Heavy-Duty Engine and Vehicle, and Nonroad Technical Amendments, 36135-36148 [2013-11979]
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Federal Register / Vol. 78, No. 116 / Monday, June 17, 2013 / Proposed Rules
Dated: June 11, 2013.
Aaron Siegel,
Alternate OSD Federal Register Liaison
Officer, Department of Defense.
[FR Doc. 2013–14321 Filed 6–14–13; 8:45 am]
BILLING CODE 5001–06–P
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Parts 85, 86, 1036, 1037, 1039,
1042, 1048, 1054, 1065, 1066, 1068
[EPA–HQ–OAR–2012–0102; FRL 9772–2]
RIN 2060–AR48
Heavy-Duty Engine and Vehicle, and
Nonroad Technical Amendments
Environmental Protection
Agency (EPA).
ACTION: Notice of proposed rulemaking.
AGENCY:
EPA is proposing to amend
provisions in the Medium- and HeavyDuty Greenhouse Gas Emissions and
Fuel Efficiency final rule issued on
September 15, 2011. These proposed
amendments would eliminate
duplicative reporting requirements,
reduce inadvertent minor differences
between the EPA and NHTSA programs
regarding such matters as voluntary
early model year compliance, better
align testing procedures to market
realities, and reduce unnecessary testing
burdens. EPA is also proposing to
amend several regulations by: Adjusting
the provisions of the replacement
engine exemption; expanding EPA’s
discretion to allow greater flexibility
under the Transition Program for
Equipment Manufacturers related to the
Tier 4 standards for nonroad diesel
engines; specifying multiple versions of
the applicable SAE standard for
demonstrating that fuel lines for
nonroad spark-ignition engines above 19
kilowatts meet permeation
requirements; and allowing for the use
of the ethanol-based test fuel specified
by the California Air Resources Board
for nonroad spark-ignition engines at or
below 19 kilowatts. Some of the
SUMMARY:
individual provisions of this action may
have minor impacts on the costs and
emission reductions of the underlying
regulatory programs amended in this
action, though in most cases these are
simple technical amendments. For those
provisions that may have a minor
impact on the costs or benefits of the
amended regulatory program, any
potential impacts would be small and
we have not attempted to quantify the
potential changes.
DATES: Comments on all aspects of this
proposal must be received on or before
July 17, 2013. See the SUPPLEMENTARY
INFORMATION section on ‘‘Public
Participation’’ for more information
about written comments.
ADDRESSES: Submit your comments,
identified by Docket ID No. EPA–HQ–
OAR–2012–0102, by one of the
following methods:
• www.regulations.gov: Follow the
on-line instructions for submitting
comments.
• Email: a-and-r-docket@epa.gov.
• Fax: (202) 566–9744.
• Mail: Air and Radiation Docket and
Information Center, Environmental
Protection Agency, Air Docket, Mailcode 28221T, 1200 Pennsylvania Ave.
NW., Washington, DC 20460.
• Hand Delivery: EPA Docket Center
(EPA/DC), EPA West, Room 3334, 1301
Constitution Ave. NW., Washington,
DC, Attention Docket ID No. EPA–HQ–
OAR–2012–0102. Such deliveries are
only accepted during the Docket’s
normal hours of operation, and special
arrangements should be made for
deliveries of boxed information.
Instructions: Direct your comments to
Docket ID No. EPA–HQ–OAR–2012–
0102. See the SUPPLEMENTARY
INFORMATION section on ‘‘Public
Participation’’ for additional
instructions on submitting written
comments.
Docket: All documents in the docket
are listed in the www.regulations.gov
index. Although listed in the index,
some information is not publicly
available, e.g., information claimed as
Confidential Business Information (CBI)
NAICS Code a
Category
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Industry .........................................................................
Industry .........................................................................
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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 in www.regulations.gov or
in hard copy at the EPA Docket Center,
EPA/DC, EPA West, Room 3334, 1301
Constitution Ave. NW., Washington,
DC. The Public Reading Room is open
from 8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal
holidays. The telephone number for the
Public Reading Room is (202) 566–1744,
and the telephone number for the Air
Docket is (202) 566–1742.
FOR FURTHER INFORMATION CONTACT:
Angela Cullen, Environmental
Protection Agency, Office of
Transportation and Air Quality,
Assessment and Standards Division,
2000 Traverwood Drive, Ann Arbor,
Michigan 48105; telephone number:
734–214–4419; email address:
cullen.angela@epa.gov.
SUPPLEMENTARY INFORMATION:
A. Does this action apply to me?
This proposed action would affect
companies that manufacture, sell, or
import into the United States new
heavy-duty engines and new Class 2b
through 8 vehicles, including
combination tractors, school and transit
buses, vocational vehicles such as
utility service trucks, as well as 3⁄4-ton
and 1-ton pickup trucks and vans. The
heavy-duty category incorporates all
motor vehicles with a gross vehicle
weight rating of 8,500 pounds or greater,
and the engines that power them, except
for medium-duty passenger vehicles
already covered by the greenhouse gas
emissions standards and corporate
average fuel economy standards issued
for light-duty model year 2012–2016
vehicles (75 FR at 25324, May 7, 2010).
This proposed action also would
affect nonroad engine manufacturers.
Regulated categories and entities
would include the following:
Examples of potentially affected entities
336111
336112
333618
336120
541514
811112
811198
Motor Vehicle Manufacturers, Engine and Truck Manufacturers.
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Commercial Importers of Vehicles and Vehicle Components.
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NAICS Code a
Category
Industry .........................................................................
Industry .........................................................................
336111
336112
422720
454312
541514
541690
811198
336510
811310
Examples of potentially affected entities
Alternative Fuel Vehicle Converters.
Engine Repair, Remanufacture, and Maintenance.
Note:
a North American Industry Classification System (NAICS).
This table is not intended to be
exhaustive, but rather provides a guide
for readers regarding entities likely
covered by this proposed rule. This
table lists the types of entities that the
agency is aware may be regulated by
this proposed action. Other types of
entities not listed in the table could also
be regulated. To determine whether
your activities would be regulated by
this proposed action, you should
carefully examine the applicability
criteria in the referenced regulations.
You may direct questions regarding the
applicability of this proposed action to
the person listed in the preceding FOR
FURTHER INFORMATION CONTACT section.
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B. What should I consider as I prepare
my comments?
Direct your comments to Docket ID
No. EPA–HQ–OAR–2012–0102. EPA’s
policy is that all comments received
will be included in the public docket
without change and may be made
available online at www.regulations.gov,
including any personal information
provided, unless the comment includes
information claimed to be Confidential
Business Information (CBI) or other
information whose disclosure is
restricted by statute. Do not submit
information that you consider to be CBI
or otherwise protected through
www.regulations.gov or email. The
www.regulations.gov Web site is an
‘‘anonymous access’’ system, which
means 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
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
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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 be free of any defects or
viruses. For additional information
about EPA’s public docket visit the EPA
Docket Center homepage at https://
www.epa.gov/epahome/dockets.htm.
(1) Tips for Preparing Your Comments
When submitting comments,
remember to:
• Identify the rulemaking by docket
number and other identifying
information (subject heading, Federal
Register date and page number).
• Follow directions—The agency may
ask you to respond to specific questions
or organize comments by referencing a
Code of Federal Regulations (CFR) part
or section number.
• Explain why you agree or disagree,
suggest alternatives, and substitute
language for your requested changes.
• Describe any assumptions and
provide any technical information and/
or data that you used.
• If you estimate potential costs or
burdens, explain how you arrived at
your estimate in sufficient detail to
allow for it to be reproduced.
• Provide specific examples to
illustrate your concerns, and suggest
alternatives.
• Explain your views as clearly as
possible, avoiding the use of profanity
or personal threats.
• Make sure to submit your
comments by the comment period
deadline identified in the DATES section
above.
(2) How do I submit confidential
business information?
Do not submit CBI to EPA through
www.regulations.gov or email. Clearly
mark the part or all of the information
that you claim to be CBI. For CBI in a
disk or CD ROM that you mail to EPA,
mark the outside of the disk or CD ROM
as CBI and then identify electronically
within the disk or CD ROM the specific
information that is claimed as CBI. In
addition to one complete version of the
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comment that includes information
claimed as CBI, a copy of the comment
that does not contain the information
claimed as CBI must be submitted for
inclusion in the public docket.
Information so marked will not be
disclosed except in accordance with
procedures set forth in 40 CFR part 2.
(3) Will the agency consider late
comments?
EPA will consider all comments
received before the close of business on
the comment closing date indicated
above under DATES. To the extent
practicable, we will also consider
comments received after that date. If
interested persons believe that any new
information the agency places in the
docket affects their comments, they may
submit comments after the closing date
concerning how the agency should
consider that information for the final
rule. However, the agency’s ability to
consider any such late comments in this
rulemaking will be limited due to the
time frame for issuing the final rule.
If a comment is received too late for
us to practicably consider in developing
the final rule, we will consider that
comment as an informal suggestion for
future rulemaking action.
(4) How can I read the comments
submitted by other people?
You may read the materials placed in
the dockets for this document (e.g., the
comments submitted in response to this
document by other interested persons)
at any time by going to https://
www.regulations.gov. Follow the online
instructions for accessing the dockets.
You may also read the materials at the
EPA Docket Center by going to the street
addresses given above under
ADDRESSES.
I. Direct Final Rule
In addition to this notice of proposed
rulemaking, EPA is also publishing a
Direct Final Rule (DFR) addressing
provisions described in Sections III and
IV of this document. We are doing this
to expedite the regulatory process to
allow the amendments to occur as soon
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as possible. However, if we receive
relevant adverse comment on distinct
elements of any of the provisions in this
proposal by July 17, 2013, we will
publish a timely withdrawal in the
Federal Register indicating which
provisions we are withdrawing. Any
provisions of the DFR that are not
withdrawn will become effective on
August 16, 2013, notwithstanding
adverse comment on any other
provision. We will address all public
comments in the final rule based on this
proposed rule.
As noted above, EPA is publishing the
DFR to expedite the regulatory process
to allow engine and vehicle
certifications and engine replacements
to occur as soon as possible according
to the clarified regulations. We request
that commenters identify in your
comments any portions of the proposed
action described in Sections II and III
below with which you agree and
support as proposed, in addition to any
comments regarding suggestions for
improvement or provisions with which
you disagree. In the case of a comment
that is otherwise unclear whether it is
adverse, EPA would interpret relevant
comments calling for more flexibility or
less restrictions for engines or vehicles
as supportive of the direct final rule. In
this way, EPA will be able to adopt
those elements of the DFR that are fully
supported and most needed today,
while considering and addressing any
adverse comments received on the
proposed rule, in the course of
developing the final rule. See the DFR
for the regulatory text associated with
this proposal.
Note that Docket Number EPA–HQ–
OAR–2012–0102 is being used for both
the DFR and this NPRM.
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II. Proposed Amendments to the HeavyDuty Engine and Vehicle Greenhouse
Gas Emission Standards Rule
EPA and the National Highway Traffic
Safety Administration (NHTSA)
developed the first-ever program to
reduce greenhouse gas (GHG) emissions
and fuel consumption in the heavy-duty
(HD) highway vehicle sector. The
rulemaking was developed as a single,
national program with both EPA and
NHTSA promulgating complementary
standards that allow manufacturers to
build one set of vehicles to comply with
both agencies’ regulations. This broad
heavy-duty sector—ranging from large
pickups to sleeper-cab tractors—
together represent the second largest
contributor to oil consumption and GHG
emissions from the mobile source
sector, after light-duty passenger cars
and trucks. The final rule was published
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in the Federal Register on September
15, 2011 (76 FR 57106).
A. Background of the HD GHG and Fuel
Efficiency Standards and Amendments
EPA’s GHG standards and NHTSA’s
fuel consumption standards apply to
manufacturers of the following types of
heavy-duty vehicles and their engines:
• Heavy-duty Pickup Trucks and Vans
• Combination Tractors
• Vocational Vehicles
The rules include separate standards
for the engines that power combination
tractors and vocational vehicles. Certain
parts of the program are exclusive to
EPA’s GHG standards. These include
EPA’s final hydrofluorocarbon
standards to control leakage from air
conditioning systems in combination
tractors and in pickup trucks and vans.
Also exclusive to the EPA rules are
standards for nitrous oxide (N2O) and
methane (CH4) emissions standards that
apply to all heavy-duty engines and to
pickup trucks and vans.
EPA’s final greenhouse gas emission
standards for heavy-duty vehicles under
the Clean Air Act will begin with model
year 2014. NHTSA’s final fuel
consumption standards under the
Energy Independence and Security Act
of 2007 will be voluntary in model years
2014 and 2015, becoming mandatory
with model year 2016 for most
regulatory categories. Both agencies
allow manufacturers to comply early in
model year 2013 and promote early
compliance by providing incentives to
do so.
In the final rulemaking, EPA
established all-new regulations in 40
CFR parts 1036, 1037, and 1066. EPA
also included changes to existing
regulations in 40 CFR parts 85, 86, 1039,
1065, and 1068. Similarly, NHTSA
modified its existing regulations in 49
CFR parts 523 and 534, and established
an all-new regulation in 49 CFR part
535.
After publication of the heavy-duty
rule, EPA and NHTSA began an
extensive outreach effort to aid in the
rule’s implementation. For example,
EPA and NHTSA held public
workshops on November 3, 2011 and
August 10, 2012. In the course of these
efforts, the agencies received a series of
comments on specific aspects of the
rules and prepared question and answer
responses.1 In some cases, it became
clear that minor changes to the rules
would better clarify the rule’s intent, or
amend the rule to make it more
effective. The amendments proposed in
1 See U.S. EPA Web site at https://www.epa.gov/
otaq/climate/regs-heavy-duty.htm.
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this rule are largely based on these
implementation discussions.
The proposed revisions related to the
heavy-duty GHG emissions regulations
in this proposal are unique to EPA’s
regulations. Thus, this section is further
divided into subsections related to
specific parts of the Code of Federal
Regulations.
B. Proposed Amendments to the HeavyDuty GHG Regulations
The following proposed amendments
correct minor, technical inconsistencies
and add clarifications to the current
regulatory text. EPA proposes to amend
40 CFR parts 85, 86, 1036, 1037, 1065,
and 1066 to correct typographical errors,
clarify test procedures and certification
procedures, and correct the regulations
to make them consistent with the intent
expressed in the preamble to the final
rules (76 FR 57106). A comparison of
the original and proposed regulatory
text is provided in a memorandum to
the docket for this rulemaking.2
(1) Proposed Regulatory Changes to 40
CFR part 1036
EPA proposes to amend portions of
the regulations in 40 CFR part 1036, as
described below.
• Hybrid Testing: §§ 1036.525 and
1036.615 specify requirements for
testing hybrid engines and engines with
Rankine cycle waste heat recovery. The
regulatory text includes references for
testing ‘‘post-transmission’’ and ‘‘pretransmission’’ hybrid systems in these
sections. In a pre-transmission hybrid,
the energy from both the engine and
motor is input into the drive shaft prior
to the transmission. In a posttransmission hybrid, the engine energy
is input into the drive shaft prior to the
transmission, but the motor energy is
input into the drive shaft after the
transmission. Since post-transmission
hybrid architecture is incompatible with
engine testing, EPA proposes to remove
the reference to post-transmissions
systems in the hybrid engine test
requirements in 40 CFR part 1036. 40
CFR 1037.525, 1037.550, and 1037.615
include requirements for testing posttransmission hybrids using a vehicle
test. EPA anticipates that there would be
no impact on manufacturers by the
deletion of this text, since the vehicle
test procedures set out in the regulations
specify how to test post-transmission
systems.
• EPA proposes to revise §§ 1036.5,
1036.150, and 1036.615 to address
typographical issues to correct
2 Hicks, M. and A. Cullen. Memorandum to
Docket EPA–HQ–OAR–2012–0102. Heavy-Duty
Engine and Vehicle Greenhouse Gas Emissions and
Fuel Consumption Regulatory Changes. May 2013.
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regulatory citations within the
regulations.
• EPA proposes to correct
§ 1036.150(g)(2) and (3) to change the
assigned additive deterioration factor
(DF) for nitrous oxide (N2O) and
methane (CH4) emissions from 0.02 to
0.020 g/hp-hr to account for the
appropriate number of significant digits.
• EPA proposes to amend § 1036.225
to clarify that the CO2 family emission
limit (FEL) is not required on the
emission control information (ECI) label
according to the provisions in
§ 1036.135.
• EPA proposes to clarify that the CH4
and N2O emission standards apply to all
testable configurations in § 1036.205.
• EPA proposes to add a definition of
‘‘preliminary approval’’ to § 1036.801.
(2) Proposed Regulatory Changes to 40
CFR Part 1037
EPA also proposes to revise portions
of the regulations in 40 CFR Part 1037
to correct technical errors and provide
additional clarity in the regulations.
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(a) Hybrid Testing
Sections 1037.525, 1037.550, and
1037.615 describe or reference the
procedure to be used for testing hybrid
vehicles with power take off (PTO)
devices on a whole vehicle test. Both
pre- and post-transmission hybrid
architectures can be used with power
take off (PTO) devices. The current rule
text states that manufacturers could test
post-transmission hybrids on the
vehicle test procedure to quantify CO2
and fuel consumption improvements
resulting from running PTO equipment,
but inadvertently excluded pretransmission hybrid architecture from
being tested on a vehicle test. Since PTO
devices can also be used in hybrid
vehicles with pre-transmission
architecture, EPA is proposing to amend
the language to allow these pretransmission hybrid vehicles with PTO
to be tested on the whole vehicle test
procedure.
(b) Advanced Technologies
Improvement Factor
Section 1037.615 describes the
procedure for measuring CO2
improvements from vehicles with
hybrid and other advanced technologies
(such as Rankine engines, electric
vehicles and fuel cell vehicles), in order
to generate advanced technology
credits.3 Section 1037.615 specifies how
3 Advanced technology credits may be increased
by a 1.5 multiplier and applied to any heavy-duty
vehicle or engine subcategory with certain
maximum limits applying. See 40 CFR 1036.740,
1037.740 and 49 CFR 535.7(e) for description of
advanced technology credit program.
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manufacturers can measure the
effectiveness of the advanced system by
chassis-testing a vehicle equipped with
the advanced system and an equivalent
conventional vehicle using the test
procedures in 40 CFR Part 1037, subpart
F.
The effectiveness of the advanced
system is calculated by measuring the
CO2 output from chassis tests of the
vehicle with the advanced system and
an equivalent conventional vehicle,
thereby obtaining the relative marginal
improvement between the two vehicles
(the ‘‘improvement factor’’). The
‘‘benefit’’ associated with the advanced
system is then calculated by multiplying
the Greenhouse Gas Emissions Model
(GEM) result for the vehicle with
advanced technology by the
dimensionless improvement factor. The
benefit is then converted to advanced
technology credits in a model year for
each vehicle family within an averaging
set.
The final rule specified the procedure
for applying an improvement factor in
simulating a chassis test with a posttransmission hybrid system for A to B
testing (§ 1037.550), but did not allow
the improvement factor to be applied to
multiple vehicle configurations having
the same advanced technology
(§ 1037.615). The post-transmission
system test procedure specifically
allows the application of an
improvement factor or test results to
multiple vehicle configurations, as long
as the values used for the calculations
‘‘represent the vehicle configuration
with the smallest potential reduction in
greenhouse gas emissions as a result of
the hybrid capability’’ and are
consistent with good engineering
judgment. EPA proposes to amend the
regulatory text that describes the
measurement of advanced technology
improvement to include this
specification as well.
EPA proposes to revise § 1037.615 to
allow manufacturers to generate
advanced technology credits from
multiple heavy-duty vehicle
configurations within a vehicle family
group by testing a single vehicle of that
group, provided the vehicle tested has
the smallest potential reduction in fuel
consumption of the vehicles with
advanced technology capability. EPA
anticipates that this proposed change
may reduce testing and reporting costs
for manufacturers while still allowing
flexibility in choosing to test additional
configurations within the family group.
By limiting the use of this testing option
to vehicles with the smallest potential
reduction in emissions (or fuel
consumption), emission reductions
would not be compromised.
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(c) Optional Certification for Up to Class
6 Spark-Ignition Engine Vehicles
Heavy-duty pickup trucks and vans
are pickup trucks and vans with a gross
vehicle weight rating between 8,501
pounds and 14,000 pounds (Class 2b
through 3 vehicles) manufactured as
complete vehicles by a single or final
stage manufacturer or manufactured as
incomplete vehicles as designated by a
manufacturer. Under the GHG rule,
these vehicles are certified on a chassis
dynamometer test, as opposed to the
GEM simulation tool used to certify the
vocational and tractor categories.
NHTSA’s current regulations allow
Classes 4 and 5 spark-ignition vehicles
the option of certifying on a chassis
dynamometer test, as those vehicles
may have more similar characteristics to
a Class 2b–3 pickup or van than they do
other vehicles in their class. At the time
of the final rule, NHTSA was unaware
of any higher class spark ignition
vehicles that would be similarly
appropriate to test on a chassis
dynamometer. EPA’s current regulations
allow spark-ignition vehicles of all
classes the option of certifying on a
chassis dynamometer test.4
This proposed amendment would
align the regulatory texts by closing the
current gap between NHTSA and EPA’s
optional certification provisions. EPA
therefore proposes to allow
manufacturers of complete or cabcomplete vehicles up to and including
Class 6 that have spark-ignition engines
the option of chassis dynamometer
certification. See references in
§§ 1037.104 and 1037.150.
(d) Configuration and Subconfiguration
Definitions
The existing EPA regulations contain
definitions for ‘‘configuration’’ and
‘‘subconfiguration,’’ which define how
to group vehicles by similar
characteristics within a test group when
conducting testing to determine CO2
emissions for heavy-duty pickup trucks
and vans. ‘‘Configuration’’ means a
subclassification within a test group that
is based on engine code, transmission
type and gear ratios, final drive ratio
and other parameters that EPA
designates. Likewise,
‘‘subconfiguration’’ means a unique
combination within a vehicle
configuration of equivalent test weight,
road-load horsepower, and any other
operational characteristics or parameters
that EPA determines may significantly
affect CO2 emissions within a vehicle
configuration.
4 See
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The current definitions could be
specified further according to
established principles to prevent any
ambiguity for manufacturers in
conducting testing for heavy-duty
pickup trucks and vans. The terms
‘‘transmission type’’ and ‘‘engine code’’
can be further defined in the definition
for ‘‘configuration,’’ to reflect common
industry understanding of the terms. In
addition, the term ‘‘equivalent test
weight’’ could be further defined in the
definition for ‘‘subconfiguration’’ to
carryover the existing definition
included in § 1037.104(d)(11).
Therefore, EPA is proposing to add
these further details to clarify these
terms in § 1037.104(d)(12).
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(e) Vocational Tractor Vehicle Families
The regulatory text in 40 CFR
1037.230 related to vocational tractor
families is unintentionally ambiguous,
and is inconsistent with, the preamble
and other regulatory text. In the
vocational tractor provisions of
§ 1037.630(b)(2), EPA requires that
tractors ‘‘reclassified under this
provision must be certified as a separate
vehicle family. However, they remain
part of the vocational regulatory
subcategory and averaging set that
applies to their weight class.’’ Although
§ 1037.630(b)(2) requires two vocational
tractor families dependent on the GVWR
of the vehicle, the text in
§ 1037.230(a)(1) implies only a single
vocational tractor family default. This
inconsistency is the result of an
oversight when provisions were added
allowing tractors to certify as vocational
vehicles, and it is inconsistent with the
way vehicle families are treated
throughout the program, where they are
split by weight class (76 FR at 57240,
September 15, 2011). Therefore, EPA is
proposing to revise § 1037.230(a)(1) to
be consistent with § 1037.630(b)(2) by
splitting the vocational vehicles families
into two groups, those above 33,000
pounds GVWR and those above 26,000
pounds GVWR and at or below 33,000
pounds GVWR.
(f) 40 CFR Part 1037 Aerodynamic
Assessment
A vehicle’s design impacts the
amount of power that is required to
move the vehicle down the road.
Depending on the vehicle speed, two of
the largest impacts on GHG emissions
and fuel consumption are aerodynamics
and tire rolling resistance. As part of the
Heavy-Duty GHG and Fuel Efficiency
rule, manufacturers are required to meet
vehicle-based GHG emissions and fuel
5 U.S. EPA and NHTSA. Final Rulemaking to
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efficiency standards. Compliance with
the vehicle standard for combination
tractors is determined based on a
vehicle simulation tool called the
Greenhouse Gas Emissions Model
(GEM). Various characteristics of the
vehicle are measured and these
measurements are used as inputs to the
model. These characteristics relate to
key technologies appropriate for this
subcategory of truck—including
aerodynamic features, weight
reductions, tire rolling resistance, the
presence of idle-reducing technology,
and vehicle speed limiters. See
generally 76 FR 57135.
The aerodynamic drag of a vehicle is
determined by the vehicle’s coefficient
of drag (Cd), frontal area, air density and
speed. As noted in the Heavy-Duty GHG
and Fuel Efficiency rule, quantifying
truck aerodynamics as an input to the
GEM presents technical challenges
because of the proliferation of vehicle
configurations, the lack of a clearly
preferable standardized test method,
and subtle variations in measured
aerodynamic values among various test
procedures (76 FR 57148–57151). Class
7 and 8 tractor aerodynamics are
currently developed by manufacturers
using a range of techniques, including
wind tunnel testing, computational
fluid dynamics, and constant speed
tests.
We developed a broad approach that
allows manufacturers to use these
multiple different test procedures to
demonstrate aerodynamic performance
of the tractor fleet given that no single
test procedure is superior in all aspects
to other approaches. Allowing
manufacturers to use multiple test
procedures and modeling coupled with
good engineering judgment to determine
aerodynamic performance is consistent
with the current approach used in
determining representative road load
forces for light-duty vehicle testing (40
CFR 86.129–00(e)(1)). However, we also
recognize the need for consistency and
a level playing field in evaluating
aerodynamic performance.
EPA and NHTSA developed a bin
structure to group aerodynamic test
results for the proposed rulemaking, and
adjusted the method used to determine
the bins in the final rule. The agencies,
while working with industry, developed
an approach for the final rulemaking
which identified a reference
aerodynamic test method and a
procedure to align results from other
aerodynamic test procedures with the
reference method, an enhanced
coastdown procedure. Manufacturers
are able to use any aerodynamic
evaluation method in demonstrating a
vehicle’s aerodynamic performance as
long as the method is aligned to the
reference method.
As discussed in the final rule, the
agencies adopted aerodynamic
technology bins which divide the wide
spectrum of tractor aerodynamics into
five bins (i.e., categories) for high roof
tractors (see 76 FR 57149). The first high
roof category, Bin I, is designed to
represent tractor bodies that prioritize
appearance or special duty capabilities
over aerodynamics. These Bin I trucks
incorporate few, if any, aerodynamic
features and may have several features
that detract from aerodynamics, such as
bug deflectors, custom sunshades, Bpillar exhaust stacks, and others. The
second high roof aerodynamics category
is Bin II, which roughly represents the
aerodynamic performance of the average
new tractor sold today. The agencies
developed this bin to incorporate
conventional tractors that capitalize on
a generally aerodynamic shape and
avoid classic features which increase
drag. High roof tractors within Bin III
build on the basic aerodynamics of Bin
II tractors with added components to
reduce drag in the most significant areas
on the tractor, such as integral roof
fairings, side extending gap reducers,
fuel tank fairings, and streamlined grill/
hood/mirrors/bumpers, similar to
SmartWay trucks today. The Bin IV
aerodynamic category for high roof
tractors builds upon the Bin III tractor
body with additional aerodynamic
treatments such as underbody airflow
treatment, down exhaust, and lowered
ride height, among other technologies.
And finally, Bin V tractors incorporate
advanced technologies that are currently
in the prototype stage of development,
such as advanced gap reduction,
rearview cameras to replace mirrors,
wheel system streamlining, and
advanced body designs.
EPA and NHTSA developed the
aerodynamic drag area, CdA, bin values
for the tractor categories based on
coastdown testing conducted by EPA
using the enhanced coastdown test
procedures adopted for the final HD
GHG and Fuel Efficiency rulemaking.
EPA tested high roof sleeper cab
combination tractors from each of the
manufacturers in order to represent the
aerodynamic performance that we
would expect from a Bin III vehicle. The
test results used for the HD GHG and
Fuel Efficiency final rule are included
in Table II–1 below.5
Fuel Efficiency Standards for Medium- and Heavy-
Duty Engines and Vehicles—Regulatory Impact
Analysis. August 2011. Page 2–48.
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TABLE II–1—TRACTOR CDA VALUES USED IN HD GHG FINAL RULE
[Class 8 high roof sleeper cab]
Truck
Expected bin
B–3JM2–2H–TXCR ...............................................
B–3JM2–4N–TXCR ...............................................
B–3JM2–2K–TXCR ...............................................
C–3JM2–1B–TXCR ...............................................
C–3JE2–1F–TXCR ................................................
As part of EPA’s quality checks to the
enhanced coastdown test program, EPA
supplied OEMs with the coastdown test
data for their individual trucks. Through
post-rulemaking work with one OEM,
EPA found an error in the data
Bin
Bin
Bin
Bin
Bin
Source
III .............................
III–IV .......................
III .............................
III .............................
II–III .........................
EPA
EPA
EPA
EPA
EPA
Test
Test
Test
Test
Test
Program
Program
Program
Program
Program
attributable to a testing contractor. The
contractor had entered the same
coastdown run twice into the dataset
provided to EPA for one of the trucks
tested (one of 20 repeat runs was
entered twice). As a result the truck
...............................................
...............................................
...............................................
...............................................
...............................................
CdA (m2)
6.4
5.7
6.3
6.2
6.7
appeared to have a CdA value of 5.7,
rather than its actual value of 6.6. As
such, the data that should have been
used to establish the aerodynamic bins
for the high roof sleeper cabs are listed
in Table II–2.
TABLE II–2—TRACTOR CDA VALUES USED IN THIS NPRM
[Class 8 high roof sleeper cab]
Truck
Expected bin
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B–3JM2–2H–TXCR ...............................................
B–3JM2–4N–TXCR ...............................................
B–3JM2–2K–TXCR ...............................................
C–3JM2–1B–TXCR ...............................................
C–3JE2–1F–TXCR ................................................
Since the coastdown test is an input
into the aerodynamic bins, EPA
proposes to correct the CdA range for
the affected bin levels. The proposed
adjustment to the ranges would allow
Bin III, which represents a SmartWay
truck, to still mean exactly what was
intended in the HD GHG and Fuel
Efficiency final rule. The proposed Bins
IV and V adjustments would require the
same level of improvement we expected
in the HD GHG and Fuel Efficiency final
rule. This proposed amendment is a
correction, so will not change the
standards or the costs or projected
emissions reductions. The HD GHG and
Fuel Efficiency rulemaking estimates of
technology costs and the resulting
aerodynamic efficiency improvements
were made separately from the test
procedure normalization reflected in the
bin tables. Those cost and technical
feasibility assessments set the absolute
values of the steps in the table, where
the testing results of the five tractors in
Table II–2 set the range of Bin III against
which the rest of the aerodynamic bins
are defined. Since EPA is not proposing
to change either the technical
descriptions of the bins or the estimates
of the aerodynamic loss or benefits in
moving between bins in the table, EPA
is estimating no change in HD GHG and
Fuel Efficiency final rulemaking costs or
benefits. EPA is also not proposing to
change the input into GEM related to
each aerodynamic bin; therefore, this
proposed change would have no impact
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Bin
Bin
Bin
Bin
Bin
Source
III .............................
III .............................
III .............................
III–IV .......................
II–III .........................
EPA
EPA
EPA
EPA
EPA
Test
Test
Test
Test
Test
Program
Program
Program
Program
Program
...............................................
...............................................
...............................................
...............................................
...............................................
on the GHG or on fuel consumption
standards.
EPA proposes to make the
adjustments shown in Table II–3 to
correct the technical error in the
coastdown data used in the HD GHG
and Fuel Efficiency final rule. The
proposed bin value adjustments would
be used by manufacturers to certify their
vehicles in their 2013 MY and later end
of year reports.
CdA (m2)
6.4
6.6
6.3
6.2
6.7
which stipulates that the entire heavyduty pickup truck and van fleet must be
certified to qualify for early credits (see
76 FR 57245). Also, EPA proposes to
clarify how heavy-duty pickup truck
and van subconfigurations are selected
for testing in § 1037.104(d)(9)(i) through
(iii). EPA is also proposing to revise
§ 1037.104(g)(2)(ii), (g)(2)(iv), and (g)(5)
to clarify the approach for estimating
analytically derived CO2 emission rates
(ADCs).
• Air Conditioning (A/C) Leakage
TABLE II–3—PROPOSED TABLE IN
Provisions: The MY2017–2025 Light§ 1037.520(b)
Duty GHG and Fuel Economy Rule
[High-roof sleeper cabs]
separated 40 CFR 86.1866 into four
sections for clarity. The A/C leakage
Then your
If your measThen your CD section moved to 40 CFR 86.1867–12.
bin level
ured CDA
input is . . .
is . . .
(m2) is . . .
Thus, EPA proposes to amend
§ 1037.115 to reflect this change. In
≥ 7.6 ............ Bin I .............
0.75 addition, EPA proposes to revise
6.8–7.5 ........ Bin II ............
0.68
§ 1037.115 because the procedure for
6.3–6.7 ........ Bin III ...........
0.60
5.6–6.2 ........ Bin IV ..........
0.52 determining the hydrofluorocarbon
≤5.5 ............. Bin V ...........
0.47 (HFC) leakage rate for air conditioning
systems with alternate refrigerants is
already addressed in SAE J2727, which
(g) Other 40 CFR Part 1037 Proposed
is incorporated by reference in 40 CFR
Amendments
86.1, and therefore does not need to be
• Heavy-Duty Pickup Truck and Van
included in § 1037.115.
Regulations: EPA proposes to amend
• Labeling clarification: EPA
several provisions in §§ 1037.15 and
proposes to clarify in § 1037.135 that the
1037.104 to specify which parts of 40
emission control label for the vehicle
CFR part 86 apply to these vehicles and only requires a statement regarding the
to specifically reference portions of 40
size of the fuel tank for vehicles that
CFR part 86 in 40 CFR part 1037. EPA
contain an evaporative canister for
also proposes to revise the language in
controlling emissions.
§ 1037.150(a)(2) to make it consistent
• Typographical fixes: EPA proposes
with the preamble to the final rule,
to address the typographical errors in
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§ 1037.135 relative to labeling,
§ 1037.501 related to the trailer
specification, and § 1037.520 which
includes a weight reduction
explanation.
• EPA proposes to clarify that the
general requirements for obtaining a
certificate of conformity and EPA’s
authority to perform confirmatory
testing on vehicles, including the
vehicles used to determine Falt-aero (see
§ 1037.201).
• EPA proposes to revise § 1037.550
to change the nomenclature used for the
vehicle speed variable from S to v to be
consistent with 40 CFR part 1065. EPA
is also proposing to remove the torque
control option for testing posttransmission hybrid systems because it
causes testing issues when the vehicle is
shifting and braking and by removing
the torque control mode from the
dynamometer control options it would
reduce lab-to-lab variability.
• EPA proposes to clarify the
regulatory text in § 1037.620(a)(3) for
instances where the secondary
manufacturer who would hold the
vehicle GHG certificate may be a small
business that would be exempted from
the GHG regulations.
• EPA proposes to revise § 1037.660
related to the automatic engine
shutdown (AES) provisions.
§ 1037.660(c) currently allows
manufacturers to obtain a discounted
credit for installing AES systems that
expire prior to the end of the vehicle’s
life based on the ratio of the set point
relative to 1,259,000 miles.6 EPA is not
revising that provision, except to change
the regulatory provision numbering
from § 1037.660(c) to § 1037.660(c)(1).
EPA is not revising that provision.
However, similar to the reasons which
supported the development of vehicle
speed limiter flexibilities, an automatic
engine shutdown system could be
developed to alleviate other potential
concerns that impede its adoption. For
example, some amount of idling may be
needed for truckers who experience
significant ambient temperature
excursions that would necessitate
extended idling or for idle reduction
technologies, such as auxiliary power
units, that malfunction and necessitate
extended idling. A remedy to these
concerns would be to design the AES
such that it allows for a predetermined
number of hours per year of idling. EPA
is proposing to add § 1037.660(c)(2) to
appropriately quantify the CO2
emissions and fuel consumption of a
6 The
basis for the lifetime mileage assumption
for heavy-duty tractors is discussed in the
Regulatory Impact Analysis for the Final Rule on
page 2–69. Available in Docket # EPA–HQ–OAR–
2010–0162–3634.
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partial AES system by discounting the
AES input to GEM. EPA is using an
assumption of 1,800 hours as the annual
idling time in the calculation, which is
consistent with the final rule (76 FR
57154). EPA used 1,800 hours as the
annual idling time for sleeper cabs
because it reasonably reflects the
available range of idling time cited in
several studies, as discussed in the
preamble to the final rule and in the
Final Regulatory Impact Analysis (pages
2–67 and 2–68).7 The 1,800 hours of
idling was used in the final rule to
determine the credit of 5 grams of CO2
per ton-mile for the use of AES systems
(page 2–68 of the Final Regulatory
Impact Analysis).
• EPA proposes to add a provision to
§ 1037.745. This new proposed
provision would clarify manufacturers’
liability for offsetting debits (or deficit
credits) after certifying with emissions
above the standards for three years. We
want to avoid claims that the statute of
limitations starts to apply in the first
year of using debits, since this could
significantly limit our ability to
adequately enforce the requirement. We
have generally adopted this approach in
other rules that allow debits to be
carried forward a given number of
model years and are later offset with
credits (40 CFR 86.1861–04(e), 86.1864–
10(o), and 86.1865–12(k)).
• EPA proposes to add a definition of
‘‘preliminary approval’’ to § 1037.801.
• EPA proposes to revise the
‘‘Regulatory Sub-category’’ definitions
in § 1037.801 to match the definition of
‘‘Class’’ in 40 CFR 1037.801, be
consistent with DOT’s Gross Vehicle
Weight Rating Classes in Table II of 49
CFR 565.15, and aggregate the heavyduty pickup truck and van sub-category
to match the definition in 49 CFR 535.4.
(3) Proposed Regulatory Changes to 40
CFR parts 1065 and 1066
EPA proposes to restore text to
§ 1065.610(c)(3)(i) through (iii) which
was inadvertently removed in the final
rule for Category 3 marine diesel
engines (75 FR 22896, April 30, 2010).
This text was most recently published
in the final rule adopting standards for
locomotive engines and Category 1 and
Category 2 marine diesel engines (73 FR
37325, June 30, 2008).
EPA is also proposing to revise
portions of the regulations in 40 CFR
part 1066 to clarify test procedures.
Specifically, we propose to revise
7 Regulatory Impact Analysis: Final Rulemaking
to Establish Greenhouse Gas Emissions Standards
and Fuel Efficiency Standards for Medium- and
Heavy-Duty Engines and Vehicles. August 2011.
Available in Docket # EPA–HQ–OAR–2010–0162–
3634.
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§ 1066.310(b) to clarify the coastdown
process and simplify the anemometer
calibration process.
(4) Proposed Regulatory Changes to 40
CFR Part 85
EPA proposes to revise § 85.525 to
separate the light-duty and heavy-duty
fuel conversion regulations to provide
clarity regarding the applicability of the
fuel conversion regulations to heavyduty pickup trucks and vans.
(5) Proposed Regulatory Changes to 40
CFR Part 86
EPA is also proposing to revise
portions of the regulations in 40 CFR
part 86. First, EPA is revising § 86.010–
18(q) to provide a mechanism for engine
manufacturers to identify engines which
are only suitable for installation in
hybrid applications due to the on-board
diagnostics (OBD) calibration.
Manufacturers who opt to produce a
unique set of engines for hybrid
applications will include a compliance
statement on the ECI label that states
‘‘for use in hybrid applications only.’’
Second, EPA proposes to revise
portions of § 86.1865–12 to clarify the
provisions that specifically apply to the
heavy-duty pickup trucks and vans
subject to 40 CFR 1037.104.
Third, EPA proposes to remove
§§ 86.007–23(n) and 86.1844–01(j),
which describe how to report CO2, N2O,
and CH4 emissions. There is no need or
benefit for manufacturers to submit
greenhouse gas emission data in the
model years before emission standards
apply for those pollutants.
(6) Summary of Proposed Heavy-Duty
GHG Amendments
EPA does not expect that these
proposed revisions to 40 CFR parts 85,
86, 1036, 1037, 1065, and 1066 would
have any adverse cost impact to the
manufacturers. There are no testing
costs associated with the proposed
revisions. There would be no
environmental impact associated with
this regulatory action because this
proposed rulemaking would not change
the heavy-duty engine and vehicle
greenhouse gas emission standards that
manufacturers have to meet; it simply
makes some minor amendments to the
regulations.
III. Other Technical Amendments
A. Replacement Engines
In 1996, EPA adopted a provision
allowing manufacturers in limited
circumstances to produce new, exempt
engines for replacing failed engines (61
FR 58102, November 12, 1996). With
this approach, manufacturers have been
able to make new, exempt engines in
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cases where engines certified to current
standards do not have the physical or
performance characteristics needed to
power the equipment with the old
engine. Without this provision, some
equipment owners would have been
forced to prematurely scrap otherwise
working equipment (sometimes worth
millions of dollars), because no engine
meeting current emission standards
could be adapted for installation in the
space occupied by the original engine.
EPA later added language to the
replacement engine exemption to
address the complications related to
producing partially complete engines
for replacement purposes, and to
address the need to produce and sell
replacement engines such that they
would be available to operators with a
critical need to avoid extended
downtime in the case of engine failure
(73 FR 59034, October 8, 2008). This
expanded approach allowed
manufacturers to sell a limited number
of new, exempt replacement engines
without taking the steps that would
otherwise be required to document the
need for the exemption and to arrange
for the proper disposition of the old
engine. Along with this expanded
approach, EPA added circumvention
language to describe the overall purpose
of the replacement engine exemption in
an attempt to prevent manufacturers
and operators from using exempted
engines in ways that were unnecessary
and/or detrimental to the environment.
In particular, this text states that the
provisions § 1068.240 are ‘‘intended to
allow for replacement of engines that
fail prematurely . . .’’ This language has
been interpreted to mean that
replacement engines may be used for no
other purpose.
Since then, EPA has found that the
circumvention language has had some
unintended consequences. For example,
California has adopted requirements for
operators to reduce emissions from inuse equipment, which has led to a
desire to install new replacement
engines that are cleaner than the old
engines. It is often the case that it is
infeasible or impractical to install
replacement engines certified to current
standards, but suitable replacement
engines designed to meet an
intermediate level of emission standards
are available. The circumvention
language may prevent operators in
California from achieving overall
emission reductions that would result
from upgrading their existing equipment
with cleaner engines in this manner. It
may also be the case that an engine will
simply wear out, rather than
experiencing premature failure, well
before the equipment in which it is
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installed is at the end of its life. Under
the current regulation, an operator
under these circumstances would need
to install a new engine certified to
current standards, or find a used engine,
to keep the equipment operating.
EPA continues to believe that new,
exempt replacement engines should
only be used in cases where a currently
certified engine cannot practically be
installed to power the old equipment.
EPA believes the regulatory language
without our description of intent to
prevent circumvention serves this
purpose without the unintended
consequences described above. EPA is
therefore proposing to remove the
circumvention provisions from the
regulations in § 1068.240. EPA expects
manufacturers and operators following
the regulations to continue to use the
exemption provisions appropriately and
not for the purpose of circumventing the
emission standards. EPA is proposing to
add language to explicitly limit this
provision to equipment that has been in
service 25 years or less (at the point of
installation) so that manufacturers and
operators do not use this provision to
keep in operation older dirtier,
equipment beyond the normal lifetime
of the equipment, by continually using
new engines to replace old engines. EPA
has adopted this same restriction for
stationary engines under 40 CFR
60.4210(i), except that the maximum
equipment age is 15 years. EPA will
continue to monitor compliance with
the exemption provisions and will
consider any appropriate changes to the
regulation in the future to ensure that
the exemption is properly used toward
this purpose. This proposed 25-year
limit would not apply for marine diesel
engines, since those engines are subject
to separate replacement engine
provisions.
The proposed tracked option
specified in § 1068.240(b) also includes
an additional step to qualify for the
replacement engine exemption for
equipment not experiencing premature
engine failure. In particular,
manufacturers would need to make a
determination that the replacement
engine is designed with the greatest
degree of emission control that is
available for the particular application.
For example, if the engine being
replaced was built before the Tier 1
standards started to apply and engines
of that size are currently subject to Tier
2 standards, the manufacturer would
need to also consider whether it
produces any Tier 1 or Tier 2 engines
with the appropriate physical and
performance characteristics for
replacing the old engine. If the
manufacturer produces a Tier 1 engine
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with the appropriate physical and
performance characteristics, engines
emitting at levels above the Tier 1
standards would not qualify for an
exemption. The proposed requirement
to use the cleanest available engine fits
with the intent of facilitating voluntary
incentive programs involving
replacement engine upgrades toward the
goal of reducing emissions from in-use
equipment, but without imposing a
requirement that would involve new
technology development or impractical
equipment design changes. This
provision has already been in place for
marine diesel engines in § 1042.615. In
the case of equipment experiencing
premature engine failure, we would
continue to apply the simpler
requirement that the replacement engine
must meet emission standards that are
the same as or better than the standards
that apply to the old engine.
EPA is also proposing to adjust the
provisions related to the disposition of
the old engine in § 1068.240(b). To be
re-introduced into U.S. commerce, the
old engine must either meet current
emission standards or qualify for an
exemption as if it were a new engine.
The old engine could be re-used as a
replacement engine for a different piece
of equipment. Under this proposed
approach, an engine made from all new
parts and an engine built with a used
engine block and any mix of new or
used additional parts would be treated
the same way. For example, the recycled
replacement engine would be subject to
all the demonstrations and
documentation requirements of
§ 1068.240(b), and it would count
toward the allowance to produce a
limited number of replacement engines
under § 1068.240(c). For engines that are
not re-introduced into U.S. commerce,
manufacturers must destroy the old
engine or confirm that it has been
destroyed. These proposed changes
would further address the concern
expressed in the circumvention
language described above; in particular,
EPA believes it is necessary to prevent
the possibility of these old engines
being installed in new equipment.
EPA is also proposing some
clarification to the regulations to
address questions that have arisen, as
well as making the following changes:
• Proposing revision of the labeling
requirements to account for the
possibility of using a new replacement
engine to replace a previously exempted
replacement engine. To the extent that
the proposed revised label statement
differs from that specified by California
ARB, we would expect to approve an
adjusted statement that allows for a
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single, 50-state label under
§ 1068.201(c).
• Proposing to adjust the reporting
deadline for untracked replacement
engines under § 1068.240(c). This
proposed change would allow
manufacturers some time after the end
of the calendar year to make the
determinations and to take the required
steps to fulfill the tracking requirements
for replacement engines under
§ 1068.240(b). Any engines for which
these steps and determinations are
incomplete by the deadline for the
report would need to be counted as
untracked replacement engines. Further,
to account for prevailing practices and
typical timelines for replacement
engines, we would move back the
deadline for this report from February
15 to March 31.
• Proposing to revise § 1068.240(c)(1)
to specify that manufacturers may base
sales limits for the untracked option on
total U.S. production of certified and
exempted engines together (including
stationary engines).
• Proposing to add language to clarify
that § 1068.240(e) applies only for
engines produced under a current, valid
certificate. An exemption under
§ 1068.240(b) or (c) would be required to
produce an engine that is identical to
one that is no longer certified, even if
the engine was formerly certified to
standards (or a Family Emission Limits)
that are at least as stringent as the
current standards.
• Proposing clarifications to the
provisions in § 1068.240(d) related to
partially complete engines also apply
for ‘‘current-tier’’ replacement engines
exempted under § 1068.240(e).
• Proposing to add a statement to
§ 1042.615 for marine diesel engines to
clarify our pre-determination that
certified Tier 4 engines do not have the
appropriate physical and performance
characteristics for replacing older
engines in marine vessels. This policy
was established in our June 30, 2008
final rule (see 73 FR 37157).
In addition, we are proposing to
revise § 1068.1 to correct two errors
regarding the applicability of part 1068.
First, we propose to restore highway
motorcycles to the list of categories that
are not subject to part 1068. This was
added, but then inadvertently removed,
when we were completing two parallel
rulemakings. Second, we are proposing
to add a reference to 40 CFR part 85 to
identify how part 1068 applies in
certain circumstances for heavy-duty
highway engines. These proposed
changes are intended to clarify and
reinforce existing requirements without
modifying the underlying programs in
any way.
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B. Nonroad Diesel Engine Technical
Hardship Program
EPA is proposing to amend the
nonroad diesel engine technical
hardship program to facilitate EPA
granting exemptions to address certain
hardship circumstances that were not
considered when the original 2004 final
rule was published. EPA adopted Tier 4
standards for nonroad diesel engines
under 40 CFR part 1039 in 2004 (69 FR
38958, June 29, 2004). To meet these
standards, engine manufacturers are
pursuing development of advanced
technologies, including new approaches
for exhaust aftertreatment. Equipment
manufacturers will need to modify their
equipment designs to accommodate
these new engine technologies and the
corresponding changes to engine
operating parameters (such as operating
temperatures and heat rejection rates).
To provide flexibility for equipment
manufacturers in their efforts to respond
to these engine design changes, the Tier
4 standards included the Transition
Program for Equipment Manufacturers.
Flexibilities allowed under this program
include delaying compliance with
small-volume equipment models for
several years or using allowances in the
first year to manage the transition to the
Tier 4 engines.
The Transition Program for
Equipment Manufacturers is intended to
allow nonroad equipment
manufacturers wide discretion to
manage their product development
timeline. Equipment manufacturers may
comply either based on a percent of
their production (generally for highvolume manufacturers, as described in
§ 1039.625(b)(1)), or based on a
maximum number of exempted pieces
of equipment (generally for low-volume
manufacturers, as described in
§ 1039.625(b)(2)). At the same time, the
regulations include at § 1039.625(m) an
acknowledgement that equipment
manufacturers might face a wide range
of circumstances, including cases where
engine manufacturers might be late in
providing compliant engines to
nonintegrated equipment manufacturers
such that the specified allowances are
insufficient to avoid a disruption in the
equipment manufacturer’s production
schedule. The technical hardship
provision at § 1039.625(m) allows EPA
to make a judgment that an equipment
manufacturer that buys engines from
another company, through no fault of its
own, needs additional allowances to
manage the transition to Tier 4
products. The regulation specifies a
maximum allowance of 150 percent of
a manufacturer’s annual production
(relative to § 1039.625(b)(1)), or a total of
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1,100 allowances (relative to
§ 1039.625(b)(2)). The regulation also
provides economic hardship provisions
under § 1068.255; however, eligibility
depends on manufacturers showing that
their solvency is in jeopardy without
relief. Economic hardship therefore
serves as a flexibility provision of last
resort.
As the compliance dates for the Tier
4 standards approach, equipment
manufacturers have described several
scenarios where the technical hardship
provisions are too restrictive to address
their circumstances. For example,
engine manufacturers have in some
cases delayed delivery of Tier 4 engines
until six or even twelve months after the
Tier 4 standards start to apply, which
could force equipment manufacturers to
use up all their allowances under
§ 1039.625(b) in the first year of the new
standards. The maximum number of
allowances under § 1039.625(m) would
cover a good portion of the second year
of the Tier 4 standards, but we have
heard how this too is inadequate to
allow equipment manufacturers to
respond to late deliveries of compliant
engines.
As another example where additional
flexibility may be warranted, corporate
acquisitions can cause equipment
manufacturers to find themselves
disadvantaged with respect to
allowances because two companies have
become a single company for purposes
of regulatory compliance. Taken to an
extreme, the combined company could
exceed its allowances under
§ 1039.625(b) on the day of the merger
because each of the separate companies
may have used allowances that, taken
together, exceed the specified
thresholds for a single company. The
combined company may apply for
technical hardship under § 1039.625(m),
but we have seen that this too can
provide insufficient relief for equipment
manufacturers trying to incorporate Tier
4 engines into their equipment.
In these cases, the maximum
allowable relief under § 1039.625(m) is
insufficient to allow equipment
manufacturers to transition to meeting
Tier 4 requirements without disrupting
their ability to continue producing their
equipment models. There have also
been cases where a company would
meet the criteria to qualify for
consideration for technical hardship
under § 1039.625(m) except that the
regulation disallows technical hardship
relief for all engines above 560 kW and
provides only limited relief for engines
above 37 kW. The regulation also
provides only limited relief for
companies that are not small businesses.
In these cases, no additional relief is
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available under § 1039.625(m), which
again leaves equipment manufacturers
unable to continue producing their
equipment models.
We are proposing to amend the
Transition Program for Equipment
Manufacturers in three ways to address
these concerns. First, we propose to
remove the qualifying criteria so that
any equipment manufacturer may apply
for technical hardship relief under
§ 1039.625(m) for any size engine, rather
than limiting the technical hardship
relief to small businesses and to engines
within certain power categories. We
believe it is more appropriate to rely on
our discretion to evaluate each hardship
application on its merits rather than
automatically precluding hardship relief
based on certain characteristics of the
engine or the company. If hardship
relief is not appropriate because of an
engine’s power rating or a company’s
size or financial standing, we would not
approve the request.
Second, we propose to remove the
maximum number of allowances we can
approve under § 1039.625(m), for both
percent-of-production (currently 150
percent) and small-volume allowances
(currently 1,100 units), and we propose
to remove the deadlines for exercising
those additional allowances. We have
learned that the specified restrictions on
hardship allowances are in some cases
too limiting to address the legitimate
concerns raised by equipment
manufacturers. Again, we believe it is
most appropriate to resolve issues of
extent of relief once an equipment
manufacturer has demonstrated that
relief is appropriate, rather than limiting
it a priori. We would not approve a
greater number of technical hardship
allowances than is needed to meet the
established objectives. Finally, we are
proposing additional small-volume
allowances under § 1039.625(b)(2) and
(m)(4), where we may waive the annual
limits on the number of allowances
instead of or in addition to granting
additional hardship allowances. There
may be times when manufacturers only
need approval to use up their regular
allowances at a faster pace than the
regulations currently allow.
An additional concern has come to
our attention as it relates to marine
engines. Vessel manufacturers may use
certified land-based engines in marine
vessels as long as the engines are not
modified from their certified
configuration (see § 1042.605). We
adopted this provision with the
understanding that, given the additional
technological challenges of operating
engines in a marine environment,
marine standards are set to be no more
stringent than land-based standards and
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are often set at a level somewhat less
stringent than the standards that apply
to the land-based engines. Vessel
manufacturers have used these
provisions extensively to access a wide
range of engine models that are not
available in a certified marine
configuration. The part 1039 Tier 4
standards have made this more
complicated. The Tier 4 standards for
land-based engines are much more
stringent than the Tier 3 marine
standards, which will continue to apply
for many Category 1 engines. Engine
distributors supplying product to vessel
manufacturers have reported that
several engine models will not be
available to them in the transition
period. In that way, vessel
manufacturers are much like nonroad
equipment manufacturers, except that
the vessels are not actually required to
use engines meeting the more stringent
standards now or, for engines below 600
kW, in the foreseeable future. It would
be a natural solution to use allowances
under § 1039.625, but the regulations
specifically require that vessel
manufacturers may use only certified
land-based engines under § 1042.605.
There is a risk that this gap would
significantly limit their ability to
continue producing vessels in the near
term. We are proposing to address this
by revising 40 CFR part 1042 to
specifically allow vessel manufacturers
to use allowances under § 1039.625 for
certain model year 2013 engines
installed in marine vessels. This
proposed provision would not apply for
engines at or below 19 kW, since the
land-based and marine standards for
those engines are very similar. This
proposed provision also would not
apply for engines above 600 kW because
the dynamic for designing and certifying
those high-power engines allows for a
greater expectation that they will be
certified in a marine configuration. We
expect no negative environmental
impact because the engines will be
meeting the nonroad Tier 3 standards,
which will continue to be at least as
stringent as the standards that currently
apply for marine engines. It is important
to note that this is only a temporary
measure; once allowances are no longer
available under § 1039.625, vessel
manufacturers will either need to use
Tier 4 land-based engines or find
certified Tier 3 marine engines.
There are further minor proposed
changes to the regulations to clarify
some of the detailed transition
provisions for nonroad diesel engines,
as follows:
• Proposing to revise § 1039.104(g) to
remove the limitations on the number of
engines using the specified alternate
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FEL caps. Manufacturers have pointed
out that this expanded flexibility would
address the same concerns as described
in this section for transitioning to the
Tier 4 standards, but there would be no
net environmental impact since
manufacturers would need to produce
low-emission engines that generate
emission credits to offset the additional
credits used by transition engines
certified to with higher FELs. We are
also proposing to revise the regulation
to specify that the same Temporary
Compliance Adjustment Factor is the
same whether an engine is subject to
NOx+NMHC standards or NOx-only
standards. The proposed revision also
addresses Tier 3 carry-over engines that
would need to certify to the alternate
FEL caps after the Tier 4 final standards
take effect.
• Proposing to add text to
§ 1039.625(e) to clarify that exempted
engines may meet standards that are
more stringent than those specified in
the regulation. This proposed change is
intended only to avoid the unintended
consequence of disallowing a
manufacturer from making an engine
that was cleaner than it needed to be.
Even though these engines are cleaner
than they need to be under the
replacement-engine exemption, it is still
the case that these engines are being
exempted from the standards that apply
for certified engines; as such, it would
be inappropriate for these engines to
generate emission credits.
• Proposing to clarify § 1039.625(e)
which alternate standards apply to
exempted engines in cases where there
is more than one set of standards in a
given model year. For example, the
appropriate standards for 19–56 kW
engines are the Option 1 standards
specified in § 1039.102, and the
appropriate standards for bigger engines
are the phase-out standards specified in
§ 1039.102.
• Proposing to adjust the provision
for using interim Tier 4 engines under
§ 1039.625(a)(2) to require that
manufacturers use engines that are
identical to previously certified engines,
rather than requiring that the exempt
engines be certified for the new model
year. This addresses an administrative
complication related to certifying
exempted engines, without changing the
requirements that apply.
C. Large SI Fuel Line Permeation
EPA is proposing to amend the
required version of the SAE procedure
for testing large SI fuel line permeation.
In 2002 we adopted evaporative
emission standards for nonroad sparkignition engines above 19 kW (Large SI
engines) (67 FR 68242, November 8,
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2002). This rule included a requirement
that engines meet a permeation control
standard, that could be demonstrated by
using fuel lines compliant with SAE
J2260, the latest version of which had
been completed in 1996 (see 40 CFR
1048.105). This SAE standard
effectively established a level of
permeation control that had been
widely used with automotive products.
In adopting this requirement, we
expected manufacturers to find ‘‘off-theshelf’’ automotive-grade products for the
nonroad engines and equipment.
In 2008, we revised this requirement
by changing the regulation to reference
the 2004 version of SAE J2260, which
had been finalized after the initial
rulemaking (73 FR 59034, October 8,
2008). As noted in our proposed rule,
we understood the purpose and effect of
the change in the SAE standard to be
substantive with regard to the
permeation measurement procedure, but
not necessarily with regard to the
stringency of the standard. The revised
SAE protocol specifies a tighter
numerical standard, but this
corresponded to an offsetting change
from a methanol-based test fuel to an
ethanol-based test fuel. Switching to
ethanol improves the representativeness
of the procedure, and it is widely
understood that ethanol permeates
through fuel-system materials less
aggressively than methanol. It is also
clear the fuel change would have a nonuniform effect on different fuel-system
materials, but our overall expectation
was that fuel lines meeting the 1996
version of the standard would also meet
the 2004 version of the standard.
Following the proposed rule, we
received no comments either supporting
or contradicting our understanding that
updating to the new standard would
have no significant effect on the
stringency or practicability of the
standard.
Since completing the 2008
rulemaking, we have received
information indicating that the revision
of the regulation to refer to the newer
version of SAE J2260 was having a
substantive effect on manufacturers’
ability to meet the standard. First, it
seems that automotive manufacturers
have moved beyond the SAE J2260
standard to develop their own
proprietary methods of sourcing fuel
lines from their suppliers. Since the
evaporative emission standards for
automotive products involve wholevehicle measurements in an enclosure,
manufacturers have the option to pursue
different strategies of balancing
emissions from fuel-line permeation
with emissions from other sources. In
effect, there is no longer a level of
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emission control or a type of fuel line
that we can characterize simply as
‘‘automotive-grade’’. It is also the case
that motor vehicle manufacturers buy
fuel lines in large quantities of preformed parts, rather than buying large
spools of fuel line that can be cut and
formed for a particular application.
Second, it appears that fuel line
suppliers have a very limited ability or
willingness to supply fuel lines that
they will describe as meeting the 2004
version of SAE J2260. It is not clear
whether this is a result of a difference
in stringency between the two versions
of the standard, or merely that fuel-line
suppliers have moved beyond the SAE
standard to conform to separate
specifications from individual
automotive manufacturers. In any case,
Large SI equipment is not manufactured
in sufficient numbers to greatly
influence the fuel line manufacturers’
activities, which has prevented Large SI
equipment manufacturers from being
able to find and use fuel lines meeting
the exact specification in the
regulations.
We are proposing to address this by
again revising the regulation, this time
to specify that either the 1996 or 2004
version of SAE J2260 provides an
acceptable level of control for producing
compliant Large SI engines and
equipment. We do not believe this
would have a significant effect on the
stringency of the standard. However, to
the extent that this would modify the
stringency of the existing fuel-line
permeation standards at all, it only
revises it back to the level of permeation
control that we adopted originally in
2002. We note also that the regulations
from the California Air Resources Board
continue to rely on the 1996 version of
SAE J2260. This proposed change
therefore would allow for a unified
national approach to fuel-line
permeation standards.
D. Small SI Proposed Amendments
Since the first emission standards for
small spark-ignition (SI) engines
(< 19kW), EPA and the California ARB
have required the same basic exhaust
emission test procedures and durability
aging requirements. Both agencies have
accepted exhaust emission test results
on either agency’s test fuel for purposes
of certification. This has traditionally
meant that for small SI engines used in
either handheld or non-handheld
equipment, EPA would accept exhaust
emission test results based on either its
Indolene test fuel (specified at 40 CFR
1065.710) or on California test fuel
(specified at section 2262 in the
California Code of Regulations (13 CCR
2262)). In 2008, when EPA promulgated
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the current small SI exhaust emission
standards, the California test fuel,
commonly referred to as California
Phase 2 gasoline or CA RFG 2, was a
seven pound per square inch (psi) Reid
Vapor Pressure (RVP) gasoline which
had approximately 11 percent methyl
tertiary butyl ether (MTBE) as an
oxygenate additive. This test fuel had
been used in the California small off
road emission (SORE) program since
1995.
Our 2008 final rule included
provisions at § 1054.145(k) indicating
that EPA would not accept carryover
exhaust emission certification data on
CA RFG 2 after the 2012 model year (73
FR 59034, October 8, 2008). However,
we left open the possibility of
continuing to accept carryover exhaust
emission test data on CA RFG 2 subject
to the provisions of 40 CFR 1065.10,
1065.12 and 1065.701, which would
permit EPA to approve its continued use
if it does not affect the manufacturers’
ability to show that the affected engines
would comply with all applicable
emission standards using the fuel
specified by EPA in 40 CFR 1065.710.
Manufacturers have recently provided
emissions data meeting the regulatory
requirements listed above and EPA has
permitted the use of CA RFG 2
(California Phase 2 gasoline) for
certification for the 2013 model year.8
Recently, California adopted new
requirements for their gasoline
certification test fuel for nonroad
engines. Over the period from 2013–
2020, manufacturers must transition
from CA RFG 2 to a gasoline
certification test fuel that contains 10
percent ethanol (E10) and has a seven
psi RVP (commonly referred to as
California Phase 3 gasoline or CA RFG
3). This new requirement aligns
California test fuels with their current
in-use gasoline.
Considering this background and
recent developments, EPA is proposing
to make two changes to its current
regulatory provisions. First, EPA
believes it is appropriate to propose to
extend its current practice of accepting
exhaust emission test results for small
SI engines to include CA RFG 3. For the
2013–2019 model years (inclusive), EPA
would accept exhaust emission
certification data generated using CA
RFG 3 test fuel. Harmonization with
California on test procedures and test
fuel requirements for small sparkignition engines has significant value to
the engine and equipment
manufacturers and users of those
products. It allows for development and
8 See EPA Dear Manufacturer Letter CD–12–17
(NRSSI), October 29, 2012.
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certification of only one engine for a
given model or application by the
manufacturer and allows for greater
model availability and lower overall
cost due to 50-state production. In
addition, E10, which is used in CA RFG
3, is common in gasoline sold across the
U.S. today. Therefore, permitting the
use of CA RFG 3 in emissions
certification would allow test fuel to
more closely match the in-use fuel used
across the U.S. Accounting for the
ethanol in the fuel is likely to enhance
engine emissions in-use durability,
because the presence of oxygen in the
ethanol in the test fuel would need to
be accommodated in the engine
calibrations. This would reduce engine
operating temperatures in-use relative to
engines calibrated on a test fuel without
oxygen.
While EPA is proposing to accept
manufacturer use of CA RFG 3 for the
purposes of testing, EPA is not prepared
to propose to accept use of CA RFG 3
as a fully permissible replacement test
fuel for Indolene. Test data indicate that
NMHC+NOX exhaust emissions using
CA RFG 3 will be comparable relative to
results on Federal certification fuel.
However, due to the presence of an
oxygenate (approximately 3 percent)
caused by the inclusion of E10 in CA
RFG 3, tested CO emissions would be
reduced when an engine is tested using
CA RFG 3, compared to Indolene which
includes no oxygenates (see 40 CFR
1065.710). EPA’s official test fuel is
Indolene and the level of the CO
emission standards for small SI engines
(see 40 CFR 1054.103 and 1054.105) is
based on the use of that fuel. Therefore,
EPA cannot fully accept test results
using CA RFG 3 as showing compliance
with EPA CO standards, because CO test
emissions showing compliance using
CA RFG 3 do not guarantee that an
engine will be able to comply with
EPA’s CO standard using Indolene.
Therefore, EPA proposes to retain the
option to conduct any production line,
confirmatory, and selective enforcement
audit (SEA) testing on EPA test fuel as
specified in 40 CFR 1065.710.9
However, as an option for the
manufacturers, to bring some uniformity
and certainty to the engine development
and calibration, emissions testing, and
emissions durability assessment
processes, EPA proposes to use CA RFG
3 test fuel for any production line,
confirmatory, and SEA testing if a
manufacturer(s) agree to meet a lower
CO emission standard. These values,
which substantially address the effect of
oxygenate content on CO emission rates,
9 EPA already requires a ten percent ethanol
blend for evaporative emissions testing.
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are 549 g/kW-hr for Classes I and II (non
handheld engines) and 536 g/kW-hr for
Classes III–V (handheld engines). These
values are the same as California’s
current CO emission standards (based
on the use of CA RFG 2); they are 10–
33 percent lower (depending on Class)
than EPA’s CO emission standards (see
40 CFR 1054.103 and 1054.105) because
they account for oxygenate content in
that fuel. This would not represent a
proposed change in stringency, as the
engine designs and calibration would
not change, but CO emissions would
decrease due to the oxygenate content of
the California test fuel. This proposed
option would be available for Class I
and II marine generators at a CO
emission standard of 4.5 g/kW-hr. This
value was derived based on the ratio of
the California CO emission standards to
the Federal emission standards for other
Class I and II marine generators. This
option would be available on a familyby-family basis for all Classes of small
SI engines. We consider these CO
emission standards to be interim values
for purposes of this option only. EPA
may revise the level of its CO emission
standard in the future if we propose to
change the Federal test fuel
specifications.
Second, EPA proposes to continue
accepting exhaust emissions data on CA
RFG 2 after the 2012 model year (see 40
CFR 1054.145(k)). Manufacturers have
provided data for both handheld and
nonhandheld engines showing
equivalent exhaust emission levels
between CA RFG 2 and the gasoline
specified in 40 CFR 1065.710
(Indolene). Furthermore, the move to
CA RFG 3 sets in motion a process to
eliminate CA RFG 2 certifications in the
future as would have been required
under 40 CFR 1054.145(k). Thus, to help
enable an orderly and cost effective
transition, EPA believes it is appropriate
for us to continue to accept exhaust
emission test data using CA RFG 2 for
certification through the 2019 model
year. We would expect engine families
certified using CA RFG 2 carryover
exhaust emission data to meet emissions
standards on both CA RFG 2 and EPA
certification test fuel as specified in 40
CFR 1065.710 for any production line,
SEA, or confirmatory testing.
Both of these proposed actions would
apply for certification for model years
2013 to 2019, inclusive. EPA expects to
revisit these provisions before 2020 to
determine if they should be extended or
otherwise modified. The primary EPA
program using Indolene test fuel and
meeting the current EPA emission
standards remains in place for Federal
certification for 2013 and beyond unless
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and until these provisions are otherwise
modified.
We are also taking the opportunity to
propose to revise the regulatory
provision in § 1054.145(c) describing
requirements related to altitude kits for
handheld engines. We adopted those
specifications based on the expectation
that the Phase 3 exhaust standards were
unchanged from the Phase 2 exhaust
standards. As such, the emission
standards do not apply at altitudes for
which the manufacturer would need to
rely on an altitude kit. The regulation
should therefore be revised to no longer
refer to the manufacturer relying on an
altitude kit ‘‘to meet emission
standards.’’ This proposed change in the
regulations is not intended to change
current requirements, but rather simply
clarifies the proper relationship of the
altitude kit to the certified
configuration.
IV. Statutory and Executive Order
Reviews
A. Executive Order 12866: Regulatory
Planning and Review
Under Executive Order 12866 (58 FR
51735, October 4, 1993), this action is a
‘significant regulatory action’ because it
raises issues that may have a potential
effect on actions taken or planned by
another agency. Accordingly, EPA
submitted this action to the Office of
Management and Budget (OMB) for
review under Executive Orders 12866
and 13563 (76 FR 3821, January 21,
2011) and any changes made in
response to OMB recommendations
have been documented in the docket for
this action.
This proposal merely clarifies and
corrects existing regulatory language.
EPA does not believe there will be costs
associated with this rule because the
costs in this program were previously
accounted for under the existing rules
(69 FR 38958, June 29, 2004; 73 FR
59034, October 8, 2008; and 76 FR
57106, September 15, 2011). This
proposed rule is not anticipated to
create additional burdens to the existing
requirements. As such, a regulatory
impact evaluation or analysis is
unnecessary. EPA also does not expect
this rule to have substantial
Congressional or public interest.
B. Paperwork Reduction Act
This proposed action does not impose
an information collection burden under
the provisions of the Paperwork
Reduction Act, 44 U.S.C. 3501 et seq.
Burden is defined at 5 CFR 1320.3(b).
The information collection requirements
to ensure compliance with the
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provisions in these rules were covered
under ICR (2394.02).
The Office of Management and Budget
(OMB) has previously approved the
information collection requirements
contained in the existing heavy-duty
greenhouse gas emissions regulations
under the provisions of the Paperwork
Reduction Act, 44 U.S.C. 3501 et seq.
and has assigned OMB Control Number
2060–0678. The OMB control numbers
for EPA’s regulations in title 40 of the
Code of Federal Regulations are listed in
40 CFR part 9.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA)
as amended by the Small Business
Regulatory Enforcement Fairness Act of
1996 (Pub. L. 104–121, 110 Stat. 857),
generally requires an agency to prepare
a regulatory flexibility analysis of any
rule subject to notice and comment
rulemaking requirements under the
Administrative Procedure Act or any
other statute unless the agency certifies
that the rule will not have a significant
economic impact on a substantial
number of small entities. Small entities
include small businesses, small
organizations, and small governmental
jurisdictions.
For purposes of assessing the impacts
of this rule on small entities, small
entity is defined as: (1) A small business
as defined by Small Business
Administration regulations at 13 CFR
121.201; (2) a small governmental
jurisdiction that is a government of a
city, county, town, school district or
special district with a population of less
than 50,000; and (3) a small
organization that is any not-for-profit
enterprise which is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of this proposed rule on small
entities, we conclude that this proposed
action would not have a significant
economic impact on a substantial
number of small entities.
This proposal would merely correct
and clarify regulatory provisions. In
particular, as already adopted in the
heavy-duty vehicle GHG and fuel
efficiency rules, EPA is deferring
standards for manufacturers meeting the
Small Business Administration’s
definition of small business as described
in 13 CFR 121.201.
There would be no costs and therefore
no regulatory burden associated with
this proposed rule. We have therefore
concluded that this proposed rule
would not increase regulatory burden
for affected small entities. We continue
to be interested in the potential impacts
of the proposed rule on small entities
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and welcome comments on issues
related to such impacts.
corrects and clarifies regulatory
provisions.
D. Unfunded Mandates Reform Act
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution, or Use
This proposed action is not subject to
Executive Order 13211 (66 FR 28355,
May 22, 2001), because it is not likely
to have a significant adverse effect on
the supply, distribution, or use of
energy. This notice of proposed
rulemaking merely corrects and clarifies
regulatory provisions.
This proposed action contains no
Federal mandates under the provisions
of Title II of the Unfunded Mandates
Reform Act of 1995 (UMRA), 2 U.S.C.
1531–1538 for State, local, or tribal
governments or the private sector. The
proposed action would impose no
enforceable duty on any State, local or
tribal governments or the private sector.
Therefore, this proposed action is not
subject to the requirements of sections
202 or 205 of the UMRA.
This proposed action is also not
subject to the requirements of section
203 of UMRA because it contains no
regulatory requirements that might
significantly or uniquely affect small
governments.
E. Executive Order 13132: Federalism
This proposed action does not have
federalism implications. It would not
have substantial direct effects on the
States, on the relationship between the
national government and the States, or
on the distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. This notice of
proposed rulemaking merely corrects
and clarifies regulatory provisions.
Thus, Executive Order 13132 does not
apply to this proposed action.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This proposed action does not have
tribal implications, as specified in
Executive Order 13175 (65 FR 67249,
November 9, 2000). This notice of
proposed rulemaking merely corrects
and clarifies regulatory provisions.
Tribal governments would be affected
only to the extent they purchase and use
regulated vehicles. Thus, Executive
Order 13175 does not apply to this
action. EPA specifically solicits
additional comment on this proposed
action from tribal officials.
G. Executive Order 13045: Protection of
Children From Environmental Health
and Safety Risks
This proposed action is not subject to
Executive Order 13045 (62 FR 19885,
April 23, 1997) because it is not
economically significant as defined in
Executive Order 12866, and because
EPA does not believe the environmental
health or safety risks addressed by this
proposed action present a
disproportionate risk to children. This
notice of proposed rulemaking merely
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I. National Technology Transfer
Advancement Act
Section 12(d) of the National
Technology Transfer and Advancement
Act of 1995 (‘‘NTTAA’’), Public Law.
104–113, 12(d) (15 U.S.C. 272 note)
directs EPA to use voluntary consensus
standards in its regulatory activities
unless to do so would be inconsistent
with applicable law or otherwise
impractical. Voluntary consensus
standards are technical standards (e.g.,
materials specifications, test methods,
sampling procedures, and business
practices) that are developed or adopted
by voluntary consensus standards
bodies. NTTAA directs agencies to
provide Congress, through OMB,
explanations when the Agency decides
not to use available and applicable
voluntary consensus standards.
This proposed action would slightly
expand the use of voluntary consensus
standards by adding a reference
standard under 40 CFR 1048.105. Other
amendments in this proposed rule do
not involve application of new technical
standards. However, the underlying
regulations in many cases rely on
voluntary consensus standards. For
example, EPA included several
voluntary consensus standards in the
development of the Greenhouse Gas
Emissions Standards and Fuel
Efficiency Standards for Medium- and
Heavy-Duty Engines and Vehicles (76
FR 57106, September 15, 2011).
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
executive policy on environmental
justice. Its main provision directs
federal agencies, to the greatest extent
practicable and permitted by law, to
make environmental justice part of their
mission by identifying and addressing,
as appropriate, disproportionately high
and adverse human health or
environmental effects of their programs,
policies, and activities on minority
E:\FR\FM\17JNP1.SGM
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36148
Federal Register / Vol. 78, No. 116 / Monday, June 17, 2013 / Proposed Rules
populations and low-income
populations in the United States.
EPA has determined that this
proposed rule would not have
disproportionately high and adverse
human health or environmental effects
on minority or low-income populations
because it merely would correct
provisions for manufacturers to use to
demonstrate compliance of heavy-duty
engines and vehicles.
V. Statutory Authority
Statutory authority for the vehicle
controls is found in Clean Air Act
section 202(a) (which authorizes
standards for emissions of pollutants
from new motor vehicles which
emissions cause or contribute to air
pollution which may reasonably be
anticipated to endanger public health or
welfare), sections 202(d), 203–209, 216,
and 301 (42 U.S.C. 7521(a), 7521(d),
7522, 7523, 7524, 7525, 7541, 7542,
7543, 7550, and 7601).
List of Subjects
40 CFR Part 85
Confidential business information,
Imports, Labeling, Motor vehicle
pollution, Reporting and recordkeeping
requirements, Research, Warranties.
40 CFR Part 86
Administrative practice and
procedure, Confidential business
information, Labeling, Motor vehicle
pollution, Reporting and recordkeeping
requirements.
40 CFR Part 1036
Administrative practice and
procedure, Air pollution control,
Confidential business information,
Environmental protection, Incorporation
by reference, Labeling, Motor vehicle
pollution, Reporting and recordkeeping
requirements, Warranties.
mstockstill on DSK4VPTVN1PROD with PROPOSALS
40 CFR Part 1037
Administrative practice and
procedure, Air pollution control,
Confidential business information,
Environmental protection, Incorporation
by reference, Labeling, Motor vehicle
pollution, Reporting and recordkeeping
requirements, Warranties.
40 CFR Part 1039
Environmental protection,
Administrative practice and procedure,
Air pollution control, Confidential
business information, Imports, Labeling,
Penalties, Reporting and recordkeeping
requirements, Warranties.
40 CFR Part 1042
Environmental protection,
Administrative practice and procedure,
VerDate Mar<15>2010
18:10 Jun 14, 2013
Jkt 229001
Air pollution control, Confidential
business information, Imports, Labeling,
Penalties, Vessels, Reporting and
recordkeeping requirements,
Warranties.
40 CFR Part 1048
Environmental protection,
Administrative practice and procedure,
Air pollution control, Confidential
business information, Imports,
Incorporation by reference, Labeling,
Penalties, Reporting and recordkeeping
requirements, Warranties.
40 CFR Part 1054
Environmental protection,
Administrative practice and procedure,
Air pollution control, Confidential
business information, Imports, Labeling,
Penalties, Reporting and recordkeeping
requirements, Warranties.
40 CFR Parts 1065 and 1066
Administrative practice and
procedure, Air pollution control,
Reporting and recordkeeping
requirements, Research.
40 CFR Part 1068
Environmental protection,
Administrative practice and procedure,
Confidential business information,
Imports, Motor vehicle pollution,
Penalties, Reporting and recordkeeping
requirements, Warranties.
Dated: May 9, 2013.
Bob Perciasepe,
Acting Administrator.
[FR Doc. 2013–11979 Filed 6–14–13; 8:45 am]
BILLING CODE 6560–50–P
FEDERAL COMMUNICATIONS
COMMISSION
47 CFR Parts 1, 22, 24, 27 and 90
[WT Docket Nos. 06–150, 01–309, 03–264,
06–169, 96–86, 07–166, CC Docket No. 94–
102, PS Docket No. 06–229; Report No.
2978]
Petition for Reconsideration of Action
in Rulemaking Proceeding
Federal Communications
Commission.
ACTION: Petition for reconsideration.
AGENCY:
In this document, a Petition
for Reconsideration (Petition) has been
filed in the Commission’s Rulemaking
proceeding by Dennis P. Corbett on
behalf of Council Tree Investors, Inc.
and Bethel Native Corporation.
DATES: Oppositions to the Petition must
be filed on or before July 2, 2013.
Replies to an opposition must be filed
on or before July 12, 2013.
SUMMARY:
PO 00000
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Federal Communications
Commission, 445 12th Street SW.,
Washington, DC 20554.
ADDRESSES:
Gary
D. Michaels, Wireless
Telecommunications Bureau, (202) 418–
7583.
FOR FURTHER INFORMATION CONTACT:
This is a
summary of Commission’s document,
Report No. 2978, released May 23, 2013.
The full text of Report No. 2978 is
available for viewing and copying in
Room CY–B402, 445 12th Street SW.,
Washington, DC or may be purchased
from the Commission’s copy contractor,
Best Copy and Printing, Inc. (BCPI) (1–
800–378–3160). The Commission will
not send a copy of this document
pursuant to the Congressional Review
Act, 5 U.S.C. 801(a)(1)(A), because this
document does not have an impact on
any rules of particular applicability.
Subject: Service Rules for the 698–
746, 747–762, and 777–792 MHz Bands;
Revision of the Commission’s Rules to
Ensure Compatibility with Enhanced
911 Emergency Calling Systems; Section
68.4(a) of the Commission’s Rules
Governing Hearing Aid-Compatible
Telephones; Biennial Regulatory
Review—Amendment of Parts 1, 22, 24,
27, and 90 to Streamline and Harmonize
Various Rules Affecting Wireless Radio
Services; Former Nextel
Communications, Inc. Upper 700 MHz
Guard Band Licenses and Revisions to
Part 327 of the Commission’s Rules;
Implementing a Nationwide,
Broadband, Interoperable Public Safety
Network in the 700 MHz Band;
Development of Operational, Technical
and Spectrum Requirements for Meeting
Federal, State, and Local Public Safety
Requirements Public Safety
Communications Requirements Through
the Year 2010; Declaratory Ruling on
Reporting Requirement under
Commission’s Part 1 Anti-Collusion
Rule, Memorandum Opinion and Order
on Reconsideration, FCC 13–29,
published at 78 FR 19424, April 1, 2013,
in WT Docket Nos. 06–150, 01–309, 03–
264, 06–169, 96–86, 07–166, CC Docket
No. 94–102, PS Docket No. 06–229, and
published pursuant to 47 CFR 1.429(e)
of the Commission’s rules. See also 47
CFR 1.4(b)(1) of the Commission’s rules.
Number of Petitions Filed: 1.
SUPPLEMENTARY INFORMATION:
Federal Communications Commission.
Marlene H. Dortch,
Secretary, Office of the Secretary, Office of
Managing Director.
[FR Doc. 2013–14280 Filed 6–14–13; 8:45 am]
BILLING CODE 6712–01–P
E:\FR\FM\17JNP1.SGM
17JNP1
Agencies
[Federal Register Volume 78, Number 116 (Monday, June 17, 2013)]
[Proposed Rules]
[Pages 36135-36148]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2013-11979]
=======================================================================
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Parts 85, 86, 1036, 1037, 1039, 1042, 1048, 1054, 1065,
1066, 1068
[EPA-HQ-OAR-2012-0102; FRL 9772-2]
RIN 2060-AR48
Heavy-Duty Engine and Vehicle, and Nonroad Technical Amendments
AGENCY: Environmental Protection Agency (EPA).
ACTION: Notice of proposed rulemaking.
-----------------------------------------------------------------------
SUMMARY: EPA is proposing to amend provisions in the Medium- and Heavy-
Duty Greenhouse Gas Emissions and Fuel Efficiency final rule issued on
September 15, 2011. These proposed amendments would eliminate
duplicative reporting requirements, reduce inadvertent minor
differences between the EPA and NHTSA programs regarding such matters
as voluntary early model year compliance, better align testing
procedures to market realities, and reduce unnecessary testing burdens.
EPA is also proposing to amend several regulations by: Adjusting the
provisions of the replacement engine exemption; expanding EPA's
discretion to allow greater flexibility under the Transition Program
for Equipment Manufacturers related to the Tier 4 standards for nonroad
diesel engines; specifying multiple versions of the applicable SAE
standard for demonstrating that fuel lines for nonroad spark-ignition
engines above 19 kilowatts meet permeation requirements; and allowing
for the use of the ethanol-based test fuel specified by the California
Air Resources Board for nonroad spark-ignition engines at or below 19
kilowatts. Some of the individual provisions of this action may have
minor impacts on the costs and emission reductions of the underlying
regulatory programs amended in this action, though in most cases these
are simple technical amendments. For those provisions that may have a
minor impact on the costs or benefits of the amended regulatory
program, any potential impacts would be small and we have not attempted
to quantify the potential changes.
DATES: Comments on all aspects of this proposal must be received on or
before July 17, 2013. See the SUPPLEMENTARY INFORMATION section on
``Public Participation'' for more information about written comments.
ADDRESSES: Submit your comments, identified by Docket ID No. EPA-HQ-
OAR-2012-0102, by one of the following methods:
www.regulations.gov: Follow the on-line instructions for
submitting comments.
Email: a-and-r-docket@epa.gov.
Fax: (202) 566-9744.
Mail: Air and Radiation Docket and Information Center,
Environmental Protection Agency, Air Docket, Mail-code 28221T, 1200
Pennsylvania Ave. NW., Washington, DC 20460.
Hand Delivery: EPA Docket Center (EPA/DC), EPA West, Room
3334, 1301 Constitution Ave. NW., Washington, DC, Attention Docket ID
No. EPA-HQ-OAR-2012-0102. Such deliveries are only accepted during the
Docket's normal hours of operation, and special arrangements should be
made for deliveries of boxed information.
Instructions: Direct your comments to Docket ID No. EPA-HQ-OAR-
2012-0102. See the SUPPLEMENTARY INFORMATION section on ``Public
Participation'' for additional instructions on submitting written
comments.
Docket: All documents in the docket are listed in the
www.regulations.gov index. Although listed in the index, some
information is not publicly available, e.g., information claimed as
Confidential Business Information (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
in www.regulations.gov or in hard copy at the EPA Docket Center, EPA/
DC, EPA West, Room 3334, 1301 Constitution Ave. NW., Washington, DC.
The Public Reading Room is open from 8:30 a.m. to 4:30 p.m., Monday
through Friday, excluding legal holidays. The telephone number for the
Public Reading Room is (202) 566-1744, and the telephone number for the
Air Docket is (202) 566-1742.
FOR FURTHER INFORMATION CONTACT: Angela Cullen, Environmental
Protection Agency, Office of Transportation and Air Quality, Assessment
and Standards Division, 2000 Traverwood Drive, Ann Arbor, Michigan
48105; telephone number: 734-214-4419; email address:
cullen.angela@epa.gov.
SUPPLEMENTARY INFORMATION:
A. Does this action apply to me?
This proposed action would affect companies that manufacture, sell,
or import into the United States new heavy-duty engines and new Class
2b through 8 vehicles, including combination tractors, school and
transit buses, vocational vehicles such as utility service trucks, as
well as \3/4\-ton and 1-ton pickup trucks and vans. The heavy-duty
category incorporates all motor vehicles with a gross vehicle weight
rating of 8,500 pounds or greater, and the engines that power them,
except for medium-duty passenger vehicles already covered by the
greenhouse gas emissions standards and corporate average fuel economy
standards issued for light-duty model year 2012-2016 vehicles (75 FR at
25324, May 7, 2010).
This proposed action also would affect nonroad engine
manufacturers.
Regulated categories and entities would include the following:
------------------------------------------------------------------------
Examples of potentially
Category NAICS Code \a\ affected entities
------------------------------------------------------------------------
Industry....................... 336111 Motor Vehicle
336112 Manufacturers, Engine
333618 and Truck
336120 Manufacturers.
Industry....................... 541514 Commercial Importers of
811112 Vehicles and Vehicle
811198 Components.
[[Page 36136]]
Industry....................... 336111 Alternative Fuel
336112 Vehicle Converters.
422720
454312
541514
541690
811198
336510
Industry....................... 811310 Engine Repair,
Remanufacture, and
Maintenance.
------------------------------------------------------------------------
Note:
\a\ North American Industry Classification System (NAICS).
This table is not intended to be exhaustive, but rather provides a
guide for readers regarding entities likely covered by this proposed
rule. This table lists the types of entities that the agency is aware
may be regulated by this proposed action. Other types of entities not
listed in the table could also be regulated. To determine whether your
activities would be regulated by this proposed action, you should
carefully examine the applicability criteria in the referenced
regulations. You may direct questions regarding the applicability of
this proposed action to the person listed in the preceding FOR FURTHER
INFORMATION CONTACT section.
B. What should I consider as I prepare my comments?
Direct your comments to Docket ID No. EPA-HQ-OAR-2012-0102. EPA's
policy is that all comments received will be included in the public
docket without change and may be made available online at
www.regulations.gov, including any personal information provided,
unless the comment includes information claimed to be Confidential
Business Information (CBI) or other information whose disclosure is
restricted by statute. Do not submit information that you consider to
be CBI or otherwise protected through www.regulations.gov or email. The
www.regulations.gov Web site is an ``anonymous access'' system, which
means 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 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 be free of any defects or viruses. For additional
information about EPA's public docket visit the EPA Docket Center
homepage at https://www.epa.gov/epahome/dockets.htm.
(1) Tips for Preparing Your Comments
When submitting comments, remember to:
Identify the rulemaking by docket number and other
identifying information (subject heading, Federal Register date and
page number).
Follow directions--The agency may ask you to respond to
specific questions or organize comments by referencing a Code of
Federal Regulations (CFR) part or section number.
Explain why you agree or disagree, suggest alternatives,
and substitute language for your requested changes.
Describe any assumptions and provide any technical
information and/or data that you used.
If you estimate potential costs or burdens, explain how
you arrived at your estimate in sufficient detail to allow for it to be
reproduced.
Provide specific examples to illustrate your concerns, and
suggest alternatives.
Explain your views as clearly as possible, avoiding the
use of profanity or personal threats.
Make sure to submit your comments by the comment period
deadline identified in the DATES section above.
(2) How do I submit confidential business information?
Do not submit CBI to EPA through www.regulations.gov or email.
Clearly mark the part or all of the information that you claim to be
CBI. For CBI in a disk or CD ROM that you mail to EPA, mark the outside
of the disk or CD ROM as CBI and then identify electronically within
the disk or CD ROM the specific information that is claimed as CBI. In
addition to one complete version of the comment that includes
information claimed as CBI, a copy of the comment that does not contain
the information claimed as CBI must be submitted for inclusion in the
public docket. Information so marked will not be disclosed except in
accordance with procedures set forth in 40 CFR part 2.
(3) Will the agency consider late comments?
EPA will consider all comments received before the close of
business on the comment closing date indicated above under DATES. To
the extent practicable, we will also consider comments received after
that date. If interested persons believe that any new information the
agency places in the docket affects their comments, they may submit
comments after the closing date concerning how the agency should
consider that information for the final rule. However, the agency's
ability to consider any such late comments in this rulemaking will be
limited due to the time frame for issuing the final rule.
If a comment is received too late for us to practicably consider in
developing the final rule, we will consider that comment as an informal
suggestion for future rulemaking action.
(4) How can I read the comments submitted by other people?
You may read the materials placed in the dockets for this document
(e.g., the comments submitted in response to this document by other
interested persons) at any time by going to https://www.regulations.gov.
Follow the online instructions for accessing the dockets. You may also
read the materials at the EPA Docket Center by going to the street
addresses given above under ADDRESSES.
I. Direct Final Rule
In addition to this notice of proposed rulemaking, EPA is also
publishing a Direct Final Rule (DFR) addressing provisions described in
Sections III and IV of this document. We are doing this to expedite the
regulatory process to allow the amendments to occur as soon
[[Page 36137]]
as possible. However, if we receive relevant adverse comment on
distinct elements of any of the provisions in this proposal by July 17,
2013, we will publish a timely withdrawal in the Federal Register
indicating which provisions we are withdrawing. Any provisions of the
DFR that are not withdrawn will become effective on August 16, 2013,
notwithstanding adverse comment on any other provision. We will address
all public comments in the final rule based on this proposed rule.
As noted above, EPA is publishing the DFR to expedite the
regulatory process to allow engine and vehicle certifications and
engine replacements to occur as soon as possible according to the
clarified regulations. We request that commenters identify in your
comments any portions of the proposed action described in Sections II
and III below with which you agree and support as proposed, in addition
to any comments regarding suggestions for improvement or provisions
with which you disagree. In the case of a comment that is otherwise
unclear whether it is adverse, EPA would interpret relevant comments
calling for more flexibility or less restrictions for engines or
vehicles as supportive of the direct final rule. In this way, EPA will
be able to adopt those elements of the DFR that are fully supported and
most needed today, while considering and addressing any adverse
comments received on the proposed rule, in the course of developing the
final rule. See the DFR for the regulatory text associated with this
proposal.
Note that Docket Number EPA-HQ- OAR-2012-0102 is being used for
both the DFR and this NPRM.
II. Proposed Amendments to the Heavy-Duty Engine and Vehicle Greenhouse
Gas Emission Standards Rule
EPA and the National Highway Traffic Safety Administration (NHTSA)
developed the first-ever program to reduce greenhouse gas (GHG)
emissions and fuel consumption in the heavy-duty (HD) highway vehicle
sector. The rulemaking was developed as a single, national program with
both EPA and NHTSA promulgating complementary standards that allow
manufacturers to build one set of vehicles to comply with both
agencies' regulations. This broad heavy-duty sector--ranging from large
pickups to sleeper-cab tractors--together represent the second largest
contributor to oil consumption and GHG emissions from the mobile source
sector, after light-duty passenger cars and trucks. The final rule was
published in the Federal Register on September 15, 2011 (76 FR 57106).
A. Background of the HD GHG and Fuel Efficiency Standards and
Amendments
EPA's GHG standards and NHTSA's fuel consumption standards apply to
manufacturers of the following types of heavy-duty vehicles and their
engines:
Heavy-duty Pickup Trucks and Vans
Combination Tractors
Vocational Vehicles
The rules include separate standards for the engines that power
combination tractors and vocational vehicles. Certain parts of the
program are exclusive to EPA's GHG standards. These include EPA's final
hydrofluorocarbon standards to control leakage from air conditioning
systems in combination tractors and in pickup trucks and vans. Also
exclusive to the EPA rules are standards for nitrous oxide
(N2O) and methane (CH4) emissions standards that
apply to all heavy-duty engines and to pickup trucks and vans.
EPA's final greenhouse gas emission standards for heavy-duty
vehicles under the Clean Air Act will begin with model year 2014.
NHTSA's final fuel consumption standards under the Energy Independence
and Security Act of 2007 will be voluntary in model years 2014 and
2015, becoming mandatory with model year 2016 for most regulatory
categories. Both agencies allow manufacturers to comply early in model
year 2013 and promote early compliance by providing incentives to do
so.
In the final rulemaking, EPA established all-new regulations in 40
CFR parts 1036, 1037, and 1066. EPA also included changes to existing
regulations in 40 CFR parts 85, 86, 1039, 1065, and 1068. Similarly,
NHTSA modified its existing regulations in 49 CFR parts 523 and 534,
and established an all-new regulation in 49 CFR part 535.
After publication of the heavy-duty rule, EPA and NHTSA began an
extensive outreach effort to aid in the rule's implementation. For
example, EPA and NHTSA held public workshops on November 3, 2011 and
August 10, 2012. In the course of these efforts, the agencies received
a series of comments on specific aspects of the rules and prepared
question and answer responses.\1\ In some cases, it became clear that
minor changes to the rules would better clarify the rule's intent, or
amend the rule to make it more effective. The amendments proposed in
this rule are largely based on these implementation discussions.
---------------------------------------------------------------------------
\1\ See U.S. EPA Web site at https://www.epa.gov/otaq/climate/regs-heavy-duty.htm.
---------------------------------------------------------------------------
The proposed revisions related to the heavy-duty GHG emissions
regulations in this proposal are unique to EPA's regulations. Thus,
this section is further divided into subsections related to specific
parts of the Code of Federal Regulations.
B. Proposed Amendments to the Heavy-Duty GHG Regulations
The following proposed amendments correct minor, technical
inconsistencies and add clarifications to the current regulatory text.
EPA proposes to amend 40 CFR parts 85, 86, 1036, 1037, 1065, and 1066
to correct typographical errors, clarify test procedures and
certification procedures, and correct the regulations to make them
consistent with the intent expressed in the preamble to the final rules
(76 FR 57106). A comparison of the original and proposed regulatory
text is provided in a memorandum to the docket for this rulemaking.\2\
---------------------------------------------------------------------------
\2\ Hicks, M. and A. Cullen. Memorandum to Docket EPA-HQ-OAR-
2012-0102. Heavy-Duty Engine and Vehicle Greenhouse Gas Emissions
and Fuel Consumption Regulatory Changes. May 2013.
---------------------------------------------------------------------------
(1) Proposed Regulatory Changes to 40 CFR part 1036
EPA proposes to amend portions of the regulations in 40 CFR part
1036, as described below.
Hybrid Testing: Sec. Sec. 1036.525 and 1036.615 specify
requirements for testing hybrid engines and engines with Rankine cycle
waste heat recovery. The regulatory text includes references for
testing ``post-transmission'' and ``pre-transmission'' hybrid systems
in these sections. In a pre-transmission hybrid, the energy from both
the engine and motor is input into the drive shaft prior to the
transmission. In a post-transmission hybrid, the engine energy is input
into the drive shaft prior to the transmission, but the motor energy is
input into the drive shaft after the transmission. Since post-
transmission hybrid architecture is incompatible with engine testing,
EPA proposes to remove the reference to post-transmissions systems in
the hybrid engine test requirements in 40 CFR part 1036. 40 CFR
1037.525, 1037.550, and 1037.615 include requirements for testing post-
transmission hybrids using a vehicle test. EPA anticipates that there
would be no impact on manufacturers by the deletion of this text, since
the vehicle test procedures set out in the regulations specify how to
test post-transmission systems.
EPA proposes to revise Sec. Sec. 1036.5, 1036.150, and
1036.615 to address typographical issues to correct
[[Page 36138]]
regulatory citations within the regulations.
EPA proposes to correct Sec. 1036.150(g)(2) and (3) to
change the assigned additive deterioration factor (DF) for nitrous
oxide (N2O) and methane (CH4) emissions from 0.02
to 0.020 g/hp-hr to account for the appropriate number of significant
digits.
EPA proposes to amend Sec. 1036.225 to clarify that the
CO2 family emission limit (FEL) is not required on the
emission control information (ECI) label according to the provisions in
Sec. 1036.135.
EPA proposes to clarify that the CH4 and
N2O emission standards apply to all testable configurations
in Sec. 1036.205.
EPA proposes to add a definition of ``preliminary
approval'' to Sec. 1036.801.
(2) Proposed Regulatory Changes to 40 CFR Part 1037
EPA also proposes to revise portions of the regulations in 40 CFR
Part 1037 to correct technical errors and provide additional clarity in
the regulations.
(a) Hybrid Testing
Sections 1037.525, 1037.550, and 1037.615 describe or reference the
procedure to be used for testing hybrid vehicles with power take off
(PTO) devices on a whole vehicle test. Both pre- and post-transmission
hybrid architectures can be used with power take off (PTO) devices. The
current rule text states that manufacturers could test post-
transmission hybrids on the vehicle test procedure to quantify
CO2 and fuel consumption improvements resulting from running
PTO equipment, but inadvertently excluded pre-transmission hybrid
architecture from being tested on a vehicle test. Since PTO devices can
also be used in hybrid vehicles with pre-transmission architecture, EPA
is proposing to amend the language to allow these pre-transmission
hybrid vehicles with PTO to be tested on the whole vehicle test
procedure.
(b) Advanced Technologies Improvement Factor
Section 1037.615 describes the procedure for measuring
CO2 improvements from vehicles with hybrid and other
advanced technologies (such as Rankine engines, electric vehicles and
fuel cell vehicles), in order to generate advanced technology
credits.\3\ Section 1037.615 specifies how manufacturers can measure
the effectiveness of the advanced system by chassis-testing a vehicle
equipped with the advanced system and an equivalent conventional
vehicle using the test procedures in 40 CFR Part 1037, subpart F.
---------------------------------------------------------------------------
\3\ Advanced technology credits may be increased by a 1.5
multiplier and applied to any heavy-duty vehicle or engine
subcategory with certain maximum limits applying. See 40 CFR
1036.740, 1037.740 and 49 CFR 535.7(e) for description of advanced
technology credit program.
---------------------------------------------------------------------------
The effectiveness of the advanced system is calculated by measuring
the CO2 output from chassis tests of the vehicle with the
advanced system and an equivalent conventional vehicle, thereby
obtaining the relative marginal improvement between the two vehicles
(the ``improvement factor''). The ``benefit'' associated with the
advanced system is then calculated by multiplying the Greenhouse Gas
Emissions Model (GEM) result for the vehicle with advanced technology
by the dimensionless improvement factor. The benefit is then converted
to advanced technology credits in a model year for each vehicle family
within an averaging set.
The final rule specified the procedure for applying an improvement
factor in simulating a chassis test with a post-transmission hybrid
system for A to B testing (Sec. 1037.550), but did not allow the
improvement factor to be applied to multiple vehicle configurations
having the same advanced technology (Sec. 1037.615). The post-
transmission system test procedure specifically allows the application
of an improvement factor or test results to multiple vehicle
configurations, as long as the values used for the calculations
``represent the vehicle configuration with the smallest potential
reduction in greenhouse gas emissions as a result of the hybrid
capability'' and are consistent with good engineering judgment. EPA
proposes to amend the regulatory text that describes the measurement of
advanced technology improvement to include this specification as well.
EPA proposes to revise Sec. 1037.615 to allow manufacturers to
generate advanced technology credits from multiple heavy-duty vehicle
configurations within a vehicle family group by testing a single
vehicle of that group, provided the vehicle tested has the smallest
potential reduction in fuel consumption of the vehicles with advanced
technology capability. EPA anticipates that this proposed change may
reduce testing and reporting costs for manufacturers while still
allowing flexibility in choosing to test additional configurations
within the family group. By limiting the use of this testing option to
vehicles with the smallest potential reduction in emissions (or fuel
consumption), emission reductions would not be compromised.
(c) Optional Certification for Up to Class 6 Spark-Ignition Engine
Vehicles
Heavy-duty pickup trucks and vans are pickup trucks and vans with a
gross vehicle weight rating between 8,501 pounds and 14,000 pounds
(Class 2b through 3 vehicles) manufactured as complete vehicles by a
single or final stage manufacturer or manufactured as incomplete
vehicles as designated by a manufacturer. Under the GHG rule, these
vehicles are certified on a chassis dynamometer test, as opposed to the
GEM simulation tool used to certify the vocational and tractor
categories. NHTSA's current regulations allow Classes 4 and 5 spark-
ignition vehicles the option of certifying on a chassis dynamometer
test, as those vehicles may have more similar characteristics to a
Class 2b-3 pickup or van than they do other vehicles in their class. At
the time of the final rule, NHTSA was unaware of any higher class spark
ignition vehicles that would be similarly appropriate to test on a
chassis dynamometer. EPA's current regulations allow spark-ignition
vehicles of all classes the option of certifying on a chassis
dynamometer test.\4\
---------------------------------------------------------------------------
\4\ See 40 CFR 1037.15(l).
---------------------------------------------------------------------------
This proposed amendment would align the regulatory texts by closing
the current gap between NHTSA and EPA's optional certification
provisions. EPA therefore proposes to allow manufacturers of complete
or cab-complete vehicles up to and including Class 6 that have spark-
ignition engines the option of chassis dynamometer certification. See
references in Sec. Sec. 1037.104 and 1037.150.
(d) Configuration and Subconfiguration Definitions
The existing EPA regulations contain definitions for
``configuration'' and ``subconfiguration,'' which define how to group
vehicles by similar characteristics within a test group when conducting
testing to determine CO2 emissions for heavy-duty pickup
trucks and vans. ``Configuration'' means a subclassification within a
test group that is based on engine code, transmission type and gear
ratios, final drive ratio and other parameters that EPA designates.
Likewise, ``subconfiguration'' means a unique combination within a
vehicle configuration of equivalent test weight, road-load horsepower,
and any other operational characteristics or parameters that EPA
determines may significantly affect CO2 emissions within a
vehicle configuration.
[[Page 36139]]
The current definitions could be specified further according to
established principles to prevent any ambiguity for manufacturers in
conducting testing for heavy-duty pickup trucks and vans. The terms
``transmission type'' and ``engine code'' can be further defined in the
definition for ``configuration,'' to reflect common industry
understanding of the terms. In addition, the term ``equivalent test
weight'' could be further defined in the definition for
``subconfiguration'' to carryover the existing definition included in
Sec. 1037.104(d)(11). Therefore, EPA is proposing to add these further
details to clarify these terms in Sec. 1037.104(d)(12).
(e) Vocational Tractor Vehicle Families
The regulatory text in 40 CFR 1037.230 related to vocational
tractor families is unintentionally ambiguous, and is inconsistent
with, the preamble and other regulatory text. In the vocational tractor
provisions of Sec. 1037.630(b)(2), EPA requires that tractors
``reclassified under this provision must be certified as a separate
vehicle family. However, they remain part of the vocational regulatory
subcategory and averaging set that applies to their weight class.''
Although Sec. 1037.630(b)(2) requires two vocational tractor families
dependent on the GVWR of the vehicle, the text in Sec. 1037.230(a)(1)
implies only a single vocational tractor family default. This
inconsistency is the result of an oversight when provisions were added
allowing tractors to certify as vocational vehicles, and it is
inconsistent with the way vehicle families are treated throughout the
program, where they are split by weight class (76 FR at 57240,
September 15, 2011). Therefore, EPA is proposing to revise Sec.
1037.230(a)(1) to be consistent with Sec. 1037.630(b)(2) by splitting
the vocational vehicles families into two groups, those above 33,000
pounds GVWR and those above 26,000 pounds GVWR and at or below 33,000
pounds GVWR.
(f) 40 CFR Part 1037 Aerodynamic Assessment
A vehicle's design impacts the amount of power that is required to
move the vehicle down the road. Depending on the vehicle speed, two of
the largest impacts on GHG emissions and fuel consumption are
aerodynamics and tire rolling resistance. As part of the Heavy-Duty GHG
and Fuel Efficiency rule, manufacturers are required to meet vehicle-
based GHG emissions and fuel efficiency standards. Compliance with the
vehicle standard for combination tractors is determined based on a
vehicle simulation tool called the Greenhouse Gas Emissions Model
(GEM). Various characteristics of the vehicle are measured and these
measurements are used as inputs to the model. These characteristics
relate to key technologies appropriate for this subcategory of truck--
including aerodynamic features, weight reductions, tire rolling
resistance, the presence of idle-reducing technology, and vehicle speed
limiters. See generally 76 FR 57135.
The aerodynamic drag of a vehicle is determined by the vehicle's
coefficient of drag (Cd), frontal area, air density and speed. As noted
in the Heavy-Duty GHG and Fuel Efficiency rule, quantifying truck
aerodynamics as an input to the GEM presents technical challenges
because of the proliferation of vehicle configurations, the lack of a
clearly preferable standardized test method, and subtle variations in
measured aerodynamic values among various test procedures (76 FR 57148-
57151). Class 7 and 8 tractor aerodynamics are currently developed by
manufacturers using a range of techniques, including wind tunnel
testing, computational fluid dynamics, and constant speed tests.
We developed a broad approach that allows manufacturers to use
these multiple different test procedures to demonstrate aerodynamic
performance of the tractor fleet given that no single test procedure is
superior in all aspects to other approaches. Allowing manufacturers to
use multiple test procedures and modeling coupled with good engineering
judgment to determine aerodynamic performance is consistent with the
current approach used in determining representative road load forces
for light-duty vehicle testing (40 CFR 86.129-00(e)(1)). However, we
also recognize the need for consistency and a level playing field in
evaluating aerodynamic performance.
EPA and NHTSA developed a bin structure to group aerodynamic test
results for the proposed rulemaking, and adjusted the method used to
determine the bins in the final rule. The agencies, while working with
industry, developed an approach for the final rulemaking which
identified a reference aerodynamic test method and a procedure to align
results from other aerodynamic test procedures with the reference
method, an enhanced coastdown procedure. Manufacturers are able to use
any aerodynamic evaluation method in demonstrating a vehicle's
aerodynamic performance as long as the method is aligned to the
reference method.
As discussed in the final rule, the agencies adopted aerodynamic
technology bins which divide the wide spectrum of tractor aerodynamics
into five bins (i.e., categories) for high roof tractors (see 76 FR
57149). The first high roof category, Bin I, is designed to represent
tractor bodies that prioritize appearance or special duty capabilities
over aerodynamics. These Bin I trucks incorporate few, if any,
aerodynamic features and may have several features that detract from
aerodynamics, such as bug deflectors, custom sunshades, B-pillar
exhaust stacks, and others. The second high roof aerodynamics category
is Bin II, which roughly represents the aerodynamic performance of the
average new tractor sold today. The agencies developed this bin to
incorporate conventional tractors that capitalize on a generally
aerodynamic shape and avoid classic features which increase drag. High
roof tractors within Bin III build on the basic aerodynamics of Bin II
tractors with added components to reduce drag in the most significant
areas on the tractor, such as integral roof fairings, side extending
gap reducers, fuel tank fairings, and streamlined grill/hood/mirrors/
bumpers, similar to SmartWay trucks today. The Bin IV aerodynamic
category for high roof tractors builds upon the Bin III tractor body
with additional aerodynamic treatments such as underbody airflow
treatment, down exhaust, and lowered ride height, among other
technologies. And finally, Bin V tractors incorporate advanced
technologies that are currently in the prototype stage of development,
such as advanced gap reduction, rearview cameras to replace mirrors,
wheel system streamlining, and advanced body designs.
EPA and NHTSA developed the aerodynamic drag area, CdA, bin values
for the tractor categories based on coastdown testing conducted by EPA
using the enhanced coastdown test procedures adopted for the final HD
GHG and Fuel Efficiency rulemaking. EPA tested high roof sleeper cab
combination tractors from each of the manufacturers in order to
represent the aerodynamic performance that we would expect from a Bin
III vehicle. The test results used for the HD GHG and Fuel Efficiency
final rule are included in Table II-1 below.\5\
---------------------------------------------------------------------------
\5\ U.S. EPA and NHTSA. Final Rulemaking to Establish Greenhouse
Gas Emissions Standards and Fuel Efficiency Standards for Medium-
and Heavy-Duty Engines and Vehicles--Regulatory Impact Analysis.
August 2011. Page 2-48.
[[Page 36140]]
Table II-1--Tractor CdA Values Used in HD GHG Final Rule
[Class 8 high roof sleeper cab]
----------------------------------------------------------------------------------------------------------------
Truck Expected bin Source CdA (m\2\)
----------------------------------------------------------------------------------------------------------------
B-3JM2-2H-TXCR.......................... Bin III................... EPA Test Program.......... 6.4
B-3JM2-4N-TXCR.......................... Bin III-IV................ EPA Test Program.......... 5.7
B-3JM2-2K-TXCR.......................... Bin III................... EPA Test Program.......... 6.3
C-3JM2-1B-TXCR.......................... Bin III................... EPA Test Program.......... 6.2
C-3JE2-1F-TXCR.......................... Bin II-III................ EPA Test Program.......... 6.7
----------------------------------------------------------------------------------------------------------------
As part of EPA's quality checks to the enhanced coastdown test
program, EPA supplied OEMs with the coastdown test data for their
individual trucks. Through post-rulemaking work with one OEM, EPA found
an error in the data attributable to a testing contractor. The
contractor had entered the same coastdown run twice into the dataset
provided to EPA for one of the trucks tested (one of 20 repeat runs was
entered twice). As a result the truck appeared to have a CdA value of
5.7, rather than its actual value of 6.6. As such, the data that should
have been used to establish the aerodynamic bins for the high roof
sleeper cabs are listed in Table II-2.
Table II-2--Tractor CdA Values Used in This NPRM
[Class 8 high roof sleeper cab]
----------------------------------------------------------------------------------------------------------------
Truck Expected bin Source CdA (m\2\)
----------------------------------------------------------------------------------------------------------------
B-3JM2-2H-TXCR.......................... Bin III................... EPA Test Program.......... 6.4
B-3JM2-4N-TXCR.......................... Bin III................... EPA Test Program.......... 6.6
B-3JM2-2K-TXCR.......................... Bin III................... EPA Test Program.......... 6.3
C-3JM2-1B-TXCR.......................... Bin III-IV................ EPA Test Program.......... 6.2
C-3JE2-1F-TXCR.......................... Bin II-III................ EPA Test Program.......... 6.7
----------------------------------------------------------------------------------------------------------------
Since the coastdown test is an input into the aerodynamic bins, EPA
proposes to correct the CdA range for the affected bin levels. The
proposed adjustment to the ranges would allow Bin III, which represents
a SmartWay truck, to still mean exactly what was intended in the HD GHG
and Fuel Efficiency final rule. The proposed Bins IV and V adjustments
would require the same level of improvement we expected in the HD GHG
and Fuel Efficiency final rule. This proposed amendment is a
correction, so will not change the standards or the costs or projected
emissions reductions. The HD GHG and Fuel Efficiency rulemaking
estimates of technology costs and the resulting aerodynamic efficiency
improvements were made separately from the test procedure normalization
reflected in the bin tables. Those cost and technical feasibility
assessments set the absolute values of the steps in the table, where
the testing results of the five tractors in Table II-2 set the range of
Bin III against which the rest of the aerodynamic bins are defined.
Since EPA is not proposing to change either the technical descriptions
of the bins or the estimates of the aerodynamic loss or benefits in
moving between bins in the table, EPA is estimating no change in HD GHG
and Fuel Efficiency final rulemaking costs or benefits. EPA is also not
proposing to change the input into GEM related to each aerodynamic bin;
therefore, this proposed change would have no impact on the GHG or on
fuel consumption standards.
EPA proposes to make the adjustments shown in Table II-3 to correct
the technical error in the coastdown data used in the HD GHG and Fuel
Efficiency final rule. The proposed bin value adjustments would be used
by manufacturers to certify their vehicles in their 2013 MY and later
end of year reports.
Table II-3--Proposed Table in Sec. 1037.520(b)
[High-roof sleeper cabs]
------------------------------------------------------------------------
If your measured CDA (m\2\) is . Then your bin level Then your CD
. . is . . . input is . . .
------------------------------------------------------------------------
>= 7.6............................ Bin I............... 0.75
6.8-7.5........................... Bin II.............. 0.68
6.3-6.7........................... Bin III............. 0.60
5.6-6.2........................... Bin IV.............. 0.52
<=5.5............................. Bin V............... 0.47
------------------------------------------------------------------------
(g) Other 40 CFR Part 1037 Proposed Amendments
Heavy-Duty Pickup Truck and Van Regulations: EPA proposes
to amend several provisions in Sec. Sec. 1037.15 and 1037.104 to
specify which parts of 40 CFR part 86 apply to these vehicles and to
specifically reference portions of 40 CFR part 86 in 40 CFR part 1037.
EPA also proposes to revise the language in Sec. 1037.150(a)(2) to
make it consistent with the preamble to the final rule, which
stipulates that the entire heavy-duty pickup truck and van fleet must
be certified to qualify for early credits (see 76 FR 57245). Also, EPA
proposes to clarify how heavy-duty pickup truck and van
subconfigurations are selected for testing in Sec. 1037.104(d)(9)(i)
through (iii). EPA is also proposing to revise Sec.
1037.104(g)(2)(ii), (g)(2)(iv), and (g)(5) to clarify the approach for
estimating analytically derived CO2 emission rates (ADCs).
Air Conditioning (A/C) Leakage Provisions: The MY2017-2025
Light-Duty GHG and Fuel Economy Rule separated 40 CFR 86.1866 into four
sections for clarity. The A/C leakage section moved to 40 CFR 86.1867-
12. Thus, EPA proposes to amend Sec. 1037.115 to reflect this change.
In addition, EPA proposes to revise Sec. 1037.115 because the
procedure for determining the hydrofluorocarbon (HFC) leakage rate for
air conditioning systems with alternate refrigerants is already
addressed in SAE J2727, which is incorporated by reference in 40 CFR
86.1, and therefore does not need to be included in Sec. 1037.115.
Labeling clarification: EPA proposes to clarify in Sec.
1037.135 that the emission control label for the vehicle only requires
a statement regarding the size of the fuel tank for vehicles that
contain an evaporative canister for controlling emissions.
Typographical fixes: EPA proposes to address the
typographical errors in
[[Page 36141]]
Sec. 1037.135 relative to labeling, Sec. 1037.501 related to the
trailer specification, and Sec. 1037.520 which includes a weight
reduction explanation.
EPA proposes to clarify that the general requirements for
obtaining a certificate of conformity and EPA's authority to perform
confirmatory testing on vehicles, including the vehicles used to
determine Falt-aero (see Sec. 1037.201).
EPA proposes to revise Sec. 1037.550 to change the
nomenclature used for the vehicle speed variable from S to v to be
consistent with 40 CFR part 1065. EPA is also proposing to remove the
torque control option for testing post-transmission hybrid systems
because it causes testing issues when the vehicle is shifting and
braking and by removing the torque control mode from the dynamometer
control options it would reduce lab-to-lab variability.
EPA proposes to clarify the regulatory text in Sec.
1037.620(a)(3) for instances where the secondary manufacturer who would
hold the vehicle GHG certificate may be a small business that would be
exempted from the GHG regulations.
EPA proposes to revise Sec. 1037.660 related to the
automatic engine shutdown (AES) provisions. Sec. 1037.660(c) currently
allows manufacturers to obtain a discounted credit for installing AES
systems that expire prior to the end of the vehicle's life based on the
ratio of the set point relative to 1,259,000 miles.\6\ EPA is not
revising that provision, except to change the regulatory provision
numbering from Sec. 1037.660(c) to Sec. 1037.660(c)(1). EPA is not
revising that provision. However, similar to the reasons which
supported the development of vehicle speed limiter flexibilities, an
automatic engine shutdown system could be developed to alleviate other
potential concerns that impede its adoption. For example, some amount
of idling may be needed for truckers who experience significant ambient
temperature excursions that would necessitate extended idling or for
idle reduction technologies, such as auxiliary power units, that
malfunction and necessitate extended idling. A remedy to these concerns
would be to design the AES such that it allows for a predetermined
number of hours per year of idling. EPA is proposing to add Sec.
1037.660(c)(2) to appropriately quantify the CO2 emissions
and fuel consumption of a partial AES system by discounting the AES
input to GEM. EPA is using an assumption of 1,800 hours as the annual
idling time in the calculation, which is consistent with the final rule
(76 FR 57154). EPA used 1,800 hours as the annual idling time for
sleeper cabs because it reasonably reflects the available range of
idling time cited in several studies, as discussed in the preamble to
the final rule and in the Final Regulatory Impact Analysis (pages 2-67
and 2-68).\7\ The 1,800 hours of idling was used in the final rule to
determine the credit of 5 grams of CO2 per ton-mile for the
use of AES systems (page 2-68 of the Final Regulatory Impact Analysis).
---------------------------------------------------------------------------
\6\ The basis for the lifetime mileage assumption for heavy-duty
tractors is discussed in the Regulatory Impact Analysis for the
Final Rule on page 2-69. Available in Docket EPA-HQ-OAR-
2010-0162-3634.
\7\ Regulatory Impact Analysis: Final Rulemaking to Establish
Greenhouse Gas Emissions Standards and Fuel Efficiency Standards for
Medium- and Heavy-Duty Engines and Vehicles. August 2011. Available
in Docket EPA-HQ-OAR-2010-0162-3634.
---------------------------------------------------------------------------
EPA proposes to add a provision to Sec. 1037.745. This
new proposed provision would clarify manufacturers' liability for
offsetting debits (or deficit credits) after certifying with emissions
above the standards for three years. We want to avoid claims that the
statute of limitations starts to apply in the first year of using
debits, since this could significantly limit our ability to adequately
enforce the requirement. We have generally adopted this approach in
other rules that allow debits to be carried forward a given number of
model years and are later offset with credits (40 CFR 86.1861-04(e),
86.1864-10(o), and 86.1865-12(k)).
EPA proposes to add a definition of ``preliminary
approval'' to Sec. 1037.801.
EPA proposes to revise the ``Regulatory Sub-category''
definitions in Sec. 1037.801 to match the definition of ``Class'' in
40 CFR 1037.801, be consistent with DOT's Gross Vehicle Weight Rating
Classes in Table II of 49 CFR 565.15, and aggregate the heavy-duty
pickup truck and van sub-category to match the definition in 49 CFR
535.4.
(3) Proposed Regulatory Changes to 40 CFR parts 1065 and 1066
EPA proposes to restore text to Sec. 1065.610(c)(3)(i) through
(iii) which was inadvertently removed in the final rule for Category 3
marine diesel engines (75 FR 22896, April 30, 2010). This text was most
recently published in the final rule adopting standards for locomotive
engines and Category 1 and Category 2 marine diesel engines (73 FR
37325, June 30, 2008).
EPA is also proposing to revise portions of the regulations in 40
CFR part 1066 to clarify test procedures. Specifically, we propose to
revise Sec. 1066.310(b) to clarify the coastdown process and simplify
the anemometer calibration process.
(4) Proposed Regulatory Changes to 40 CFR Part 85
EPA proposes to revise Sec. 85.525 to separate the light-duty and
heavy-duty fuel conversion regulations to provide clarity regarding the
applicability of the fuel conversion regulations to heavy-duty pickup
trucks and vans.
(5) Proposed Regulatory Changes to 40 CFR Part 86
EPA is also proposing to revise portions of the regulations in 40
CFR part 86. First, EPA is revising Sec. 86.010-18(q) to provide a
mechanism for engine manufacturers to identify engines which are only
suitable for installation in hybrid applications due to the on-board
diagnostics (OBD) calibration. Manufacturers who opt to produce a
unique set of engines for hybrid applications will include a compliance
statement on the ECI label that states ``for use in hybrid applications
only.''
Second, EPA proposes to revise portions of Sec. 86.1865-12 to
clarify the provisions that specifically apply to the heavy-duty pickup
trucks and vans subject to 40 CFR 1037.104.
Third, EPA proposes to remove Sec. Sec. 86.007-23(n) and 86.1844-
01(j), which describe how to report CO2, N2O, and
CH4 emissions. There is no need or benefit for manufacturers
to submit greenhouse gas emission data in the model years before
emission standards apply for those pollutants.
(6) Summary of Proposed Heavy-Duty GHG Amendments
EPA does not expect that these proposed revisions to 40 CFR parts
85, 86, 1036, 1037, 1065, and 1066 would have any adverse cost impact
to the manufacturers. There are no testing costs associated with the
proposed revisions. There would be no environmental impact associated
with this regulatory action because this proposed rulemaking would not
change the heavy-duty engine and vehicle greenhouse gas emission
standards that manufacturers have to meet; it simply makes some minor
amendments to the regulations.
III. Other Technical Amendments
A. Replacement Engines
In 1996, EPA adopted a provision allowing manufacturers in limited
circumstances to produce new, exempt engines for replacing failed
engines (61 FR 58102, November 12, 1996). With this approach,
manufacturers have been able to make new, exempt engines in
[[Page 36142]]
cases where engines certified to current standards do not have the
physical or performance characteristics needed to power the equipment
with the old engine. Without this provision, some equipment owners
would have been forced to prematurely scrap otherwise working equipment
(sometimes worth millions of dollars), because no engine meeting
current emission standards could be adapted for installation in the
space occupied by the original engine.
EPA later added language to the replacement engine exemption to
address the complications related to producing partially complete
engines for replacement purposes, and to address the need to produce
and sell replacement engines such that they would be available to
operators with a critical need to avoid extended downtime in the case
of engine failure (73 FR 59034, October 8, 2008). This expanded
approach allowed manufacturers to sell a limited number of new, exempt
replacement engines without taking the steps that would otherwise be
required to document the need for the exemption and to arrange for the
proper disposition of the old engine. Along with this expanded
approach, EPA added circumvention language to describe the overall
purpose of the replacement engine exemption in an attempt to prevent
manufacturers and operators from using exempted engines in ways that
were unnecessary and/or detrimental to the environment. In particular,
this text states that the provisions Sec. 1068.240 are ``intended to
allow for replacement of engines that fail prematurely . . .'' This
language has been interpreted to mean that replacement engines may be
used for no other purpose.
Since then, EPA has found that the circumvention language has had
some unintended consequences. For example, California has adopted
requirements for operators to reduce emissions from in-use equipment,
which has led to a desire to install new replacement engines that are
cleaner than the old engines. It is often the case that it is
infeasible or impractical to install replacement engines certified to
current standards, but suitable replacement engines designed to meet an
intermediate level of emission standards are available. The
circumvention language may prevent operators in California from
achieving overall emission reductions that would result from upgrading
their existing equipment with cleaner engines in this manner. It may
also be the case that an engine will simply wear out, rather than
experiencing premature failure, well before the equipment in which it
is installed is at the end of its life. Under the current regulation,
an operator under these circumstances would need to install a new
engine certified to current standards, or find a used engine, to keep
the equipment operating.
EPA continues to believe that new, exempt replacement engines
should only be used in cases where a currently certified engine cannot
practically be installed to power the old equipment. EPA believes the
regulatory language without our description of intent to prevent
circumvention serves this purpose without the unintended consequences
described above. EPA is therefore proposing to remove the circumvention
provisions from the regulations in Sec. 1068.240. EPA expects
manufacturers and operators following the regulations to continue to
use the exemption provisions appropriately and not for the purpose of
circumventing the emission standards. EPA is proposing to add language
to explicitly limit this provision to equipment that has been in
service 25 years or less (at the point of installation) so that
manufacturers and operators do not use this provision to keep in
operation older dirtier, equipment beyond the normal lifetime of the
equipment, by continually using new engines to replace old engines. EPA
has adopted this same restriction for stationary engines under 40 CFR
60.4210(i), except that the maximum equipment age is 15 years. EPA will
continue to monitor compliance with the exemption provisions and will
consider any appropriate changes to the regulation in the future to
ensure that the exemption is properly used toward this purpose. This
proposed 25-year limit would not apply for marine diesel engines, since
those engines are subject to separate replacement engine provisions.
The proposed tracked option specified in Sec. 1068.240(b) also
includes an additional step to qualify for the replacement engine
exemption for equipment not experiencing premature engine failure. In
particular, manufacturers would need to make a determination that the
replacement engine is designed with the greatest degree of emission
control that is available for the particular application. For example,
if the engine being replaced was built before the Tier 1 standards
started to apply and engines of that size are currently subject to Tier
2 standards, the manufacturer would need to also consider whether it
produces any Tier 1 or Tier 2 engines with the appropriate physical and
performance characteristics for replacing the old engine. If the
manufacturer produces a Tier 1 engine with the appropriate physical and
performance characteristics, engines emitting at levels above the Tier
1 standards would not qualify for an exemption. The proposed
requirement to use the cleanest available engine fits with the intent
of facilitating voluntary incentive programs involving replacement
engine upgrades toward the goal of reducing emissions from in-use
equipment, but without imposing a requirement that would involve new
technology development or impractical equipment design changes. This
provision has already been in place for marine diesel engines in Sec.
1042.615. In the case of equipment experiencing premature engine
failure, we would continue to apply the simpler requirement that the
replacement engine must meet emission standards that are the same as or
better than the standards that apply to the old engine.
EPA is also proposing to adjust the provisions related to the
disposition of the old engine in Sec. 1068.240(b). To be re-introduced
into U.S. commerce, the old engine must either meet current emission
standards or qualify for an exemption as if it were a new engine. The
old engine could be re-used as a replacement engine for a different
piece of equipment. Under this proposed approach, an engine made from
all new parts and an engine built with a used engine block and any mix
of new or used additional parts would be treated the same way. For
example, the recycled replacement engine would be subject to all the
demonstrations and documentation requirements of Sec. 1068.240(b), and
it would count toward the allowance to produce a limited number of
replacement engines under Sec. 1068.240(c). For engines that are not
re-introduced into U.S. commerce, manufacturers must destroy the old
engine or confirm that it has been destroyed. These proposed changes
would further address the concern expressed in the circumvention
language described above; in particular, EPA believes it is necessary
to prevent the possibility of these old engines being installed in new
equipment.
EPA is also proposing some clarification to the regulations to
address questions that have arisen, as well as making the following
changes:
Proposing revision of the labeling requirements to account
for the possibility of using a new replacement engine to replace a
previously exempted replacement engine. To the extent that the proposed
revised label statement differs from that specified by California ARB,
we would expect to approve an adjusted statement that allows for a
[[Page 36143]]
single, 50-state label under Sec. 1068.201(c).
Proposing to adjust the reporting deadline for untracked
replacement engines under Sec. 1068.240(c). This proposed change would
allow manufacturers some time after the end of the calendar year to
make the determinations and to take the required steps to fulfill the
tracking requirements for replacement engines under Sec. 1068.240(b).
Any engines for which these steps and determinations are incomplete by
the deadline for the report would need to be counted as untracked
replacement engines. Further, to account for prevailing practices and
typical timelines for replacement engines, we would move back the
deadline for this report from February 15 to March 31.
Proposing to revise Sec. 1068.240(c)(1) to specify that
manufacturers may base sales limits for the untracked option on total
U.S. production of certified and exempted engines together (including
stationary engines).
Proposing to add language to clarify that Sec.
1068.240(e) applies only for engines produced under a current, valid
certificate. An exemption under Sec. 1068.240(b) or (c) would be
required to produce an engine that is identical to one that is no
longer certified, even if the engine was formerly certified to
standards (or a Family Emission Limits) that are at least as stringent
as the current standards.
Proposing clarifications to the provisions in Sec.
1068.240(d) related to partially complete engines also apply for
``current-tier'' replacement engines exempted under Sec. 1068.240(e).
Proposing to add a statement to Sec. 1042.615 for marine
diesel engines to clarify our pre-determination that certified Tier 4
engines do not have the appropriate physical and performance
characteristics for replacing older engines in marine vessels. This
policy was established in our June 30, 2008 final rule (see 73 FR
37157).
In addition, we are proposing to revise Sec. 1068.1 to correct two
errors regarding the applicability of part 1068. First, we propose to
restore highway motorcycles to the list of categories that are not
subject to part 1068. This was added, but then inadvertently removed,
when we were completing two parallel rulemakings. Second, we are
proposing to add a reference to 40 CFR part 85 to identify how part
1068 applies in certain circumstances for heavy-duty highway engines.
These proposed changes are intended to clarify and reinforce existing
requirements without modifying the underlying programs in any way.
B. Nonroad Diesel Engine Technical Hardship Program
EPA is proposing to amend the nonroad diesel engine technical
hardship program to facilitate EPA granting exemptions to address
certain hardship circumstances that were not considered when the
original 2004 final rule was published. EPA adopted Tier 4 standards
for nonroad diesel engines under 40 CFR part 1039 in 2004 (69 FR 38958,
June 29, 2004). To meet these standards, engine manufacturers are
pursuing development of advanced technologies, including new approaches
for exhaust aftertreatment. Equipment manufacturers will need to modify
their equipment designs to accommodate these new engine technologies
and the corresponding changes to engine operating parameters (such as
operating temperatures and heat rejection rates). To provide
flexibility for equipment manufacturers in their efforts to respond to
these engine design changes, the Tier 4 standards included the
Transition Program for Equipment Manufacturers. Flexibilities allowed
under this program include delaying compliance with small-volume
equipment models for several years or using allowances in the first
year to manage the transition to the Tier 4 engines.
The Transition Program for Equipment Manufacturers is intended to
allow nonroad equipment manufacturers wide discretion to manage their
product development timeline. Equipment manufacturers may comply either
based on a percent of their production (generally for high-volume
manufacturers, as described in Sec. 1039.625(b)(1)), or based on a
maximum number of exempted pieces of equipment (generally for low-
volume manufacturers, as described in Sec. 1039.625(b)(2)). At the
same time, the regulations include at Sec. 1039.625(m) an
acknowledgement that equipment manufacturers might face a wide range of
circumstances, including cases where engine manufacturers might be late
in providing compliant engines to nonintegrated equipment manufacturers
such that the specified allowances are insufficient to avoid a
disruption in the equipment manufacturer's production schedule. The
technical hardship provision at Sec. 1039.625(m) allows EPA to make a
judgment that an equipment manufacturer that buys engines from another
company, through no fault of its own, needs additional allowances to
manage the transition to Tier 4 products. The regulation specifies a
maximum allowance of 150 percent of a manufacturer's annual production
(relative to Sec. 1039.625(b)(1)), or a total of 1,100 allowances
(relative to Sec. 1039.625(b)(2)). The regulation also provides
economic hardship provisions under Sec. 1068.255; however, eligibility
depends on manufacturers showing that their solvency is in jeopardy
without relief. Economic hardship therefore serves as a flexibility
provision of last resort.
As the compliance dates for the Tier 4 standards approach,
equipment manufacturers have described several scenarios where the
technical hardship provisions are too restrictive to address their
circumstances. For example, engine manufacturers have in some cases
delayed delivery of Tier 4 engines until six or even twelve months
after the Tier 4 standards start to apply, which could force equipment
manufacturers to use up all their allowances under Sec. 1039.625(b) in
the first year of the new standards. The maximum number of allowances
under Sec. 1039.625(m) would cover a good portion of the second year
of the Tier 4 standards, but we have heard how this too is inadequate
to allow equipment manufacturers to respond to late deliveries of
compliant engines.
As another example where additional flexibility may be warranted,
corporate acquisitions can cause equipment manufacturers to find
themselves disadvantaged with respect to allowances because two
companies have become a single company for purposes of regulatory
compliance. Taken to an extreme, the combined company could exceed its
allowances under Sec. 1039.625(b) on the day of the merger because
each of the separate companies may have used allowances that, taken
together, exceed the specified thresholds for a single company. The
combined company may apply for technical hardship under Sec.
1039.625(m), but we have seen that this too can provide insufficient
relief for equipment manufacturers trying to incorporate Tier 4 engines
into their equipment.
In these cases, the maximum allowable relief under Sec.
1039.625(m) is insufficient to allow equipment manufacturers to
transition to meeting Tier 4 requirements without disrupting their
ability to continue producing their equipment models. There have also
been cases where a company would meet the criteria to qualify for
consideration for technical hardship under Sec. 1039.625(m) except
that the regulation disallows technical hardship relief for all engines
above 560 kW and provides only limited relief for engines above 37 kW.
The regulation also provides only limited relief for companies that are
not small businesses. In these cases, no additional relief is
[[Page 36144]]
available under Sec. 1039.625(m), which again leaves equipment
manufacturers unable to continue producing their equipment models.
We are proposing to amend the Transition Program for Equipment
Manufacturers in three ways to address these concerns. First, we
propose to remove the qualifying criteria so that any equipment
manufacturer may apply for technical hardship relief under Sec.
1039.625(m) for any size engine, rather than limiting the technical
hardship relief to small businesses and to engines within certain power
categories. We believe it is more appropriate to rely on our discretion
to evaluate each hardship application on its merits rather than
automatically precluding hardship relief based on certain
characteristics of the engine or the company. If hardship relief is not
appropriate because of an engine's power rating or a company's size or
financial standing, we would not approve the request.
Second, we propose to remove the maximum number of allowances we
can approve under Sec. 1039.625(m), for both percent-of-production
(currently 150 percent) and small-volume allowances (currently 1,100
units), and we propose to remove the deadlines for exercising those
additional allowances. We have learned that the specified restrictions
on hardship allowances are in some cases too limiting to address the
legitimate concerns raised by equipment manufacturers. Again, we
believe it is most appropriate to resolve issues of extent of relief
once an equipment manufacturer has demonstrated that relief is
appropriate, rather than limiting it a priori. We would not approve a
greater number of technical hardship allowances than is needed to meet
the established objectives. Finally, we are proposing additional small-
volume allowances under Sec. 1039.625(b)(2) and (m)(4), where we may
waive the annual limits on the number of allowances instead of or in
addition to granting additional hardship allowances. There may be times
when manufacturers only need approval to use up their regular
allowances at a faster pace than the regulations currently allow.
An additional concern has come to our attention as it relates to
marine engines. Vessel manufacturers may use certified land-based
engines in marine vessels as long as the engines are not modified from
their certified configuration (see Sec. 1042.605). We adopted this
provision with the understanding that, given the additional
technological challenges of operating engines in a marine environment,
marine standards are set to be no more stringent than land-based
standards and are often set at a level somewhat less stringent than the
standards that apply to the land-based engines. Vessel manufacturers
have used these provisions extensively to access a wide range of engine
models that are not available in a certified marine configuration. The
part 1039 Tier 4 standards have made this more complicated. The Tier 4
standards for land-based engines are much more stringent than the Tier
3 marine standards, which will continue to apply for many Category 1
engines. Engine distributors supplying product to vessel manufacturers
have reported that several engine models will not be available to them
in the transition period. In that way, vessel manufacturers are much
like nonroad equipment manufacturers, except that the vessels are not
actually required to use engines meeting the more stringent standards
now or, for engines below 600 kW, in the foreseeable future. It would
be a natural solution to use allowances under Sec. 1039.625, but the
regulations specifically require that vessel manufacturers may use only
certified land-based engines under Sec. 1042.605. There is a risk that
this gap would significantly limit their ability to continue producing
vessels in the near term. We are proposing to address this by revising
40 CFR part 1042 to specifically allow vessel manufacturers to use
allowances under Sec. 1039.625 for certain model year 2013 engines
installed in marine vessels. This proposed provision would not apply
for engines at or below 19 kW, since the land-based and marine
standards for those engines are very similar. This proposed provision
also would not apply for engines above 600 kW because the dynamic for
designing and certifying those high-power engines allows for a greater
expectation that they will be certified in a marine configuration. We
expect no negative environmental impact because the engines will be
meeting the nonroad Tier 3 standards, which will continue to be at
least as stringent as the standards that currently apply for marine
engines. It is important to note that this is only a temporary measure;
once allowances are no longer available under Sec. 1039.625, vessel
manufacturers will either need to use Tier 4 land-based engines or find
certified Tier 3 marine engines.
There are further minor proposed changes to the regulations to
clarify some of the detailed transition provisions for nonroad diesel
engines, as follows:
Proposing to revise Sec. 1039.104(g) to remove the
limitations on the number of engines using the specified alternate FEL
caps. Manufacturers have pointed out that this expanded flexibility
would address the same concerns as described in this section for
transitioning to the Tier 4 standards, but there would be no net
environmental impact since manufacturers would need to produce low-
emission engines that generate emission credits to offset the
additional credits used by transition engines certified to with higher
FELs. We are also proposing to revise the regulation to specify that
the same Temporary Compliance Adjustment Factor is the same whether an
engine is subject to NOx+NMHC standards or NOx-only standards. The
proposed revision also addresses Tier 3 carry-over engines that would
need to certify to the alternate FEL caps after the Tier 4 final
standards take effect.
Proposing to add text to Sec. 1039.625(e) to clarify that
exempted engines may meet standards that are more stringent than those
specified in the regulation. This proposed change is intended only to
avoid the unintended consequence of disallowing a manufacturer from
making an engine that was cleaner than it needed to be. Even though
these engines are cleaner than they need to be under the replacement-
engine exemption, it is still the case that these engines are being
exempted from the standards that apply for certified engines; as such,
it would be inappropriate for these engines to generate emission
credits.
Proposing to clarify Sec. 1039.625(e) which alternate
standards apply to exempted engines in cases where there is more than
one set of standards in a given model year. For example, the
appropriate standards for 19-56 kW engines are the Option 1 standards
specified in Sec. 1039.102, and the appropriate standards for bigger
engines are the phase-out standards specified in Sec. 1039.102.
Proposing to adjust the provision for using interim Tier 4
engines under Sec. 1039.625(a)(2) to require that manufacturers use
engines that are identical to previously certified engines, rather than
requiring that the exempt engines be certified for the new model year.
This addresses an administrative complication related to certifying
exempted engines, without changing the requirements that apply.
C. Large SI Fuel Line Permeation
EPA is proposing to amend the required version of the SAE procedure
for testing large SI fuel line permeation. In 2002 we adopted
evaporative emission standards for nonroad spark-ignition engines above
19 kW (Large SI engines) (67 FR 68242, November 8,
[[Page 36145]]
2002). This rule included a requirement that engines meet a permeation
control standard, that could be demonstrated by using fuel lines
compliant with SAE J2260, the latest version of which had been
completed in 1996 (see 40 CFR 1048.105). This SAE standard effectively
established a level of permeation control that had been widely used
with automotive products. In adopting this requirement, we expected
manufacturers to find ``off-the-shelf'' automotive-grade products for
the nonroad engines and equipment.
In 2008, we revised this requirement by changing the regulation to
reference the 2004 version of SAE J2260, which had been finalized after
the initial rulemaking (73 FR 59034, October 8, 2008). As noted in our
proposed rule, we understood the purpose and effect of the change in
the SAE standard to be substantive with regard to the permeation
measurement procedure, but not necessarily with regard to the
stringency of the standard. The revised SAE protocol specifies a
tighter numerical standard, but this corresponded to an offsetting
change from a methanol-based test fuel to an ethanol-based test fuel.
Switching to ethanol improves the representativeness of the procedure,
and it is widely understood that ethanol permeates through fuel-system
materials less aggressively than methanol. It is also clear the fuel
change would have a non-uniform effect on different fuel-system
materials, but our overall expectation was that fuel lines meeting the
1996 version of the standard would also meet the 2004 version of the
standard. Following the proposed rule, we received no comments either
supporting or contradicting our understanding that updating to the new
standard would have no significant effect on the stringency or
practicability of the standard.
Since completing the 2008 rulemaking, we have received information
indicating that the revision of the regulation to refer to the newer
version of SAE J2260 was having a substantive effect on manufacturers'
ability to meet the standard. First, it seems that automotive
manufacturers have moved beyond the SAE J2260 standard to develop their
own proprietary methods of sourcing fuel lines from their suppliers.
Since the evaporative emission standards for automotive products
involve whole-vehicle measurements in an enclosure, manufacturers have
the option to pursue different strategies of balancing emissions from
fuel-line permeation with emissions from other sources. In effect,
there is no longer a level of emission control or a type of fuel line
that we can characterize simply as ``automotive-grade''. It is also the
case that motor vehicle manufacturers buy fuel lines in large
quantities of pre-formed parts, rather than buying large spools of fuel
line that can be cut and formed for a particular application.
Second, it appears that fuel line suppliers have a very limited
ability or willingness to supply fuel lines that they will describe as
meeting the 2004 version of SAE J2260. It is not clear whether this is
a result of a difference in stringency between the two versions of the
standard, or merely that fuel-line suppliers have moved beyond the SAE
standard to conform to separate specifications from individual
automotive manufacturers. In any case, Large SI equipment is not
manufactured in sufficient numbers to greatly influence the fuel line
manufacturers' activities, which has prevented Large SI equipment
manufacturers from being able to find and use fuel lines meeting the
exact specification in the regulations.
We are proposing to address this by again revising the regulation,
this time to specify that either the 1996 or 2004 version of SAE J2260
provides an acceptable level of control for producing compliant Large
SI engines and equipment. We do not believe this would have a
significant effect on the stringency of the standard. However, to the
extent that this would modify the stringency of the existing fuel-line
permeation standards at all, it only revises it back to the level of
permeation control that we adopted originally in 2002. We note also
that the regulations from the California Air Resources Board continue
to rely on the 1996 version of SAE J2260. This proposed change
therefore would allow for a unified national approach to fuel-line
permeation standards.
D. Small SI Proposed Amendments
Since the first emission standards for small spark-ignition (SI)
engines (< 19kW), EPA and the California ARB have required the same
basic exhaust emission test procedures and durability aging
requirements. Both agencies have accepted exhaust emission test results
on either agency's test fuel for purposes of certification. This has
traditionally meant that for small SI engines used in either handheld
or non-handheld equipment, EPA would accept exhaust emission test
results based on either its Indolene test fuel (specified at 40 CFR
1065.710) or on California test fuel (specified at section 2262 in the
California Code of Regulations (13 CCR 2262)). In 2008, when EPA
promulgated the current small SI exhaust emission standards, the
California test fuel, commonly referred to as California Phase 2
gasoline or CA RFG 2, was a seven pound per square inch (psi) Reid
Vapor Pressure (RVP) gasoline which had approximately 11 percent methyl
tertiary butyl ether (MTBE) as an oxygenate additive. This test fuel
had been used in the California small off road emission (SORE) program
since 1995.
Our 2008 final rule included provisions at Sec. 1054.145(k)
indicating that EPA would not accept carryover exhaust emission
certification data on CA RFG 2 after the 2012 model year (73 FR 59034,
October 8, 2008). However, we left open the possibility of continuing
to accept carryover exhaust emission test data on CA RFG 2 subject to
the provisions of 40 CFR 1065.10, 1065.12 and 1065.701, which would
permit EPA to approve its continued use if it does not affect the
manufacturers' ability to show that the affected engines would comply
with all applicable emission standards using the fuel specified by EPA
in 40 CFR 1065.710. Manufacturers have recently provided emissions data
meeting the regulatory requirements listed above and EPA has permitted
the use of CA RFG 2 (California Phase 2 gasoline) for certification for
the 2013 model year.\8\
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\8\ See EPA Dear Manufacturer Letter CD-12-17 (NRSSI), October
29, 2012.
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Recently, California adopted new requirements for their gasoline
certification test fuel for nonroad engines. Over the period from 2013-
2020, manufacturers must transition from CA RFG 2 to a gasoline
certification test fuel that contains 10 percent ethanol (E10) and has
a seven psi RVP (commonly referred to as California Phase 3 gasoline or
CA RFG 3). This new requirement aligns California test fuels with their
current in-use gasoline.
Considering this background and recent developments, EPA is
proposing to make two changes to its current regulatory provisions.
First, EPA believes it is appropriate to propose to extend its current
practice of accepting exhaust emission test results for small SI
engines to include CA RFG 3. For the 2013-2019 model years (inclusive),
EPA would accept exhaust emission certification data generated using CA
RFG 3 test fuel. Harmonization with California on test procedures and
test fuel requirements for small spark-ignition engines has significant
value to the engine and equipment manufacturers and users of those
products. It allows for development and
[[Page 36146]]
certification of only one engine for a given model or application by
the manufacturer and allows for greater model availability and lower
overall cost due to 50-state production. In addition, E10, which is
used in CA RFG 3, is common in gasoline sold across the U.S. today.
Therefore, permitting the use of CA RFG 3 in emissions certification
would allow test fuel to more closely match the in-use fuel used across
the U.S. Accounting for the ethanol in the fuel is likely to enhance
engine emissions in-use durability, because the presence of oxygen in
the ethanol in the test fuel would need to be accommodated in the
engine calibrations. This would reduce engine operating temperatures
in-use relative to engines calibrated on a test fuel without oxygen.
While EPA is proposing to accept manufacturer use of CA RFG 3 for
the purposes of testing, EPA is not prepared to propose to accept use
of CA RFG 3 as a fully permissible replacement test fuel for Indolene.
Test data indicate that NMHC+NOX exhaust emissions using CA
RFG 3 will be comparable relative to results on Federal certification
fuel. However, due to the presence of an oxygenate (approximately 3
percent) caused by the inclusion of E10 in CA RFG 3, tested CO
emissions would be reduced when an engine is tested using CA RFG 3,
compared to Indolene which includes no oxygenates (see 40 CFR
1065.710). EPA's official test fuel is Indolene and the level of the CO
emission standards for small SI engines (see 40 CFR 1054.103 and
1054.105) is based on the use of that fuel. Therefore, EPA cannot fully
accept test results using CA RFG 3 as showing compliance with EPA CO
standards, because CO test emissions showing compliance using CA RFG 3
do not guarantee that an engine will be able to comply with EPA's CO
standard using Indolene.
Therefore, EPA proposes to retain the option to conduct any
production line, confirmatory, and selective enforcement audit (SEA)
testing on EPA test fuel as specified in 40 CFR 1065.710.\9\ However,
as an option for the manufacturers, to bring some uniformity and
certainty to the engine development and calibration, emissions testing,
and emissions durability assessment processes, EPA proposes to use CA
RFG 3 test fuel for any production line, confirmatory, and SEA testing
if a manufacturer(s) agree to meet a lower CO emission standard. These
values, which substantially address the effect of oxygenate content on
CO emission rates, are 549 g/kW-hr for Classes I and II (non handheld
engines) and 536 g/kW-hr for Classes III-V (handheld engines). These
values are the same as California's current CO emission standards
(based on the use of CA RFG 2); they are 10-33 percent lower (depending
on Class) than EPA's CO emission standards (see 40 CFR 1054.103 and
1054.105) because they account for oxygenate content in that fuel. This
would not represent a proposed change in stringency, as the engine
designs and calibration would not change, but CO emissions would
decrease due to the oxygenate content of the California test fuel. This
proposed option would be available for Class I and II marine generators
at a CO emission standard of 4.5 g/kW-hr. This value was derived based
on the ratio of the California CO emission standards to the Federal
emission standards for other Class I and II marine generators. This
option would be available on a family-by-family basis for all Classes
of small SI engines. We consider these CO emission standards to be
interim values for purposes of this option only. EPA may revise the
level of its CO emission standard in the future if we propose to change
the Federal test fuel specifications.
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\9\ EPA already requires a ten percent ethanol blend for
evaporative emissions testing.
---------------------------------------------------------------------------
Second, EPA proposes to continue accepting exhaust emissions data
on CA RFG 2 after the 2012 model year (see 40 CFR 1054.145(k)).
Manufacturers have provided data for both handheld and nonhandheld
engines showing equivalent exhaust emission levels between CA RFG 2 and
the gasoline specified in 40 CFR 1065.710 (Indolene). Furthermore, the
move to CA RFG 3 sets in motion a process to eliminate CA RFG 2
certifications in the future as would have been required under 40 CFR
1054.145(k). Thus, to help enable an orderly and cost effective
transition, EPA believes it is appropriate for us to continue to accept
exhaust emission test data using CA RFG 2 for certification through the
2019 model year. We would expect engine families certified using CA RFG
2 carryover exhaust emission data to meet emissions standards on both
CA RFG 2 and EPA certification test fuel as specified in 40 CFR
1065.710 for any production line, SEA, or confirmatory testing.
Both of these proposed actions would apply for certification for
model years 2013 to 2019, inclusive. EPA expects to revisit these
provisions before 2020 to determine if they should be extended or
otherwise modified. The primary EPA program using Indolene test fuel
and meeting the current EPA emission standards remains in place for
Federal certification for 2013 and beyond unless and until these
provisions are otherwise modified.
We are also taking the opportunity to propose to revise the
regulatory provision in Sec. 1054.145(c) describing requirements
related to altitude kits for handheld engines. We adopted those
specifications based on the expectation that the Phase 3 exhaust
standards were unchanged from the Phase 2 exhaust standards. As such,
the emission standards do not apply at altitudes for which the
manufacturer would need to rely on an altitude kit. The regulation
should therefore be revised to no longer refer to the manufacturer
relying on an altitude kit ``to meet emission standards.'' This
proposed change in the regulations is not intended to change current
requirements, but rather simply clarifies the proper relationship of
the altitude kit to the certified configuration.
IV. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review
Under Executive Order 12866 (58 FR 51735, October 4, 1993), this
action is a `significant regulatory action' because it raises issues
that may have a potential effect on actions taken or planned by another
agency. Accordingly, EPA submitted this action to the Office of
Management and Budget (OMB) for review under Executive Orders 12866 and
13563 (76 FR 3821, January 21, 2011) and any changes made in response
to OMB recommendations have been documented in the docket for this
action.
This proposal merely clarifies and corrects existing regulatory
language. EPA does not believe there will be costs associated with this
rule because the costs in this program were previously accounted for
under the existing rules (69 FR 38958, June 29, 2004; 73 FR 59034,
October 8, 2008; and 76 FR 57106, September 15, 2011). This proposed
rule is not anticipated to create additional burdens to the existing
requirements. As such, a regulatory impact evaluation or analysis is
unnecessary. EPA also does not expect this rule to have substantial
Congressional or public interest.
B. Paperwork Reduction Act
This proposed action does not impose an information collection
burden under the provisions of the Paperwork Reduction Act, 44 U.S.C.
3501 et seq. Burden is defined at 5 CFR 1320.3(b). The information
collection requirements to ensure compliance with the
[[Page 36147]]
provisions in these rules were covered under ICR (2394.02).
The Office of Management and Budget (OMB) has previously approved
the information collection requirements contained in the existing
heavy-duty greenhouse gas emissions regulations under the provisions of
the Paperwork Reduction Act, 44 U.S.C. 3501 et seq. and has assigned
OMB Control Number 2060-0678. The OMB control numbers for EPA's
regulations in title 40 of the Code of Federal Regulations are listed
in 40 CFR part 9.
C. Regulatory Flexibility Act
The Regulatory Flexibility Act (RFA) as amended by the Small
Business Regulatory Enforcement Fairness Act of 1996 (Pub. L. 104-121,
110 Stat. 857), generally requires an agency to prepare a regulatory
flexibility analysis of any rule subject to notice and comment
rulemaking requirements under the Administrative Procedure Act or any
other statute unless the agency certifies that the rule will not have a
significant economic impact on a substantial number of small entities.
Small entities include small businesses, small organizations, and small
governmental jurisdictions.
For purposes of assessing the impacts of this rule on small
entities, small entity is defined as: (1) A small business as defined
by Small Business Administration regulations at 13 CFR 121.201; (2) a
small governmental jurisdiction that is a government of a city, county,
town, school district or special district with a population of less
than 50,000; and (3) a small organization that is any not-for-profit
enterprise which is independently owned and operated and is not
dominant in its field.
After considering the economic impacts of this proposed rule on
small entities, we conclude that this proposed action would not have a
significant economic impact on a substantial number of small entities.
This proposal would merely correct and clarify regulatory
provisions. In particular, as already adopted in the heavy-duty vehicle
GHG and fuel efficiency rules, EPA is deferring standards for
manufacturers meeting the Small Business Administration's definition of
small business as described in 13 CFR 121.201.
There would be no costs and therefore no regulatory burden
associated with this proposed rule. We have therefore concluded that
this proposed rule would not increase regulatory burden for affected
small entities. We continue to be interested in the potential impacts
of the proposed rule on small entities and welcome comments on issues
related to such impacts.
D. Unfunded Mandates Reform Act
This proposed action contains no Federal mandates under the
provisions of Title II of the Unfunded Mandates Reform Act of 1995
(UMRA), 2 U.S.C. 1531-1538 for State, local, or tribal governments or
the private sector. The proposed action would impose no enforceable
duty on any State, local or tribal governments or the private sector.
Therefore, this proposed action is not subject to the requirements of
sections 202 or 205 of the UMRA.
This proposed action is also not subject to the requirements of
section 203 of UMRA because it contains no regulatory requirements that
might significantly or uniquely affect small governments.
E. Executive Order 13132: Federalism
This proposed action does not have federalism implications. It
would not have substantial direct effects on the States, on the
relationship between the national government and the States, or on the
distribution of power and responsibilities among the various levels of
government, as specified in Executive Order 13132. This notice of
proposed rulemaking merely corrects and clarifies regulatory
provisions. Thus, Executive Order 13132 does not apply to this proposed
action.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This proposed action does not have tribal implications, as
specified in Executive Order 13175 (65 FR 67249, November 9, 2000).
This notice of proposed rulemaking merely corrects and clarifies
regulatory provisions. Tribal governments would be affected only to the
extent they purchase and use regulated vehicles. Thus, Executive Order
13175 does not apply to this action. EPA specifically solicits
additional comment on this proposed action from tribal officials.
G. Executive Order 13045: Protection of Children From Environmental
Health and Safety Risks
This proposed action is not subject to Executive Order 13045 (62 FR
19885, April 23, 1997) because it is not economically significant as
defined in Executive Order 12866, and because EPA does not believe the
environmental health or safety risks addressed by this proposed action
present a disproportionate risk to children. This notice of proposed
rulemaking merely corrects and clarifies regulatory provisions.
H. Executive Order 13211: Actions That Significantly Affect Energy
Supply, Distribution, or Use
This proposed action is not subject to Executive Order 13211 (66 FR
28355, May 22, 2001), because it is not likely to have a significant
adverse effect on the supply, distribution, or use of energy. This
notice of proposed rulemaking merely corrects and clarifies regulatory
provisions.
I. National Technology Transfer Advancement Act
Section 12(d) of the National Technology Transfer and Advancement
Act of 1995 (``NTTAA''), Public Law. 104-113, 12(d) (15 U.S.C. 272
note) directs EPA to use voluntary consensus standards in its
regulatory activities unless to do so would be inconsistent with
applicable law or otherwise impractical. Voluntary consensus standards
are technical standards (e.g., materials specifications, test methods,
sampling procedures, and business practices) that are developed or
adopted by voluntary consensus standards bodies. NTTAA directs agencies
to provide Congress, through OMB, explanations when the Agency decides
not to use available and applicable voluntary consensus standards.
This proposed action would slightly expand the use of voluntary
consensus standards by adding a reference standard under 40 CFR
1048.105. Other amendments in this proposed rule do not involve
application of new technical standards. However, the underlying
regulations in many cases rely on voluntary consensus standards. For
example, EPA included several voluntary consensus standards in the
development of the Greenhouse Gas Emissions Standards and Fuel
Efficiency Standards for Medium- and Heavy-Duty Engines and Vehicles
(76 FR 57106, September 15, 2011).
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
Executive Order 12898 (59 FR 7629, February 16, 1994) establishes
federal executive policy on environmental justice. Its main provision
directs federal agencies, to the greatest extent practicable and
permitted by law, to make environmental justice part of their mission
by identifying and addressing, as appropriate, disproportionately high
and adverse human health or environmental effects of their programs,
policies, and activities on minority
[[Page 36148]]
populations and low-income populations in the United States.
EPA has determined that this proposed rule would not have
disproportionately high and adverse human health or environmental
effects on minority or low-income populations because it merely would
correct provisions for manufacturers to use to demonstrate compliance
of heavy-duty engines and vehicles.
V. Statutory Authority
Statutory authority for the vehicle controls is found in Clean Air
Act section 202(a) (which authorizes standards for emissions of
pollutants from new motor vehicles which emissions cause or contribute
to air pollution which may reasonably be anticipated to endanger public
health or welfare), sections 202(d), 203-209, 216, and 301 (42 U.S.C.
7521(a), 7521(d), 7522, 7523, 7524, 7525, 7541, 7542, 7543, 7550, and
7601).
List of Subjects
40 CFR Part 85
Confidential business information, Imports, Labeling, Motor vehicle
pollution, Reporting and recordkeeping requirements, Research,
Warranties.
40 CFR Part 86
Administrative practice and procedure, Confidential business
information, Labeling, Motor vehicle pollution, Reporting and
recordkeeping requirements.
40 CFR Part 1036
Administrative practice and procedure, Air pollution control,
Confidential business information, Environmental protection,
Incorporation by reference, Labeling, Motor vehicle pollution,
Reporting and recordkeeping requirements, Warranties.
40 CFR Part 1037
Administrative practice and procedure, Air pollution control,
Confidential business information, Environmental protection,
Incorporation by reference, Labeling, Motor vehicle pollution,
Reporting and recordkeeping requirements, Warranties.
40 CFR Part 1039
Environmental protection, Administrative practice and procedure,
Air pollution control, Confidential business information, Imports,
Labeling, Penalties, Reporting and recordkeeping requirements,
Warranties.
40 CFR Part 1042
Environmental protection, Administrative practice and procedure,
Air pollution control, Confidential business information, Imports,
Labeling, Penalties, Vessels, Reporting and recordkeeping requirements,
Warranties.
40 CFR Part 1048
Environmental protection, Administrative practice and procedure,
Air pollution control, Confidential business information, Imports,
Incorporation by reference, Labeling, Penalties, Reporting and
recordkeeping requirements, Warranties.
40 CFR Part 1054
Environmental protection, Administrative practice and procedure,
Air pollution control, Confidential business information, Imports,
Labeling, Penalties, Reporting and recordkeeping requirements,
Warranties.
40 CFR Parts 1065 and 1066
Administrative practice and procedure, Air pollution control,
Reporting and recordkeeping requirements, Research.
40 CFR Part 1068
Environmental protection, Administrative practice and procedure,
Confidential business information, Imports, Motor vehicle pollution,
Penalties, Reporting and recordkeeping requirements, Warranties.
Dated: May 9, 2013.
Bob Perciasepe,
Acting Administrator.
[FR Doc. 2013-11979 Filed 6-14-13; 8:45 am]
BILLING CODE 6560-50-P