed previously in
element (A), section 643.055.1 grants the MACC and MDNR authority to
promulgate rules and regulations to establish standards and guidelines,
to ensure that Missouri complies with the provisions of the Federal
CAA. Missouri's Chapter 1 state rule ``General Organization'' (2)
grants similar powers to MDNR. This includes the authority to submit
SIP revisions to the EPA for approval as necessary to respond to a
revised NAAQS and to respond to EPA findings of substantial inadequacy
(e.g., 71 FR 46860, August 15, 2006), in which EPA approved Missouri
rules promulgated in response to EPA's NOX SIP call for
Missouri and other states).
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has
adequate authority to address section 110(a)(2)(H) for the 1997 and
2006 PM2.5 NAAQS and is proposing to approve the February
27, 2007, submission regarding the 1997 PM2.5 infrastructure
SIP requirements and the December 28, 2009, submission regarding the
2006 PM2.5 infrastructure SIP requirements for this element.
(I) Nonattainment areas: Section 110(a)(2)(I) requires that in the
case of a plan or plan revision for areas designated as nonattainment
areas, states must meet applicable requirements of part D of the CAA,
relating to SIP requirements for designated nonattainment areas.
As noted earlier, EPA does not expect infrastructure SIP
submissions to address subsection (I). The specific SIP submissions for
designated nonattainment areas, as required under CAA title I, part D,
are subject to different submission schedules than those for section
110 infrastructure elements. Instead, EPA will take action on part D
attainment plan SIP submissions through a separate rulemaking governed
by the requirements for nonattainment areas, as described in part D.
(J) Consultation with government officials, public notification,
PSD and visibility protection: Section 110(a)(2)(J) requires SIPs to
meet the applicable requirements of the following CAA provisions: (1)
Section 121, relating to interagency consultation regarding certain CAA
requirements; (2) section 127, relating to public notification of NAAQS
exceedances and related issues; and (3) part C of the CAA, relating to
prevention of significant deterioration of air quality and visibility
protection.
(1) With respect to interagency consultation, the SIP should
provide a process for consultation with general-purpose local
governments, designated organizations of elected officials of local
governments, and any Federal Land Manager having authority over Federal
land to which the SIP applies. Section 643.050.3 of the Missouri Air
Conservation Law requires the MACC to consult and cooperate with other
Federal and state agencies, and with political subdivisions, for the
purpose of prevention, abatement, and control of air pollution.
Missouri also has appropriate interagency consultation provisions in
its preconstruction permit program. For instance, Missouri rule 10 CSR
10-6.060(12)(B)2.E ``Construction Permits Required'' requires that when
a permit goes out for public comment, the permitting authority must
provide notice to local air pollution control agencies, the chief
executive of the city and county where the installation or modification
would be located, any comprehensive regional land use planning agency,
any state air program permitting authority, and any Federal Land
Manager whose lands may be affected by emissions from the installation
or modification.
(2) With respect to the requirements for public notification in
section 127, the infrastructure SIP should provide citations to
regulations in the SIP requiring the air agency to regularly notify the
public of instances or areas in which any NAAQS are exceeded; advise
the public of the health hazard associated with such exceedances; and
enhance public awareness of measures that can prevent such exceedances
and of ways in which the public can participate in the regulatory and
other efforts to improve air quality. Missouri rule 10 CSR 10-6.130
``Controlling Emissions During Episodes of High Air Pollution
Potential,'' discussed previously in connection with the state's
authority to address emergency episodes, contains provisions for public
notification of elevated PM2.5 and other air pollutant
levels, and measures which can be taken by the public to reduce
concentrations. In addition, information regarding air pollution and
related issues, is provided on an MDNR Web site, https://www.dnr.missouri.gov/env/apcp/.
(3) With respect to the applicable requirements of part C of the
CAA, relating to prevention of significant deterioration of air quality
and visibility protection, we note in section VII of this rulemaking
how the Missouri SIP meets the PSD requirements, incorporating the
federal rule by reference. With respect to the visibility component of
section 110(a)(2)(J), EPA recognizes that states are subject to
visibility and regional haze program requirements under part C of the
CAA. However, when EPA establishes or revises a NAAQS, these visibility
and regional haze requirements under part C do not change. EPA believes
that there are no new visibility protection requirements under part C
as a result of a revised NAAQS. Therefore, there are no newly
applicable visibility protection obligations pursuant to element J
after the promulgation of a new or revised NAAQS. Missouri has
submitted a SIP revision to satisfy the requirements of CAA sections
169A and 169B, and the regional haze and BART rules contained in 40 CFR
51.308. On June 7, 2012, EPA published a final rulemaking regarding
Missouri's regional haze program consisting of a limited disapproval
and FIP (see 77 FR 33642). In addition, on June 26, 2012, EPA published
a final rulemaking regarding Missouri's regional haze program
consisting of a limited approval (see 77 FR 38007). In EPA's view, the
current status of Missouri's regional haze SIP as having not been fully
approved is not a bar to full approval of the infrastructure SIP
submission with respect to the visibility protection aspect of
110(a)(2)(J), and EPA is proposing to fully approve the infrastructure
SIP for this aspect. While EPA is not at this time proposing to change
the June 26, 2012, limited approval or the June 7, 2012, limited
disapproval of Missouri's regional haze SIP itself, EPA expects to
address the approval status of the regional haze SIP
[[Page 21292]]
upon final resolution of EME Homer City.
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has met the
applicable requirements of section 110(a)(2)(J) for the 1997 and 2006
PM2.5 NAAQS in the state and is therefore proposing to
approve the February 27, 2007, submission regarding the 1997
PM2.5 infrastructure SIP requirements and the December 28,
2009, submission regarding the 2006 PM2.5 infrastructure SIP
requirements for this element.
(K) Air quality and modeling/data: Section 110(a)(2)(K) requires
that SIPs provide for performing air quality modeling, as prescribed by
EPA, to predict the effects on ambient air quality of any emissions of
any NAAQS pollutant, and for submission of such data to EPA upon
request.
Missouri has authority to conduct air quality modeling and report
the results of such modeling to EPA. Section 643.050 of the Air
Conservation Law provides the MACC with the general authority to
develop a general comprehensive plan to prevent, abate and control air
pollution. Along with section 643.055, which grants the MACC the
authority to promulgate rules and regulations to establish standards
and guidelines to ensure that Missouri is in compliance with the
provisions of the CAA, EPA believes MDNR has the authority to conduct
modeling to address NAAQS issues. As an example of regulatory authority
to perform modeling for purposes of determining NAAQS compliance,
Missouri regulation 10 CSR 10-6.060(12)(F) ``Construction Permits
Required'' requires the use of EPA-approved air quality models (e.g.,
those found in 40 CFR part 51, Appendix W) for construction permitting.
Rule 10 CSR 10-6.110(4) ``Reporting & Emission Data, Emission Fees, and
Process Information'' requires specified sources of air pollution to
report emissions to MDNR, which among other purposes may be utilized in
modeling analyses. These data are available to any member of the
public, upon request (10 CSR 10-6.110(3)(D)).
Based upon review of the state's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has the
adequate infrastructure needed to address section 110(a)(2)(K) for the
1997 and 2006 PM2.5 NAAQS and is proposing to approve the
February 27, 2007, submission regarding the 1997 PM2.5
infrastructure SIP requirements and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure SIP requirements for
this element.
(L) Permitting Fees: Section 110(a)(2)(L) requires SIPs to require
each major stationary source to pay permitting fees to the permitting
authority, as a condition of any permit required under the CAA, to
cover the cost of reviewing and acting upon any application for such a
permit, and, if the permit is issued, the costs of implementing and
enforcing the terms of the permit. The fee requirement applies until a
fee program established by the state pursuant to Title V of the CAA,
relating to operating permits, is approved by EPA.
Section 643.079 of the Air Conservation Law provides authority for
MDNR to collect permit fees, including Title V fees. EPA approved
Missouri's Title V program in May 1997 (see 62 FR 26405). EPA is
reviewing the Missouri Title V program, including Title V fee
structure, separately from this proposed action. Because the Title V
program and associated fees legally are not part of the SIP, the
infrastructure SIP action we are proposing today does not preclude EPA
from taking future action regarding Missouri's Title V program.
Therefore, EPA believes that the requirements of section
110(a)(2)(L) are met and is proposing to approve the February 27, 2007,
submission regarding the 1997 PM2.5 infrastructure SIP
requirements and the December 28, 2009, submission regarding the 2006
PM2.5 infrastructure SIP requirements for this element.
(M) Consultation/participation by affected local entities: Section
110(a)(2)(M) requires SIPs to provide for consultation and
participation by local political subdivisions affected by the SIP.
Section 643.050.3 of the Air Conservation Law requires that the
MACC encourage political subdivisions to handle air pollution control
problems within their respective jurisdictions to the extent possible
and practicable, and to provide assistance to those political
subdivisions. The MACC is also required to advise, consult and
cooperate with other political subdivisions in Missouri. RsMO section
643.140 provides the mechanism for local political subdivisions to
enact and enforce their own air pollution control regulations, subject
to the oversight of the MACC. The MDNR's Air Pollution Control Program
has a signed Memorandum of Understanding (MOU) with Kansas City and
Springfield/Greene County and a draft agreement with St. Louis County
(to be finalized) which outlines the responsibilities for air quality
activities with each local agency. In addition, MDNR participates in
community meetings and consults with and participates in interagency
consultation groups such as the Metropolitan Planning Organizations in
both Kansas City and St. Louis. In Kansas City, MDNR works with the
Mid-America Regional Council and in St. Louis, MDNR works with East-
West Gateway Coordinating Council of Governments.
Based upon review of the State's infrastructure SIP submissions for
the 1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has the
adequate infrastructure needed to address section 110(a)(2)(M) for the
1997 and 2006 PM2.5 NAAQS and is proposing to approve the
February 27, 2007, submission regarding the 1997 PM2.5
infrastructure SIP requirements and the December 28, 2009, submission
regarding the 2006 PM2.5 infrastructure SIP requirements for
this element.
VI. What are the requirements of the PM2.5 PSD Increment-
SILs-SMC rule for PSD SIP programs?
The 2010 PM2.5 Increment-SILs-SMC Rule provided
additional regulatory requirements under the PSD SIP program regarding
the implementation of the PM2.5 NAAQS (75 FR 64864). As a
result, the rule required states to submit SIP revisions to adopt the
required PSD increments by July 20, 2012 (75 FR 64864). Specifically,
the rule required a state's submitted PSD SIP revision to adopt and
submit for EPA approval the PM2.5 increments pursuant to
section 166(a) of the CAA to prevent significant deterioration of air
quality in areas meeting the NAAQS.
That rule also permitted states, at their discretion, to choose to
adopt and submit for EPA approval into the SIP SILs, used as a
screening tool (by a major source subject to PSD), to evaluate the
impact a proposed major source or modification may have on the NAAQS or
PSD increment; and a SMC (also a screening tool), used by a major
source subject to PSD to determine the subsequent level of data
gathering required for a PSD permit application for emissions of
PM2.5. More detail on the PM2.5 PSD Increment-
SILs-SMC Rule can be found at 75 FR 64864. In regards
[[Page 21293]]
to the SILs and SMC provisions of the 2010 PM2.5 rule, on
January 22, 2013, the U.S. Court of Appeals for the District of
Columbia, in Sierra Club v. EPA, No. 10-1413 (filed Dec. 17. 2010),
issued a judgment that, inter alia, vacated and remanded the provisions
concerning implementation of the PM2.5 SILs and vacated the
provisions adding the PM2.5 SMC that were promulgated as
part of the 2010 PM2.5 PSD Rule.
Accordingly, the only remaining requirements from the 2010 rule are
the PM2.5 increment and associated provisions discussed
below. Under section 165(a)(3) of the CAA, a PSD permit applicant must
demonstrate that emissions from the proposed construction and operation
of a facility ``will not cause, or contribute to, air pollution in
excess of any maximum allowable increase or allowable concentration for
any pollutant.'' In other words, when a source applies for a PSD SIP
permit to emit a regulated pollutant in an attainment or unclassifiable
area, the permitting authority implementing the PSD SIP must determine
if emissions of the regulated pollutant from the source will cause
significant deterioration in air quality. Significant deterioration
occurs when the amount of the new pollution exceeds the applicable PSD
increment, which is the ``maximum allowable increase'' of an air
pollutant allowed to occur above the applicable baseline concentration
\14\ for that pollutant. PSD increments prevent air quality in
attainment and unclassifiable areas from deteriorating up to or beyond
the level set by the NAAQS. Therefore, an increment is the mechanism
used to estimate ``significant deterioration'' of air quality for a
pollutant in an area.
---------------------------------------------------------------------------
\14\ Section 169(4) of the CAA provides that the baseline
concentration of a pollutant for a particular baseline area is
generally the same air quality at the time of the first application
for a PSD permit in the area.
---------------------------------------------------------------------------
For PSD baseline purposes, a baseline area for a particular
pollutant emitted from a source includes the attainment or
unclassifiable/attainment area in which the source is located, as well
as any other attainment or unclassifiable/attainment area in which the
source's emissions of that pollutant are projected (by air quality
modeling) to result in an ambient pollutant increase of at least 1 ug/
m\3\ (annual average) (40 CFR 51.166(b)(15)(i) and (ii)). Under EPA's
existing regulations, the establishment of a baseline area for any PSD
increment results from the submission of the first complete PSD permit
application after a trigger date (which for PM2.5 is defined
as October 20, 2011, by regulation) and is based on the location of the
proposed source and its emissions impact on the area. Once the baseline
area is established, subsequent PSD sources locating in that area must
consider that a portion of the available increment may have already
been consumed by previous emissions increases. In general, the
submittal date of the first complete PSD permit application in a
particular area is the operative ``baseline date.'' \15\ On or before
the date of the first complete PSD application, emissions generally are
considered to be part of the baseline concentration, except for certain
emissions from major stationary sources. Most emissions increases that
occur after the baseline date will be counted toward the amount of
increment consumed. Similarly, emissions decreases after the baseline
date restore or expand the amount of increment that is available (see
75 FR 64864). As described in the PM2.5 PSD Increment-SILs-
SMC rule, pursuant to the authority under section 166(a) of the CAA,
EPA promulgated numerical increments for PM2.5 as a new
pollutant \16\ for which the NAAQS were established after August 7,
1977,\17\ and derived 24-hour and annual PM2.5 increments
for the three area classifications (Class I, II and III) using the
``contingent safe harbor'' approach (75 FR at 64869, and table at 40
CFR 51.166(c)(1)).
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\15\ Baseline dates are pollutant specific. That is, a complete
PSD application establishes the baseline date only for those
regulated NSR pollutants that are projected to be emitted in
significant amounts (as defined in the regulations) by the
applicant's new source or modification. Thus, an area may have
different baseline dates for different pollutants.
\16\ EPA generally characterized the PM2.5 NAAQS as a
NAAQS for a new indicator of PM. EPA did not replace the
PM10 NAAQs with the NAAQS for PM2.5 when the
PM2.5 NAAQS were promulgated in 1997. Rather, EPA
retained the annual and 24-hour NAAQS for PM10 as if
PM2.5 was a new pollutant even though EPA had already
developed air quality criteria for PM generally. 75 FR 64864.
\17\ EPA interprets 166(a) to authorize EPA to promulgate
pollutant-specific PSD regulations meeting the requirements of
section 166(c) and 166(d) for any pollutant for which EPA
promulgates a NAAQS after 1977.
---------------------------------------------------------------------------
In addition to PSD increments for the 2006 PM2.5 NAAQS,
the PM2.5 PSD Increment-SILs-SMC rule amended the definition
at 40 CFR 51.166 and 40 CFR 52.21 for ``major source baseline date''
and ``minor source baseline date'' to establish the PM2.5
NAAQS specific dates (including trigger dates) associated with the
implementation of PM2.5 PSD increments. See the PSD
Increment-SILs-SMC rule for a more detailed discussion on the
amendments to these definitions (75 FR 64864). In accordance with
section 166(b) of the CAA, EPA required the states to submit revised
implementation plans adopting the PM2.5 PSD increments to
EPA for approval within twenty one months from promulgation of the
final rule (i.e., by July 20, 2012). Each state was responsible for
determining how increment consumption and the setting of the minor
source baseline date for PM2.5 would occur under its own PSD
program. Regardless of when a state begins to require PM2.5
increment analysis and how it chooses to set the PM2.5 minor
source baseline date, the emissions from sources subject to PSD for
PM2.5 for which construction commenced after October 20,
2010 (major source baseline date) consume the PM2.5
increment and therefore should be included in the increment analyses
occurring after the minor source baseline date is established for an
area under the state's revised PSD SIP program.
VII. How does the September 5, 2012 Missouri PSD submission satisfy the
PM2.5 PSD Increment-SILs-SMC Rule?
To address the requirements of EPA's October 20, 2010,
PM2.5 PSD Increment-SILs-SMC Rule, Missouri submitted a SIP
revision received by EPA on September 5, 2012, which updated its PSD
rules to establish the allowable PM2.5 increments, the
optional screening tools (SILs), and significant monitoring
concentrations (SMCs). On March 19, 2013, Missouri amended and
clarified its submission so that it was no longer intending to include
specific provisions relating to the SILs and SMC affected by the
January 22, 2013, court decision referenced above. Therefore, in
today's action, EPA is proposing to approve portions of the SIP
revision which adopt PSD increments for the PM2.5 annual and
24-hour NAAQS pursuant to section 166(a) of the CAA only. Our analysis
of the SIP revision follows.
Specifically, regarding the PSD increments, the submitted SIP
revision changes include: (1) The PM2.5 increments as
promulgated at 40 CFR 51.166(c)(1) and (p)(4) (for Class I variances)
and (2) amendments to the terms ``major source baseline date'' (at 40
CFR 51.166(b)(14)(i)(c)) and 40 CFR 52.21(b)(14)(i)(c)), ``minor source
baseline date''(including establishment of the ``trigger date'') and
``baseline area'' (as amended at 40 CFR 51.166(b)(15)(i) and (ii) and
40 CFR 52.21(b)(15)(i)). In the September 5, 2012, SIP revision,
Missouri incorporates by reference into the SIP the particular
definitions from 40 CFR part 51 as referenced above through July 1,
2011. Missouri updated Table 1--Ambient Air Increment Table to adopt
the increments as described above in Class I, II, and III areas.
Missouri has
[[Page 21294]]
also updated Table 2--Significant Monitoring Concentrations for
PM2.5 and Table 4 Significant Levels for PM2.5.
As described under element C in section V of this rulemaking,
states had an obligation to address condensable PM emissions as a part
of the 2008 PM2.5 NSR implementation rule. In Missouri's SIP
submission from September 5, 2012, Missouri incorporated by reference
EPA's definition for regulated NSR pollutant (formerly at 40 CFR
51.166(b)(49)(vi)), including the term ``particulate matter
emissions,'' as inadvertently promulgated in the 2008 NSR Rule. EPA is,
however, proposing to approve into the Missouri SIP the requirement
that condensable PM be accounted for in applicability determinations
and in establishing emissions limitations for PM2.5 and
PM10 because it is more stringent than the Federal
requirement. Missouri can choose to initiate further rulemaking to
ensure consistency with Federal requirements.
In today's action, EPA is proposing to approve Missouri's September
5, 2012, revision to address the PM2.5 PSD increment
provisions promulgated in the PM2.5 PSD Increments SILs-SMC
rule and the obligation to address condensable PM emissions as a part
of the 2008 PM2.5 NSR implementation rule except as
identified in Missouri's letter where Missouri amended and clarified
its submission so that it was no longer intending to include specific
provisions relating to the SILs and SMC affected by the January 22,
2013, court decision referenced above. As noted in EPA's April 16,
2012, final action on Missouri's PSD program (77 FR 22500), provisions
of the incorporated 2002 NSR reform rule relating to the Clean Unit
Exemption, Pollution Control Projects (PCPs), and exemption from the
recordkeeping provisions for certain sources using the actual-to-
projected-actual emissions projections test are not SIP approved
because in 2005 the DC Circuit Court vacated portions of the rule
pertaining to clean units, PCPs, and remanded portions of the rule
regarding recordkeeping. In addition, EPA did not approve Missouri's
rule incorporating EPA's 2007 revision of the definition of ``chemical
processing plants'' (the ``Ethanol Rule,'') (72 FR 24060, May 1, 2007)
or EPA's 2008 ``fugitive emissions rule'' (73 FR 77882, December 19,
2008). Otherwise, Missouri's revisions also incorporate by reference
the other provisions of 40 CFR 52.21 as in effect on July 1, 2011.
VIII. What are the additional provisions of the September 5, 2012, SIP
submission that EPA is proposing to take action on?
Within Missouri's September 5, 2012, SIP submission, Missouri
amended rule 10 CSR 10-6.060 ``Construction Permits Required'' to defer
the application of the PSD permitting requirements to carbon dioxide
emissions from bioenergy and other biogenic stationary sources pursuant
to the July 20, 2011, EPA final rulemaking ``Deferral for Carbon
Dioxide (CO2) Emissions from Bioenergy and other Biogenic
Sources Under the Prevention of Significant Deterioration (PSD) and
Title V Programs'' (see 76 FR 43490). The Biomass Deferral delays until
July 21, 2014, the consideration of CO2 emissions from
bioenergy and other biogenic sources (hereinafter referred to as
``biogenic CO2 emissions'') when determining whether a
stationary source meets the PSD and Title V applicability thresholds,
including those for the application of Best Available Control
Technology (BACT). Stationary sources that combust biomass (or
otherwise emit biogenic CO2 emissions) and construct or
modify during the deferral period will avoid the application of PSD to
the biogenic CO2 emissions resulting from those actions. The
deferral applies only to biogenic CO2 emissions and does not
affect non-GHG pollutants or other GHG's (e.g., methane
(CH4) and nitrous oxide (N2O)) emitted from the
combustion of biomass fuel. Also, the deferral only pertains to
biogenic CO2 emissions in the PSD and Title V programs and
does not pertain to any other EPA programs such as the GHG Reporting
Program. Biogenic CO2 emissions are defined as emissions of
CO2 from a stationary source directly resulting from the
combustion or decomposition of biologically-based materials other than
fossil fuels and mineral sources of carbon. Examples of ``biogenic
CO2 emissions'' include, but are not limited to:
CO2 generated from the biological decomposition
of waste in landfills, wastewater treatment or manure management
processes;
CO2 from the combustion of biogas collected
from biological decomposition of waste in landfills, wastewater
treatment or manure management processes;
CO2 from fermentation during ethanol production
or other industrial fermentation processes;
CO2 from combustion of the biological fraction
of municipal solid waste or biosolids;
CO2 from combustion of the biological fraction
of tire-derived fuel; and
CO2 derived from combustion of biological
material, including all types of wood and wood waste, forest residue,
and agricultural material.
EPA recognizes that use of certain types of biomass can be part of
the national strategy to reduce dependence on fossil fuels. Efforts are
underway at the Federal, state and regional level to foster the
expansion of renewable resources and promote bioenergy projects when
they are a way to address climate change, increase domestic alternative
energy production, enhance forest management and create related
employment opportunities.
For stationary sources co-firing fossil fuel and biologically-based
fuel, and/or combusting mixed fuels (e.g., tire derived fuels,
municipal solid waste (MSW)), the biogenic CO2 emissions
from that combustion are included in the biomass deferral. However, the
fossil fuel CO2 emissions are not. Emissions of
CO2 from processing of mineral feedstocks (e.g., calcium
carbonate) are also not included in the deferral. Various methods are
available to calculate both the biogenic and fossil fuel portions of
CO2 emissions, including those methods contained in the GHG
Reporting Program (40 CFR part 98). Consistent with the other
pollutants in PSD and Title V, there are no requirements to use a
particular method in determining biogenic and fossil fuel
CO2 emissions.
EPA's final biomass deferral rule is an interim deferral for
biogenic CO2 emissions only and does not relieve sources of
the obligation to meet the PSD and Title V permitting requirements for
other pollutant emissions that are otherwise applicable to the source
during the deferral period or that may be applicable to the source at a
future date pending the results of EPA's study and subsequent
rulemaking action. This means, for example, that if the deferral is
applicable to biogenic CO2 emissions from a particular
source during the three-year effective period and the study and
potential future rulemaking do not provide for a permanent exemption
from PSD and Title V permitting requirements for the biogenic
CO2 emissions from a source with particular characteristics,
then the deferral would end for that type of source and its biogenic
CO2 emissions would have to be appropriately considered in
any applicability determinations that the source may need to conduct
for future stationary source permitting purposes, consistent with the
potential subsequent
[[Page 21295]]
rulemaking and the Final Tailoring Rule (e.g., a major source
determination for Title V purposes or a major modification
determination for PSD purposes).
EPA also wishes to clarify that we do not require that a PSD permit
issued during the deferral period be amended or that any PSD
requirements in a PSD permit existing at the time the deferral took
effect, such as BACT limitations, be revised or removed from an
effective PSD permit for any reason related to the deferral or when the
deferral period expires. The regulation at 40 CFR 52.21(w) requires
that any PSD permit shall remain in effect, unless and until it expires
or it is rescinded, under the limited conditions specified in that
provision. Thus, a PSD permit that is issued to a source while the
deferral was effective need not be reopened or amended if the source is
no longer eligible to exclude its biogenic CO2 emissions
from PSD applicability after the deferral expires. However, if such a
source undertakes a modification that could potentially require a PSD
permit and the source is not eligible to continue excluding its
biogenic CO2 emissions after the deferral expires, the
source will need to consider its biogenic CO2 emissions in
assessing whether it needs a PSD permit to authorize the modification.
Any future actions to modify, shorten, or make permanent the
deferral for biogenic sources are beyond the scope of the biomass
deferral action and this proposed approval of the deferral into the
Missouri SIP, and will be addressed through subsequent rulemaking. The
results of EPA's review of the science related to net atmospheric
impacts of biogenic CO2 and the framework to properly
account for such emissions in Title V and PSD permitting programs based
on the study are prospective and unknown. Thus, we are unable to
predict which biogenic CO2 sources, if any, currently
subject to the deferral as incorporated into the Missouri SIP could be
subject to any permanent exemptions, or which currently deferred
sources could be potentially required to account for their emissions.
Similar to our approach with the Tailoring Rule, EPA incorporated
the biomass deferral into the regulations governing state programs and
into the Federal PSD program by amending the definition of ``subject to
regulation'' under 40 CFR sections 51.166 and 40 CFR 52.21
respectively. Missouri implements its PSD program by incorporating
section 52.21 by reference in its rule 10 CSR 10-6.060 ``Construction
Permits Required.'' The Missouri submission incorporates by reference
the CFR through July 1, 2011, in order to adopt the Biomass Deferral.
Based upon EPA's analysis of the required provisions of the July
20, 2011, Biomass Deferral rule and how Missouri meets these
requirements, EPA is proposing to approve the September 5, 2012,
Missouri SIP revision incorporating the Biomass Deferral.
IX. What action is EPA proposing?
EPA proposes to approve the infrastructure SIP submissions from
Missouri which address the requirements of CAA sections 110 (a)(1) and
(2) as applicable to the 1997 and 2006 NAAQS for PM2.5.
Based upon review of the State's infrastructure SIP submissions for the
1997 and 2006 PM2.5 NAAQS, and relevant statutory and
regulatory authorities and provisions referenced in those submissions
or referenced in Missouri's SIP, EPA believes that Missouri has the
infrastructure to address all applicable required elements of sections
110(a)(1) and(2) (except otherwise noted) to ensure that the 1997 and
2006 PM2.5 NAAQS are implemented in the state.
In addition, EPA proposes to approve two additional SIP submissions
from Missouri, one addressing the Prevention of Significant
Deterioration (PSD) program in Missouri as it relates to
PM2.5 (unless otherwise noted), and another SIP revision
addressing the requirements of section 128 of the CAA, both of which
support the requirements associated with infrastructure SIPs.
We are hereby soliciting comment on this proposed action. Final
rulemaking will occur after consideration of any comments.
X. Statutory and Executive Order Review
Under the CAA, the Administrator is required to approve a SIP
submission that complies with the provisions of the CAA and applicable
Federal regulations. 42 U.S.C. 7410(k); 40 CFR 52.02(a). Thus, in
reviewing SIP submissions, EPA's role is to approve state choices,
provided that they meet the criteria of the CAA. Accordingly, this
action merely approves state law as meeting Federal requirements and
does not impose additional requirements beyond those imposed by state
law. For that reason, this proposed action:
Is not a ``significant regulatory action'' subject to
review by the Office of Management and Budget under Executive Order
12866 (58 FR 51735, October 4, 1993);
does not impose an information collection burden under the
provisions of the Paperwork Reduction Act (44 U.S.C. 3501 et seq.);
is certified as not having a significant economic impact
on a substantial number of small entities under the Regulatory
Flexibility Act (5 U.S.C. 601 et seq.);
does not contain any unfunded mandate or significantly or
uniquely affect small governments, as described in the Unfunded
Mandates Reform Act of 1995 (Pub. L. 104-4);
does not have Federalism implications as specified in
Executive Order 13132 (64 FR 43255, August 10, 1999);
is not an economically significant regulatory action based
on health or safety risks subject to Executive Order 13045 (62 FR
19885, April 23, 1997);
is not a significant regulatory action subject to
Executive Order 13211 (66 FR 28355, May 22, 2001);
is not subject to requirements of Section 12(d) of the
National Technology Transfer and Advancement Act of 1995 (15 U.S.C. 272
note) because application of those requirements would be inconsistent
with the CAA; and
does not provide EPA with the discretionary authority to
address, as appropriate, disproportionate human health or environmental
effects, using practicable and legally permissible methods, under
Executive Order 12898 (59 FR 7629, February 16, 1994).
In addition, this rule does not have Tribal implications as
specified by Executive Order 13175 (65 FR 67249, November 9, 2000),
because the SIP is not approved to apply in Indian country located in
the state, and EPA notes that it will not impose substantial direct
costs on tribal governments or preempt tribal law.
Statutory Authority
The statutory authority for this action is provided by Section 110
of the CAA, as amended (42 U.S.C. 7410).
List of Subjects in 40 CFR Part 52
Environmental protection, Air pollution control, Incorporation by
reference, Intergovernmental relations, Ozone, Particulate matter,
Reporting and recordkeeping requirements.
Dated: March 29, 2013.
Karl Brooks,
Regional Administrator, Region 7.
[FR Doc. 2013-08399 Filed 4-9-13; 8:45 am]
BILLING CODE 6560-50-P