Magnuson-Stevens Act Provisions; Fisheries of the Northeastern United States; Northeast Multispecies Fishery; 2014 Sector Operations Plans and Contracts and Allocation of Northeast Multispecies Annual Catch Entitlements, 14639-14657 [2014-05762]
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Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
NMFS to ascertain the impact of de
minimis carryover on regulated entities.
Prior rulemaking for Amendment 16
allowed sectors to carry over up to 10
percent of their overall allocation if, for
any reason, they were unable to utilize
that allocation in one FY. This
allowance is designed to allow
flexibility so that vessels do not fish
during unsafe conditions to utilize their
last units of catch allocations. The
ability to carry over allocation is
simultaneously constrained by a fisherywide ACL that cannot be exceeded.
Prior rulemaking created a provision for
a de minimis carryover amount in
excess of the ACL. This proposed rule
establishes that amount at 1 percent of
the upcoming FY ACL. The additional
allocation, in excess of the ACL, will
allow sectors and sector-enrolled
entities to increase their gross sales
slightly relative to being restricted to the
ACL level, creating positive economic
impacts for those enrolled in sectors.
These benefits are not disproportionate,
as the de minimis carryover amount is
available to all sector-enrolled fishery
participants.
For these reasons, the proposed rule,
if implemented, will not have a
significant economic impact on a
substantial number of small entities.
Accordingly, an initial regulatory
flexibility analysis is not required and
none has been prepared.
List of Subjects in 50 CFR Part 648
Fisheries, Fishing, Recordkeeping and
reporting requirements.
Dated: March 11, 2014.
Samuel D. Rauch III,
Deputy Assistant Administrator for
Regulatory Programs, National Marine
Fisheries Service.
For the reasons set out in the
preamble, 50 CFR part 648 is proposed
to be amended as follows:
PART 648—FISHERIES OF THE
NORTHEASTERN UNITED STATES
1. The authority citation for part 648
continues to read as follows:
■
Authority: 16 U.S.C. 1801 et seq.
2. In § 648.14, revise paragraph
(k)(11)(iv) to read as follows:
■
tkelley on DSK3SPTVN1PROD with PROPOSALS
§ 648.14
*
*
*
*
(k) * * *
(11) * * *
(iv) Reporting requirements for all
persons. (A) If fishing under a NE
multispecies DAS or on a sector trip in
the Western U.S./Canada Area or
Eastern U.S./Canada Area specified in
16:33 Mar 14, 2014
DEPARTMENT OF COMMERCE
§ 648.85
[Docket No. 131115971–4214–01]
Special management programs.
(a) * * *
(3) * * *
(v) Reporting. (A) The owner or
operator of a common pool vessel must
submit reports via VMS, in accordance
with instructions provided by the
Regional Administrator, for each day of
the fishing trip when declared into
either of the U.S./Canada Management
Areas. The owner or operator of a sector
vessel must submit daily reports via
VMS, in accordance with instructions
provided by the Regional Administrator,
for each day of the fishing trip when
declared into the Eastern U.S./Canada
Area. Vessels subject to the daily
reporting requirement must report daily
for the entire fishing trip, regardless of
what areas are fished. The reports must
be submitted in 24-hr intervals for each
day, beginning at 0000 hr and ending at
2359 hr, and must be submitted by 0900
hr of the following day, or as instructed
by the Regional Administrator. The
reports must include at least the
following information:
(1) VTR serial number or other
universal ID specified by the Regional
Administrator;
(2) Date fish were caught and
statistical area in which fish were
caught; and
(3) Total pounds of cod, haddock,
yellowtail flounder, winter flounder,
witch flounder, pollock, American
plaice, redfish, Atlantic halibut, ocean
pout, Atlantic wolffish, and white hake
kept (in pounds, live weight) in each
broad stock area, specified in
§ 648.10(k)(3), as instructed by the
Regional Administrator.
(B) The Regional Administrator may
remove or modify the reporting
requirement for sector vessels in
§ 648.85(a)(3)(v) in a manner consistent
with the Administrative Procedure Act.
*
*
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[FR Doc. 2014–05819 Filed 3–14–14; 8:45 am]
Prohibitions.
*
VerDate Mar<15>2010
§ 648.85(a)(1), fail to report in
accordance with § 648.85(a)(3)(v).
*
*
*
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*
■ 3. In § 648.85, revise paragraph
(a)(3)(v) to read as follows:
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National Oceanic and Atmospheric
Administration
50 CFR Part 648
RIN 0648–XC995
Magnuson-Stevens Act Provisions;
Fisheries of the Northeastern United
States; Northeast Multispecies
Fishery; 2014 Sector Operations Plans
and Contracts and Allocation of
Northeast Multispecies Annual Catch
Entitlements
National Marine Fisheries
Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA),
Commerce.
ACTION: Proposed rule; request for
comments.
AGENCY:
We propose to approve 19
sector operations plans and contracts for
fishing year (FY) 2014, provide
Northeast (NE) multispecies annual
catch entitlements (ACE) to these
sectors, and grant regulatory
exemptions. We request comment on
the proposed sector operations plans
and contracts; the environmental
assessment (EA) analyzing the impacts
of the operations plans; and our
proposal to grant 20 of the 28 regulatory
exemptions requested by the sectors.
Approval of sector operations plans is
necessary to allocate ACE to the sectors
and for the sectors to operate. The NE
Multispecies Fishery Management Plan
(FMP) allows limited access permit
holders to form sectors, and requires
sectors to submit their operations plans
and contracts to us, NMFS, for approval
or disapproval. Approved sectors are
exempt from certain effort control
regulations and receive allocation of NE
multispecies (groundfish) based on its
members’ fishing history.
This rule also announces the target atsea monitoring (ASM) coverage rate for
sector trips for FY 2014.
DATES: Written comments must be
received on or before April 1, 2014.
ADDRESSES: You may submit comments
on this document, identified by NOAA–
NMFS–2014–0001, by any of the
following methods:
• Electronic Submission: Submit all
electronic public comments via the
Federal e-Rulemaking Portal. Go to
www.regulations.gov/
#!docketDetail;D=NOAA-NMFS-20140001, click the ‘‘Comment Now!’’ icon,
complete the required fields, and enter
or attach your comments.
SUMMARY:
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Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
• Mail: Submit written comments to
Brett Alger, 55 Great Republic Drive,
Gloucester, MA 01930.
• Fax: 978–281–9135; Attn: Brett
Alger.
Instructions: Comments sent by any
other method, to any other address or
individual, or received after the end of
the comment period, may not be
considered by NMFS. All comments
received are a part of the public record
and will generally be posted for public
viewing on www.regulations.gov
without change. All personal identifying
information (e.g., name, address, etc.),
confidential business information, or
otherwise sensitive information
submitted voluntarily by the sender will
be publicly accessible. NMFS will
accept anonymous comments (enter ‘‘N/
A’’ in the required fields if you wish to
remain anonymous). Attachments to
electronic comments will be accepted in
Microsoft Word, Excel, or Adobe PDF
file formats only.
FOR FURTHER INFORMATION CONTACT:
Brett Alger, Fishery Management
Specialist, phone (978) 675–2153, fax
(978) 281–9135. To review Federal
Register documents referenced in this
rule, you can visit https://
www.nero.noaa.gov/sfd/sfdmultifr.html.
SUPPLEMENTARY INFORMATION:
tkelley on DSK3SPTVN1PROD with PROPOSALS
Background
Amendment 13 to the FMP (69 FR
22906, April 27, 2004) established a
process for forming sectors within the
NE multispecies fishery, implemented
restrictions applicable to all sectors, and
authorized allocations of a total
allowable catch (TAC) for specific NE
multispecies species to a sector.
Amendment 16 to the FMP (74 FR
18262, April 9, 2010) expanded sector
management, revised the two existing
sectors to comply with the expanded
sector rules (summarized below), and
authorized an additional 17 sectors.
Framework Adjustment (FW) 45 to the
FMP (76 FR 23042, April 25, 2011)
further revised the rules for sectors and
authorized 5 new sectors (for a total of
24 sectors). FW 48 to the FMP (78 FR
26118) eliminated dockside monitoring
requirements, revised ASM
requirements, removed the prohibition
on requesting an exemption to allow
access in year-round groundfish
closures, and modified minimum fish
sizes for NE multispecies stocks.
The FMP defines a sector as ‘‘[a]
group of persons (three or more persons,
none of whom have an ownership
interest in the other two persons in the
sector) holding limited access vessel
permits who have voluntarily entered
into a contract and agree to certain
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fishing restrictions for a specified period
of time, and which has been granted a
TAC(s) [sic] in order to achieve
objectives consistent with applicable
FMP goals and objectives.’’ Sectors are
self-selecting, meaning each sector can
choose its members.
The NE multispecies sector
management system allocates a portion
of the NE multispecies stocks to each
sector. These annual sector allocations
are known as ACE. These allocations are
a portion of a stock’s annual catch limit
(ACL) available to commercial NE
multispecies vessels, based on the
collective fishing history of a sector’s
members. Currently, sectors may receive
allocations of most large-mesh NE
multispecies stocks with the exception
of Atlantic halibut, windowpane
flounder, Atlantic wolffish, and ocean
pout. A sector determines how to
harvest its ACEs and may decide to
consolidate operations to fewer vessels.
Because sectors elect to receive an
allocation under a quota-based system,
the FMP grants sector vessels several
‘‘universal’’ exemptions from the FMP’s
effort controls. These universal
exemptions apply to: Trip limits on
allocated stocks; the Georges Bank (GB)
Seasonal Closure Area; NE multispecies
days-at-sea (DAS) restrictions; the
requirement to use a 6.5-inch (16.5-cm)
mesh codend when fishing with
selective gear on GB; portions of the
Gulf of Maine (GOM) Rolling Closure
Areas; and the ASM coverage rate for
sector vessels fishing on a monkfish
DAS in the Southern New England
(SNE) Broad Stock Area (BSA) with
extra-large mesh gillnets. The FMP
prohibits sectors from requesting
exemptions from permitting restrictions,
gear restrictions designed to minimize
habitat impacts, and reporting
requirements.
We received operations plans and
preliminary contracts for FY 2014 from
19 sectors. The operations plans are
similar to previously approved versions,
but include additional exemption
requests and proposals for industryfunded ASM plans. Five sectors did not
submit operations plans or contracts.
Four of these sectors now operate as
state-operated permit banks as described
below.
We have made a preliminary
determination that the proposed 19
sector operations plans and contracts,
and 20 of the 28 regulatory exemptions,
are consistent with the FMP’s goals and
objectives, and meet sector requirements
outlined in the regulations at § 648.87.
We summarize many of the sector
requirements in this proposed rule and
request comments on the proposed
operations plans, the accompanying EA,
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and our proposal to grant 20 of the 28
regulatory exemptions requested by the
sectors, but deny the rest. Copies of the
operations plans and contracts, and the
EA, are available at https://
www.regulations.gov and from NMFS
(see ADDRESSES). Two of the 19 sectors,
Northeast Fishery Sector IV and
Sustainable Harvest Sector 3, propose to
operate as private lease-only sectors.
Sustainable Harvest Sector 3 has not
explicitly prohibited fishing activity and
may transfer permits to active vessels.
The five sectors that chose not to
submit operations plans and contracts
for FY 2014 are the Tri-State Sector, and
four state-operated permit bank sectors
as follows: The State of Maine Permit
Bank Sector, the State of New
Hampshire Permit Bank Sector, the
Commonwealth of Massachusetts Permit
Bank Sector, and the State of Rhode
Island Permit Bank Sector. Amendment
17 to the FMP allows a state-operated
permit bank to receive an allocation
without needing to comply with the
administrative and procedural
requirements for sectors (77 FR 16942,
March 23, 2012). These permit banks are
required to submit a list of participating
permits to us by a date specified in the
permit bank’s Memorandum of
Agreement, typically April 1.
Sector Allocations
Sectors typically submit membership
information to us on December 1 prior
to the start of the FY, which begins each
year on May 1. Due to uncertainty
regarding ACLs for several stocks in FY
2014 and a corresponding delay in
distributing a letter describing each
vessel’s potential contribution to a
sector’s quota for FY 2013, we extended
the deadline to join a sector until March
6, 2014. Based on sector enrollment
trends from the past 4 FYs, we expect
sector participation in FY 2014 will be
similar. Thus, we are using FY 2013
rosters as a proxy for FY 2014 sector
membership and calculating the FY
2014 projected allocations in this
proposed rule. In addition to the
membership delay, all permits that
change ownership after December 1,
2013, retain the ability to join a sector
through April 30, 2014. All permits
enrolled in a sector, and the vessels
associated with those permits, have
until April 30, 2014, to withdraw from
a sector and fish in the common pool for
FY 2014. We will publish final sector
ACEs and common pool sub-ACL totals,
based upon final rosters, as soon as
possible after the start of FY 2014.
We calculate the sector’s allocation
for each stock by summing its members’
potential sector contributions (PSC) for
a stock, as shown in Table 1. The
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tkelley on DSK3SPTVN1PROD with PROPOSALS
information presented in Table 1 is the
total percentage of each commercial
sub-ACL each sector would receive for
FY 2014, based on their FY 2013 rosters.
Tables 2 and 3 show the allocations
each sector would be allocated for FY
2014, based on their FY 2013 rosters. At
the start of the FY after sector
enrollment is finalized, we provide the
final allocations, to the nearest pound,
to the individual sectors, and we use
those final allocations to monitor sector
catch. While the common pool does not
receive a specific allocation, the
common pool sub-ACLs have been
included in each of these tables for
comparison.
We do not assign an individual permit
separate PSCs for the Eastern GB cod or
Eastern GB haddock; instead, we assign
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16:33 Mar 14, 2014
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a permit a PSC for the GB cod stock and
GB haddock stock. Each sector’s GB cod
and GB haddock allocations are then
divided into an Eastern ACE and a
Western ACE, based on each sector’s
percentage of the GB cod and GB
haddock ACLs. For example, if a sector
is allocated 4 percent of the GB cod ACL
and 6 percent of the GB haddock ACL,
the sector is allocated 4 percent of the
commercial Eastern U.S./Canada Area
GB cod TAC and 6 percent of the
commercial Eastern U.S./Canada Area
GB haddock TAC as its Eastern GB cod
and haddock ACEs. These amounts are
then subtracted from the sector’s overall
GB cod and haddock allocations to
determine its Western GB cod and
haddock ACEs. A sector may only
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14641
harvest its Eastern GB cod and Eastern
GB haddock ACEs in the Eastern U.S./
Canada Area.
At the start of FY 2014, we will
withhold 20 percent of each sector’s FY
2014 allocation until we finalize FY
2013 catch information. Further, we will
allow sectors to transfer ACE for the first
2 weeks of the FY to reduce or eliminate
any overages. If necessary, we will
reduce any sector’s FY 2014 allocation
to account for a remaining overage in FY
2013. We will notify the New England
Fishery Management Council (Council)
and sector managers of this deadline in
writing and will announce this decision
on our Web site at https://
www.nero.noaa.gov/.
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27.71872988
2.427525124
5.763571581
1.836337195
0.012388586
0.306098122
2.754502235
0.907139553
2.100445949
0,027575466
3.733774761
1.649699057
2.738256567
5.682093562
7.373269077
Maine Coast ComClunity Sector (MCCS)
0210884903
4.596597061
0,039432654
2,55161868
0,003520766
0,666708601
1.051286855
7,556632938
5060557394
0,006820574
1.962255738
0,193992022
2,501303594
4,395849418
3,797140053
Maine Permit Bank
0.133607478
1.149239515
0,04435478
1.119954871
0.013784972
0,0321106
0.317847866
1.184627556
0.726911262
0.000217924
0.424996136
0.018062606
0,82161897
1.652464617
1.687408962
Northeast Coastat Communities Sector (NCCS)
PO 00000
GB Cod Fixed Gear Sector (Fixed Gear Sector)
0.171714629
0.747118934
0.121288456
0.346947317
0.839360178
0.730299467
0.609611048
0.148400495
0217164483
0.06851228
0.902725619
0.299690235
0.430799572
0.786899895
0.422108665
Northeast Fishery Sector (NEFS) 2
6,191171555
18.39148356
11.93561803
16,56937652
1.956212251
1.515977918
19.36890642
8,101995368
12.9838275
3298503411
18.47190632
3.715706341
16.03891814
6,324580446
12,18480616
NEFS 3
1.254432578
14.38675335
0.145728022
9.639335615
0.009835375
0.359064276
8.54698643
4.060663072
2,850033098
0.026629309
9.319435141
0.770534716
1.340249434
4.728255234
6.742288564
Fmt 4702
Sfmt 4725
E:\FR\FM\17MRP1.SGM
NEFS4
4,1367992
9,606087828
5,316410627
8,352659156
2,162140207
2284433093
5.468195833
9293451723
8.494753001
0,694261609
6.237485326
0,873984619
6,6411228
8.056725927
6,139347299
NEFS 5
0.787355997
0.012750377
1.054382599
0.29000082
1,612395162
23.14079398
0.483648066
0.494901351
0.66764438
0,519493466
0,067775875
12.40324636
0,076867166
0,120751931
0,105091422
NEFS 6
2,862851792
2,915090555
2,922120852
3.83168745
2,700718731
5,202188198
3,561907715
3,878483192
5,173945604
1.456372348
4.368261163
1.899063341
5.309470425
3,910609037
3.291675388
NEFS 7
5,211056055
0,392009572
4,954500464
0,470587008
11.29568227
4,600328498
2,855687041
3,591806195
3.29228748
14,85658589
0,834854477
6,361203285
0,585656695
0,825305761
0.72492652
NEFS 8
6,14880838
0.491350249
5,6707432
0.214415849
10,90431227
5,882487094
6.398437227
1.651042895
2,545436319
14,62910109
3,347594135
10,10393804
0,535076052
0,502817177
0,59723616
NEFS 9
14,24440858
1.734938904
11.60522774
4.79506944
26,78684937
8010746054
10.41323599
8.274094588
8,276853188
39,50573969
2.434938053
18,66550659
5,831194068
4,153222567
4.226596885
NEFS 10
0.728661762
5,258247759
0,251374404
2.536025184
0,017009857
0,551161076
12,82168877
1.775528001
2.426063683
0,014020349
26,97367178
0.75334052
0,548197298
0,911865489
1.392122624
NEFS 11
0.391253409
11.16859205
0,03543876
2,348918505
0,000791476
0,017423136
2,103506392
1.352037708
1.466540747
0,000891972
1.933117315
0.018133592
0,925719327
2.337376129
6.476223062
NEFS 12
0.015440918
2.424989379
0,002634982
0,859334418
0,000755014
0.00226534
0.482526093
0.749010838
0,607519321
0.002502852
0.315960829
0,003606272
1.059331479
2.496406429
2,959391344
NEFS 13
7,959727663
0,948142154
1608322713
0,988253483
24,97057352
1905225135
5,028985804
5,162564913
6.265622578
7.459181845
2,339943913
11.06413673
3,980614019
1.739333215
2.270102215
New Hampshire Permit Bank
0,002124802
1.13716238
0,000259638
0,031122397
2,05874E-05
203879E-05
0,021799587
0,028491335
0,006159923
5,97789E-06
0,060253594
7,91351E-05
0,019395668
0,081269819
0,110849628
17MRP1
19,69965286
19.4957918
33.08647612
42,18318787
13,19401946
8,294765742
12.83797012
39,30951304
34.27430747
16.31727077
10,26926712
18,50496543
50,01722164
50.42133195
38.71559296
0.441448259
0,516942212
0,64380095
0,184787537
2.33217197
3.153847443
2,080616152
0.747017528
0,818211498
0.492229489
2.307418768
1.669226791
0,202850943
0,16200976
0,082302846
Sectors Total
EP17MR14.007
Sustainabte Harvest Sector 1
Sustainable Harvest Sector 3
98.31013069
97.80081276
99.676591
99.14961931
98.81254203
83.80297037
97.20734564
98.24740229
98.25428488
99.3759163
96.30563606
88.96811568
99.60386385
99.28916836
99.29847984
0323109001_
0.8,50380687
__11874,57966
_1619,702963
2J92.6~4364
_ _17525977,13
__ 174~71512
_ 0624083,699, 3694363937 - _1103188432
0.39.61}614,5
_0]1083163,7
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_1689869308_ _2199187236
* The data in this table are based on FY 2013 sector rosters. NEFS I and the GB Cod Hook Sector did not operate in FY 2013, therefore, do not appear in this table.
t For FY 2014,8.37 percent of the GB cod ACL would be allocated for the Eastern U.S./Canada Area, while 58.27 percent of the GB haddock ACL would be allocated for the Eastern
u.S./Canada Area.
t SNE/MA Yellowtail Flounder refers to the SNE/Mid-Atlantic stock. CC/COM Yellowtail Flounder refers to the Cape Cod/GOM stock.
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
16:33 Mar 14, 2014
PSC(
Table 1. C
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191
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1,173
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233
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5
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1
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18
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53
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19
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38
118
70
109
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1,237
369
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186
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3,552
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1,834
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1,358
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1,232
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284
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557
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E:\FR\FM\17MRP1.SGM
NEFS8
Sustainable Harvest Sector 1
64
704
357
7,297
5,228
205
74
103
136
1,198
461
1,218
162
494
11,650
4,755
11,287
Sustainable Harvest Sector 3
Sectors Total
1
16
9
142
102
1
13
39
22
23
11
37
36
45
47
15
24
321
3,513
1,790
21,984
15,749
481
554
1,042
1,027
2,993
1,321
7,416
1,517
2,373
23,200
9,364
28,949
Common Pool
6
60
40
71
51
4
7
201
29
53
23
47
58
294
92
67
*The data in this table are based on FY 2013 sector rosters. NEFS I and the GB Cod Hook Sector did not operate in FY 2013, therefore, do not appear in this table.
#Numbers are rounded to the nearest thousand lbs. In some cases, this table shows an allocation of 0, but that sector may be allocated a small amount of that stock in tens or hundreds pounds.
/\ The data in the table represent the total allocations to each sector. NMFS will withhold 20 percent of a sector's total ACE at the start of the FY.
t We have used preliminary ACLs to estimate each sector's ACE.
205
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
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tkelley on DSK3SPTVN1PROD with PROPOSALS
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Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
tkelley on DSK3SPTVN1PROD with PROPOSALS
BILLING CODE 3510–22–C
Sector Operations Plans and Contracts
We received 19 sector operations
plans and contracts by the September 3,
2013, deadline. Seventeen sectors
operated in FY 2013, and two additional
sectors, Northeast Fishery Sector I and
the GB Cod Hook Sector, that did not
operate last year, have submitted plans
for FY 2014. In order to approve a
sector’s operations plan for FY 2014,
that sector must have been compliant
with reporting requirements from all
previous years, including the year-end
reporting requirements found at
§ 648.87(vi)(C). Submitted operations
plans, provided on our Web site as a
single document for each sector, not
only contain the rules under which each
sector would fish, but also provide the
legal contract that binds each member to
the sector for the length of the sector’s
operations plan, which currently is a
single FY. Each sector’s operations plan,
and sector members, must comply with
the regulations governing sectors, found
at § 648.87. In addition, each sector
must conduct fishing activities as
detailed in its approved operations plan.
Any permit holder with a limited
access NE multispecies permit that was
valid as of May 1, 2008, is eligible to
participate in a sector, including an
inactive permit currently held in
confirmation of permit history. If a
permit holder officially enrolls a permit
in a sector and the FY begins, then that
permit must remain in the sector for the
entire FY, and cannot fish in the NE
multispecies fishery outside of the
sector (i.e., in the common pool) during
the FY. Participating vessels are
required to comply with all pertinent
Federal fishing regulations, except as
specifically exempted in the letter of
authorization (LOA) issued by the
Regional Administrator, which details
any approved exemptions from
regulations. If, during a FY, a sector
requests an exemption that we have
already approved, or proposes a change
to administrative provisions, we may
amend the sector operations plans.
Should any amendments require
modifications to LOAs, we would
include these changes in updated LOAs
and provide these to the appropriate
sector members.
Each sector is required to ensure that
it does not exceed its ACE during the
FY. Sector vessels are required to retain
all legal-sized allocated NE multispecies
stocks, unless a sector is granted an
exemption allowing its member vessels
to discard legal-sized unmarketable fish
at sea. Catch (defined as landings and
discards) of all allocated NE
multispecies stocks by a sector’s vessels
VerDate Mar<15>2010
16:33 Mar 14, 2014
Jkt 232001
count against the sector’s allocation.
Catch from a sector trip (e.g., not fishing
under provisions of a NE multispecies
exempted fishery or with exempted
gear) targeting dogfish, monkfish, skate,
and lobster (with non-trap gear) would
be deducted from the sector’s ACE
because these trips use gear capable of
catching groundfish. Catch from a trip
in an exempted fishery does not count
against a sector’s allocation because the
catch is assigned to a separate ACL subcomponent.
For FYs 2010 and 2011, there was no
requirement for an industry-funded
ASM program and NMFS was able to
fund an ASM program with a target
ASM coverage rate of 30 percent of all
trips. In addition, we provided 8percent observer coverage through the
Northeast Fishery Observer Program
(NEFOP), which helps to support the
Standardized Bycatch Reporting
Methodology (SBRM) and stock
assessments. This resulted in an overall
target coverage rate of 38 percent,
between ASM and NEFOP, for FYs 2010
and 2011. For FY 2012, we conducted
an analysis to determine the total
coverage that would be necessary to
achieve the same level of precision as
attained by the 38-percent total coverage
target used for FY’s 2010 and 2011, and
ultimately set a target coverage rate of
25 percent for FY 2012, which was 17
percent ASM, and 8 percent NEFOP. For
FY 2013, we conducted the same
analysis, and set a target coverage rate
of 22 percent for FY 2013, which was
14 percent ASM, and 8 percent NEFOP.
Since the beginning of FY 2012,
industry was required to pay for ASM
coverage, while we continued to fund
NEFOP. However, we were able to fund
both ASM and NEFOP in FY 2012 and
2013. As announced on February 21,
2014, NMFS will cover the ASM costs
for groundfish sectors to meet the
requirements under the NE Multispecies
FMP in FY 2014, as well.
Amendment 16 regulations require
NMFS to specify a level of ASM
coverage that is sufficient to at least
meet the same coefficient of variation
(CV) specified in the SBRM and also to
accurately monitor sector operations.
FW 48 clarified what level of ASM
coverage was expected to meet these
goals. Regarding meeting the SBRM CV
level, FW 48 determined that it should
be made at the overall stock level,
which is consistent with the level
NMFS determined was necessary in FY
2013. FW 48 also amended the goals of
the sector monitoring program to
include achieving an accuracy level
sufficient to minimize effects of
potential monitoring bias.
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14645
Taking the provisions of FW 48 into
account, and interpreting the ASM
monitoring provision in the context of
Magnuson-Stevens Act requirements
and National Standards, we have
determined that the appropriate level of
ASM coverage should be set at the level
that meets the CV requirement specified
in the SBRM and minimizes the cost
burden to sectors and NMFS to the
extent practicable, while still providing
a reliable estimate of overall catch by
sectors needed for monitoring ACEs and
ACLs. Based on this standard, NMFS
has determined that the appropriate
target coverage rate for FY 2014 is 26
percent. Using both NEFOP and ASM,
we expect to cover 26 percent of all
sector trips, with the exception of trips
using a few specific exemptions, as
described later in this rule. Discards
derived from these observed and
monitored trips will be used to calculate
discards for unobserved sector trips. We
have published a more detailed
summary of the supporting information,
explanation and justification for this
decision at: https://www.nero.noaa.gov/
ro/fso/reports/Sectors/ASM/FY2014_
Multispecies_Sector_ASM_
Requirements_Summary.pdf.
This summary, in addition to
providing sectors and the public with a
full and transparent explanation of the
appropriate level of ASM coverage of
sector operations, complies with a
settlement agreement entered into by
NMFS and Oceana, Inc. The settlement
agreement resolved a lawsuit brought by
Oceana challenging the approval of the
2012 sector operations plans primarily
on grounds that the agency failed to
adequately justify and explain that the
ASM coverage rate specified for FY
2012 would accurately monitor the
catch to effectively enforce catch limits
in the groundfish fishery.
The draft operations plans submitted
in September 2013 included industryfunded ASM plans for FY 2014.
However, because NMFS will be
funding and operating ASM for sectors
in FY 2014, we are not proposing to
approve these ASM plans and would
remove them from the final sector
operations plans.
Sectors are required to monitor their
allocations and catch, and submit
weekly catch reports to us. If a sector
reaches an ACE threshold (specified in
the operations plan), the sector must
provide sector allocation usage reports
on a daily basis. Once a sector’s
allocation for a particular stock is
caught, that sector is required to cease
all fishing operations in that stock area
until it acquires more ACE, unless that
sector has an approved plan to fish
without ACE for that stock. ACE may be
E:\FR\FM\17MRP1.SGM
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Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
transferred between sectors, but
transfers to or from common pool
vessels is prohibited. Within 60 days of
when we complete year-end catch
accounting, each sector is required to
submit an annual report detailing the
sector’s catch (landings and discards),
enforcement actions, and pertinent
information necessary to evaluate the
biological, economic, and social impacts
of each sector.
Each sector contract provides
procedures to enforce the sector
operations plan, explains sector
monitoring and reporting requirements,
presents a schedule of penalties for
sector plan violations, and provides
sector managers with the authority to
issue stop fishing orders to sector
members who violate provisions of the
operations plan and contract. A sector
and sector members can be held jointly
and severally liable for ACE overages,
discarding legal-sized fish, and/or
misreporting catch (landings or
discards). Each sector operations plan
submitted for FY 2014 states that the
sector would withhold an initial reserve
from the sector’s ACE sub-allocation to
each individual member to prevent the
sector from exceeding its ACE. Each
sector contract details the method for
initial ACE sub-allocation to sector
members. For FY 2014, each sector has
proposed that each sector member could
harvest an amount of fish equal to the
amount each individual member’s
permit contributed to the sector.
Requested FY 2014 Exemptions
Sectors requested 28 exemptions from
the NE multispecies regulations through
their FY 2014 operations plans. We
evaluate each exemption to determine
whether it allows for effective
administration of and compliance with
the operations plan and sector
allocation, and that it is consistent with
the goals and objectives of the FMP.
Twenty of the 28 requests are grouped
into several categories in this rule, as
follows: Sixteen exemptions that were
previously approved and are proposed
for approval for FY 2014; one exemption
previously approved for which we have
concern; one exemption that was
previously denied, but we are
reconsidering based on a modified
request for FY 2014; exemption requests
related to accessing year-round
groundfish mortality closures; and a
new exemption request we propose to
approve for FY 2014. The remaining
eight exemption requests, each of which
are proposed for denial, are grouped
into two categories: Two requested
exemptions that we propose to deny
because they were previously rejected
and no new information was provided;
and six requested exemptions that we
propose to deny because they are
prohibited.
A discussion of all 28 exemption
requests appears below; we request
public comment on the proposed sector
operations plans and our proposal to
grant 20 requested exemptions and deny
8 requested exemptions, as well as the
EA prepared for this action.
Exemptions We Propose To Approve
(16)
In FY 2013, we exempted sectors from
the following requirements, all of which
have been requested for FY 2014: (1)
120-day block out of the fishery
required for Day gillnet vessels, (2) 20day spawning block out of the fishery
required for all vessels, (3) prohibition
on a vessel hauling another vessel’s
gillnet gear, (4) limits on the number of
gillnets that may be hauled on GB when
fishing under a NE multispecies/
monkfish DAS, (5) limits on the number
of hooks that may be fished, (6) DAS
Leasing Program length and horsepower
restrictions, (7) prohibition on
discarding, (8) daily catch reporting by
sector managers for sector vessels
participating in the Closed Area (CA) I
Hook Gear Haddock Special Access
Program (SAP), (9) powering vessel
monitoring systems (VMS) while at the
dock, (10) prohibition on fishing inside
and outside of the CA I Hook Gear
Haddock SAP while on the same trip,
(11) prohibition on a vessel hauling
another vessel’s hook gear, (12) the
requirement to declare intent to fish in
the Eastern U.S./Canada SAP and the
CA II Yellowtail Flounder/Haddock
SAP prior to leaving the dock, (13) gear
requirements in the Eastern U.S./Canada
Management Area, (14) seasonal
restrictions for the Eastern U.S./Canada
Haddock SAP, (15) seasonal restrictions
for the CA II Yellowtail Flounder/
Haddock SAP, and (16) sampling
exemption. A detailed description of the
previously approved exemptions and
rationale for their approval can be found
in the applicable final rules identified in
Table 4 below:
TABLE 4—EXEMPTIONS FROM PREVIOUS FYS PROPOSED FOR APPROVAL IN FY 2014
Exemptions
Rulemaking
Date
Citation
1–9, 13 ...............
10–12 .................
14–16 .................
FY 2011—Sector Operations Final Rule ................................................
FY 2012—Sector Operations Final Rule ................................................
FY 2013—Sector Operations Interim Final Rule ...................................
April 25, 2011 .................................
May 2, 2012 ...................................
May 2, 2013 ...................................
76 FR 23076.
77 FR 26129.
78 FR 25591.
NE Multispecies FR documents can be found at https://www.nero.noaa.gov/sfd/sfdmultifr.html.
Exemption of Concern That We
Previously Approved (1)
tkelley on DSK3SPTVN1PROD with PROPOSALS
(17) Limits on the Number of Gillnets on
Day Gillnet Vessels
The FMP limits the number of gillnets
a Day gillnet vessel may fish in the
groundfish regulated mesh areas (RMA)
to prevent an uncontrolled increase in
the number of nets being fished, thus
undermining applicable DAS effort
controls. The limits are specific to the
type of gillnet within each RMA: 100
gillnets (of which no more than 50 can
be roundfish gillnets) in the GOM RMA
(§ 648.80(a)(3)(iv)); 50 gillnets in the GB
VerDate Mar<15>2010
16:33 Mar 14, 2014
Jkt 232001
RMA (§ 648.80(a)(4)(iv)); and 75 gillnets
in the Mid-Atlantic (MA) RMA
(§ 648.80(b)(2)(iv)). We previously
approved this exemption in FYs 2010,
2011, and 2012 to allow sector vessels
to fish up to 150 nets (any combination
of flatfish or roundfish nets) in any
RMA to provide greater operational
flexibility to sector vessels in deploying
gillnet gear. Sectors argued that the
gillnet limits were designed to control
fishing effort and are no longer
necessary because a sector’s ACE limits
overall fishing mortality.
Previous effort analysis of all sector
vessels using gillnet gear indicated an
PO 00000
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Fmt 4702
Sfmt 4702
increase in gear used in the RMA with
no corresponding increase in catch
efficiency, which could lead to an
increase in interactions with protected
species. While a sector’s ACE is
designed to limit a stock’s fishing
mortality, fishing effort may affect other
species. This increased effort could
ultimately lead to a rise in interactions
with protected species.
For FY 2013, we received several
comments in support of the continued
approval of the exemption without any
restrictions, noting negative financial
impacts if the exemption were not
approved and that efforts were made to
E:\FR\FM\17MRP1.SGM
17MRP1
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
GOM outside of these times and areas
did not have this additional restriction.
We are proposing this exemption with
the same GOM seasonal restrictions that
we approved in FY 2013, and we
request comment on approving this
exemption again for FY 2014.
Sector Small-Mesh Fishery Exemption
Area 1 is bounded by the following
coordinates connected in the order
listed by straight lines, except where
otherwise noted:
Point
Point
A
B
C
D
......
......
......
......
N. latitude
40°39.2′
40°34.0′
41°03.5′
41°23.0′
VerDate Mar<15>2010
W. longitude
Note
73°07.0′
73°07.0′
71°34.0′
71°11.5′
..........
..........
..........
..........
16:33 Mar 14, 2014
Jkt 232001
Previously Disapproved Exemption
Under Consideration for Approval (1)
(18) Prohibition on Combining Small
Mesh Exempted Fishery and Sector
Trips
We received an exemption request in
FY 2013 to allow sector vessels to fish
in small-mesh exempted fisheries (e.g.,
whiting, squid) and in the large-mesh
groundfish fishery on the same trip. A
full description of the request and
relevant regulations is in the FY 2013
Sector Proposed Rule (78 FR 16220, see
page 16230, March 14, 2013). In the
proposed rule, we raised several
concerns about the exemption,
including the ability to monitor these
E
F
G
A
......
......
......
......
N. latitude
41°27.6′
41°18.3′
41°04.3′
40°39.2′
W. longitude
Note
71°11.5′
71°51.5′
71°51.5′
73°07.0′
(1)
..........
(2)
..........
(1) From POINT E to POINT F along the
southernmost coastline of Rhode Island and
crossing all bays and inlets following the
COLREGS Demarcation Lines defined in 33
CFR part 80.
PO 00000
Frm 00031
Fmt 4702
Sfmt 4702
trips, the impacts that the exemption
could have on juvenile fish, and the
enforceability of using multiple mesh
sizes on the same trip (i.e., participating
in multiple directed fisheries on a single
trip). We received comments in support
and against the exemption request.
Ultimately, it was disapproved in the
FY 2013 Sector Interim Final Rule (78
FR 25591, May 2, 2013) for many of the
concerns stated above.
For FY 2014, sectors have requested a
similar exemption that would allow
vessels to possess and use small-mesh
and large-mesh trawl gear on a single
trip, within portions of the SNE RMA.
To address some of the concerns from
FY 2013, sectors proposed that vessels
using this exemption to fish with
smaller mesh would fish in two discrete
areas that have been shown to have
minimal amounts of regulated species
and ocean pout. The coordinates and
maps for these two areas are show
below:
(2) From POINT G back to POINT A along
the southernmost coastline of Long Island, NY
and crossing all bays and inlets following the
COLREGS Demarcation Lines defined in 33
CFR part 80.
Sector Small-Mesh Fishery Exemption
Area 2 is bound by the following
coordinates connected in the order
listed by straight lines:
E:\FR\FM\17MRP1.SGM
17MRP1
EP17MR14.010
tkelley on DSK3SPTVN1PROD with PROPOSALS
increase pinger compliance to mitigate
concerns for harbor porpoise. We
recognize that pinger compliance is
generally increasing in recent years;
however, the increase is not seen across
all sectors, nor across all gillnet vessels
outside of the groundfish fishery.
Correspondingly, while recent
indications reflect a decrease in harbor
porpoise takes, takes have not decreased
to a suitable level. We also heard from
several commenters who raised
concerns for cod, impacts to non-target
species, and the risk for lost gear. Based
on the comments received and the
concern for protected species and
spawning cod, we restricted the use of
this exemption to seasons with minimal
cod spawning in the GOM, i.e., late
spring. Therefore, a vessel fishing in the
GOM RMA was able to use this
exemption seasonally, but was restricted
to the 100-net gillnet limit in blocks 124
and 125 in May, and in blocks 132 and
133 in June. A vessel fishing in GB
RMA, SNE RMA, MA RMA, and the
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Point
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H .........
I ...........
J ..........
K .........
H .........
N. latitude
41°00.0′
41°00.0′
40°27.0′
40°27.0′
41°00.0′
N
N
N
N
N
W. longitude
71°20.0′
70°00.0′
70°00.0′
71°20.0′
71°20.0′
W.
W.
W.
W.
W.
Second, sectors proposed that one of
the following trawl gear modifications
would be required for use when using
small mesh: Drop chain sweep with a
minimum of 12 inches (30.48 cm) in
length; a large mesh belly panel with a
minimum of 32-inch (81.28-cm) mesh
size; or an excluder grate secured
forward of the codend with an outlet
hole forward of the grate with bar
spacing of no more than 1.97 inches
(5.00 cm) wide. These gear
modifications, when fished properly,
have been shown to reduce the catch of
legal and sub-legal groundfish stocks.
Requiring these modifications is
intended to also reduce the incentive for
a sector vessel to target groundfish with
small mesh.
Sectors have requested subjecting a
vessel using this exemption to the same
NEFOP and ASM coverage as standard
groundfish trips (i.e., a total of 26
percent in FY 2014). The vessel would
be required to declare their intent to use
small mesh to target non-regulated
species by submitting a Trip Start Hail
through its VMS unit prior to departure;
this would be used for monitoring and
enforcement purposes. Trips declaring
this exemption must stow their smallmesh gear and use their large-mesh gear
first, and once finished with the large
mesh, would have to submit a
Multispecies Catch Report via VMS
with all catch on board at that time.
Once the Catch Report was sent, the
vessel could then deploy small mesh
with the required modifications in the
specific areas (see map above), outside
of the Nantucket Lightship CA, at which
point, the large mesh could not be
redeployed. Any legal-sized allocated
groundfish stocks caught during these
small-mesh hauls must be landed and
the associated landed weight (dealer or
vessel trip report (VTR)) would be
deducted from the sector’s ACE.
Vessels using this exemption would
have their trips assessed using a new
discard strata (i.e., area fished and gear
type) and would be treated separately
from sector trips that do not declare this
exemption. After 1 year, an analysis
would be conducted to determine
whether large-mesh hauls on these trips
should remain as a separate stratum or
be part of an existing stratum. Vessels
using this exemption would be required
to retain all legal-sized groundfish when
using small mesh, and all groundfish
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16:33 Mar 14, 2014
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catch would be counted against a
sector’s ACE.
Recognizing that this year’s modified
request addressed some of our past
concerns, we worked with the sectors to
better understand the new request and
their attempt to develop additional
solutions to the issues we raised in the
past. However, we remain concerned
about the exemption, as proposed,
regarding impacts on the resource, as
well as monitoring and enforcing the
exemption.
First, we are concerned about vessels
potentially catching groundfish in these
requested exemption areas with smallmesh nets. While the requested
exemption areas do appear to have
minimal amounts of groundfish, they
are not completely void of these stocks.
In fact, beginning in FY 2014,
accountability measures (AMs) for the
groundfish fishery will be implemented
adjacent to the requested exemption
areas to address high discards of
windowpane flounder. This exemption
provides an opportunity for vessels to
target or incidentally catch allocated NE
multispecies in these requested
exemption areas while fishing with
small-mesh nets.
We are also concerned about the
possible increase in bycatch of juvenile
fish. There is a change in selectivity
from a 6.5-inch (16.5-cm) codend to a
2.5-inch (6.35-cm) codend, and a vessel
using a small-mesh net may increase the
catch of juvenile groundfish. The
increased amount of bycatch may not
affect an individual sector because the
sector may have adequate ACE to cover
the discards. However, because discards
in the commercial groundfish fishery
are calculated and monitored by weight,
and not by number of fish, the smallermesh net could result in more fish by
number that are discarded when fishing
with the much smaller codend. An
increased discard of juvenile fish may
adversely affect groundfish stocks.
The three gear modifications
proposed for this exemption could
mitigate catch of regulated species when
properly installed. All three
modifications have been demonstrated
to reduce the catch of regulated species,
but none have been shown to
completely eliminate it. While the
modifications have the potential to
harvest regulated species, such as cod,
especially if the gears are not fished
properly, the excluder grate
modification may reduce catch of larger
groundfish, but may still capture
juveniles, even when fished properly.
Second, there are several concerns
with monitoring this exemption. Smallmesh exempted fishery trips outside of
this proposed exemption are only
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subject to the NEFOP monitoring
requirements and do not receive ASM
coverage. As a result, the vast majority
of NEFOP observers and ASMs do not
receive the training necessary for
observing small-mesh fisheries. Because
of this lack of training, we are
concerned about accurately observing
both the large-mesh and small-mesh
portions of these proposed trips.
Additionally, while this exemption is
proposed to have a target coverage of 26
percent (NEFOP and ASM combined),
this exemption would be treated
separately from standard sector trips to
accurately monitor species caught and
discarded by area and gear type. As
such, we are concerned about the effects
of this exemption on the administration
of our monitoring programs. For
example, having to process data from
these unique trips and distribute ASMs
across more trips, could cause
inefficiencies and affect our abilities to
meet the target coverage of 26 percent
that is required for overall sector
monitoring. This specific concern is not
unique to this exemption, and is raised
again later in this rule for other
exemptions.
Another monitoring concern is our
ability to monitor fish caught in nongroundfish fisheries and whether the
proposed changes in our accounting for
this catch in these fisheries is required.
Vessels fishing with small-mesh nets
outside of the groundfish fishery, such
as squid vessels, are required to discard
all groundfish, legal and sub-legal.
Because of this incidental groundfish
catch in non-groundfish fisheries, a
portion of the ACL of most groundfish
stocks is reserved under the ‘‘other subcomponent’’ category to account for the
bycatch. This portion of the ACL is not
an allocation in the other subcomponent category, and there are
currently no AMs for the nongroundfish fisheries in this subcomponent category. Instead, if
groundfish bycatch in the other subcomponent category contributes to an
overage of the groundfish ACL, the
commercial groundfish fishery is held
accountable for 100 percent of the
overage. We monitor the amount of
groundfish bycatch caught in nongroundfish fisheries through annual
catch estimates, and the Council uses
this information to determine if the
amount of bycatch warrants allocating a
sub-ACL and corresponding AMs to a
specific non-groundfish fishery.
Allowing vessels using this
exemption to discard legal-sized
groundfish would significantly
compromise both the ability to ensure
that vessels are not retaining legal-sized
groundfish from the small-mesh portion
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of the trip, and prevent vessels from
discarding groundfish caught from the
large-mesh portion of the trip, while
squid fishing. To address these
enforcement concerns, this proposal
requires vessels to land all legal-sized
groundfish, bycatch that would
normally count against the other subcomponent would now count against
the groundfish sub-ACL. This change in
practice and accounting could hinder
our ability to monitor the level of
groundfish bycatch in non-groundfish
fisheries, particularly the small-mesh
fisheries. The frequency that this
exemption is used, the magnitude of
groundfish bycatch on these trips, and
whether the bycatch includes a large
portion of the non-allocated stocks (e.g.,
windowpane flounder) could adversely
affect our ability to determine whether
bycatch is increasing or poses any
management concerns. This would also
then potentially adversely affect the
Council’s determination of whether the
amount of bycatch warrants allocating a
sub-ACL and corresponding AMs to a
non-groundfish fishery.
Lastly, there are enforcement
concerns about the landings and
discards of groundfish while the vessel
uses small mesh on a sector trip under
this exemption. At present, vessels are
primarily bound by one minimum mesh
size throughout their trip to target a
single fishery, e.g., vessels use a 6.5inch (16.5-cm) mesh codend to target
groundfish on a sector trip. In order to
use multiple mesh sizes on a trip to
target other fisheries, vessels must
declare out of the groundfish fishery,
and for example, use a 5.5-inch (13.97cm) mesh codend to target fluke, or a
2.5-inch (6.35-cm) mesh codend to
target squid. Under the proposed
exemption, a vessel would participate in
multiple targeted fisheries, using
multiple mesh sizes on the same fishing
trip, which creates additional
complexity of being able to associate the
catch on board the vessel with the
correct mesh size that was used. After
a vessel has retained groundfish on
board caught using large mesh, the
vessel could use small mesh to target
groundfish prior to entering one of the
exemption areas, which would be illegal
and difficult to detect. Under a typical
small-mesh trip, a vessel is not allowed
to be in possession of any regulated
species at any time.
If approved, we will closely monitor
the catch from these exempted trips. If
it is determined that this exemption is
having a negative impact on groundfish
stocks, we would retain the authority to
revoke this exemption during the FY.
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Exemption Requests Related to
Accessing Groundfish Closed Areas (1)
(19) Prohibition on Groundfish Trips in
Year-Round Closed Areas
In FY 2013, we disapproved an
exemption that would have allowed
sector vessels restricted access to
portions of CAs I and II, provided each
trip carried an industry-funded ASM.
For a detailed description of the
exemption request and justifications for
disapproval, see the final rule (78 FR
41772, December 16, 2013). When we
proposed allowing sector access to these
areas, we announced that we did not
have funding to pay for monitoring the
additional trips for exemptions
requiring a 100-percent coverage level.
Industry members indicated that it was
too expensive to participate in the
exemption, given the requirement to pay
for a monitor on every trip. This, in
combination with extensive comment
opposing access to these areas to protect
depleted stocks and our concern about
the impacts on depleted stocks such as
GB cod and GB yellowtail flounder,
resulted in disapproval.
In FY 2014, we remain unable to fund
monitoring costs for exemptions
requiring a 100-percent coverage level.
In addition, we have some concerns
about funding and administering the
shore-side portion of any monitoring
program for an exemption that requires
additional ASM, such as the exemption
to access CAs I and II. For example, an
increase in monitored trips would result
in an increased need for data processing
for those trips, which could cause
delays that adversely affect our existing
programs. Also, distributing ASMs
across CA trips or other exemption’s
trips could affect our ability to meet the
target coverage of 26 percent required
for overall sector monitoring because an
exemption requiring additional coverage
places additional strain on the existing
pool of ASM. If we are unable to fund
the shore-side portion of an industryfunded ASM program, or if we
determine that there are significant
effects on data or ASM availability,
approval of this exemption would be in
jeopardy.
As discussed in the FY 2013 interim
final rule allowing access to the
Nantucket Lightship CA for sectors rule
(78 FR 41772, December 16, 2013), we
are interested in conducting research
through an exempted fishing permit(s)
(EFP) to gather catch data from CAs I
and II. Results from any EFPs conducted
in these areas could better inform the
industry, the public, and NMFS,
regarding the economic efficacy of
accessing these CAs, while providing
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14649
information specific to bycatch of
depleted stocks.
The Greater Atlantic Regional
Fisheries Office and the Northeast
Fisheries Science Center (NEFSC) are
currently working to develop ideas for
a short-term EFP that would allow a
small number of groundfish trips into
CAs I and II. These trips would attempt
to address the following questions: (1)
Could enough fish be caught to
adequately offset the industry’s
additional expense of having an ASM
on board, and (2) could catch of
groundfish stocks of concern be
addressed?
Industry has claimed that requiring
100-percent industry-funded ASM
coverage when fishing in a CA makes
the exemption economically unfeasible.
Because there have been no commercial
groundfish trips in these areas for close
to two decades, industry is hesitant to
make these initial assessment trips at
their expense. Allowing a small number
of trips into CAs I and II through an EFP
could provide enough catch data to help
the fishing industry determine whether
trips into the area with an industryfunded monitor could be profitable.
These ‘‘test’’ trips would provide recent
and reliable catch information from CAs
I and II, including catch rates of both
abundant and depleted stocks. This
information could help industry
determine whether the cost of an ASM
could be offset by increased landings of
a stock with relatively high abundance
(e.g., GB haddock), while avoiding
stocks that are limiting to them.
Although there have been studies in the
past that examine catch rates of
selective trawl gear, these studies have
not been conducted inside the CAs
being proposed for access.
While we continue to consider ways
to develop an EFP proposal that is
focused on access into CAs I and II,
industry is also free to develop an EFP
proposal to address any number of
questions associated with fishing in a
CA as well. EFP requests would be
expeditiously reviewed and authorized,
when merited. Permits would not be
approved if the exempted activities
could undermine measures that were
established to conserve and manage
fisheries or reduce interactions with
protected species. Contingent on the
results of any EFPs associated with this
exemption that we have available
during FY 2014, assuming that we could
fund and administer the shore-side
portion of a monitoring program, and
there is sufficient ASM available, we are
proposing to allow sectors access to CAs
I and II in precisely the same manner
that was proposed for FY 2013 (see 78
FR 41772, July 11, 2013). Given the
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extra time it would take to implement
an EFP and consider the results, the
decision to approve an exemption
allowing access to CA I and II would be
done in a separate rulemaking sometime
during FY 2014. This would be separate
from a final rule addressing all other
sector exemption requests in this
proposed rule, including the request to
access the Nantucket Lightship CA. A
Closed Area I Exemption Area
Nantucket Lightship Closed Area—
Eastern Exemption Area
A ...... 41°30′
(66°34.8′)
(1)
The waters in the eastern portion of
1 The intersection of 41°30′ N. latitude and
the Nantucket Lightship CA, defined by
the U.S.-Canada Maritime Boundary, approxi- straight lines connecting the following
mate longitude in parentheses.
points in the order stated here:
The waters in a portion of CA I,
defined by straight lines connecting the
following points in the order stated
here:
Point
A
B
C
D
A
.........
.........
.........
.........
.........
N. lat.
41°04′
41°26′
40°58′
40°55′
41°04′
69°01′
68°30′
68°30′
68°53′
69°01′
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A
B
C
D
E
F
......
......
......
......
......
......
41°30′
41°30′
41°50′
41°50′
42°00′
42°00′
VerDate Mar<15>2010
W. long.
Note
(66°34.8′)
67°20′
67°20′
67°10′
67°10′
(67°00.63′)
(1)
..........
..........
..........
..........
(2), (3)
17:43 Mar 14, 2014
Note
Nantucket Lightship Closed Area—
Western Exemption Area
The waters in a portion of CA II,
defined by straight lines connecting the
following points in the order stated
stated here:
N. lat.
W. long.
2 The intersection of 42°00′ N. latitude and
the U.S.-Canada Maritime Boundary, approximate longitude in parentheses.
3 From POINT F back to POINT A along the
U.S.-Canada Maritime Boundary.
W. long.
Closed Area II Exemption Area
Point
N. lat.
Jkt 232001
The waters in the western portion of
the Nantucket Lightship CA, defined by
straight lines connecting the following
points in the order stated here:
Point
A
B
C
D
A
PO 00000
.........
.........
.........
.........
.........
N. lat.
40°50′
40°50′
40°20′
40°20′
40°50′
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W. long.
70°20′
70°00′
70°00′
70°20′
70°20′
Sfmt 4702
Point
A
B
C
D
A
N. lat.
.........
.........
.........
.........
.........
40°50′
40°50′
40°20′
40°20′
40°50′
W. long.
69°30′
69°00′
69°00′
69°30′
69°30′
1. Closed Area I Exemption Area
If this proposed exemption is
approved without any changes in
response to any EFP results during FY
2014, the central portion of CA I would
be opened seasonally to selective gear
from the date the final rule approving
this exemption is published, through
December 31, 2014. Trawl vessels
would be restricted to selective trawl
gear, including the separator trawl, the
Ruhle trawl, the mini-Ruhle trawl, rope
trawl, and any other gear authorized by
the Council in a management action.
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EP17MR14.011
Point
brief summary of the proposed action
and rationale for granting sector
exemptions allowing access to CAs I
and II, and the Nantucket Lightship CA
is below.
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Hook gear would be permitted in this
area, as well. Because GB cod is
overfished and subject to overfishing,
and gillnets cannot selectively capture
haddock without catching cod, vessels
would be prohibited from fishing with
gillnets in this area. Flounder nets
would be prohibited in this area to help
protect GB yellowtail flounder, which is
also overfished and subject to
overfishing.
Allowing vessels into the CA I
Exemption Area would increase their
opportunities to target healthy stocks of
GB haddock. Although the Council
specified in FW 48 that vessels could
fish in the area until February 15, we are
proposing to prohibit vessels from
fishing in the CA I Exemption Area after
December 31 due to impacts on GB cod
spawning. Since the closure of this area
in 1994, GB haddock has rebounded and
is a healthy stock. On the other hand,
GB cod and GB yellowtail flounder are
overfished and subject to overfishing.
This proposed action would allow
fishing for GB haddock and other
healthy stocks, while selective gear
would help minimize catch of GB cod
and GB yellowtail flounder.
Since this area was initially closed, an
area within the proposed CA I
Exemption Area has been open to allow
a special access program for groundfish
hook vessels fishing for haddock. In
addition, a portion of CA I proposed to
be reopened in this rule has been a part
of the Scallop Access Area Rotational
Management Program since 2004. As a
result, the seabed in this area has been
disturbed by scallop dredges and is
therefore not a preserved habitat area.
Furthermore, analyses for the Habitat
Omnibus Amendment did not identify
this area as vulnerable to trawl gear and
this area is not identified for any
proposed essential fish habitat (EFH)
protections. There are minimal concerns
regarding impacts to protected species
in this area. While there were initial
concerns about effort shifts from lobster
gear in the area, an analysis of lobster
effort in the area indicates that there is
very little lobster effort in the proposed
CA I Exemption Area. Because of this,
it is not anticipated that lobster gear
displaced from this area would result in
increased interactions with protected
species. More information on lobster
effort in the proposed areas is available
in the accompanying EA.
2. Closed Area II Exemption Area
If this proposed exemption is
approved without any changes in
response to any EFP results during FY
2014, the central portion of CA II would
be opened seasonally to selective gear
from the date of the final rule approving
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16:33 Mar 14, 2014
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this exemption is published, through
December 31, 2014. The gear restrictions
in CA II are the same as those proposed
for CA I—selective trawl and hook gear
only. Vessels fishing with selective
trawl and hook gear would be permitted
in this area when specified (see below).
Vessels would be prohibited from
fishing with gillnets and flounder nets
in this exemption area. As noted above,
GB haddock has fully recovered, is
rebuilt, and is consistently underharvested. Selective gear is proposed to
minimize the catch of GB cod and
yellowtail flounder, both of which are
considered overfished and subject to
overfishing.
The offshore lobster industry and
sector trawl vessels proposed a
rotational gear-use agreement for the CA
II Exemption Area and the FY 2013
proposed sector rule included this
proposed agreement (a copy of the
agreement is included as an appendix in
the EA). The restrictions proposed in
the rotational gear use agreement have
been adopted by the Atlantic States
Marine Fisheries Commission, which
modified the Interstate Fisheries
Management Plan for American Lobster
through Addendum XX to the lobster
plan. This FY 2014 proposed rule
incorporates most portions of that
agreement; a more detailed explanation
is below.
The proposed seasons and gear
requirements incorporate the rotational
gear-use agreement and mitigate fishing
effort on yellowtail flounder and
spawning cod:
• May 1–June 15: Only sector trawl
vessels could access the area; lobster
and hook gear vessels prohibited.
• June 16–October 31: Sector trawl
vessels would be prohibited, lobster and
sector hook gear vessels only.
• November 1–December 31: Only
sector trawl vessels could access the
area; lobster and hook gear vessels
prohibited.
• January 1–April 30: Lobster vessels
permitted; sector groundfish vessels
would be prohibited in CA II during this
time.
The gears and seasons listed above
match the agreement between the
offshore lobster industry and sector
trawl vessels, including the groundfish
prohibition of fishing in CA II after
December 31. A January 1 through April
30 closure reflects the need to avoid
impacts on spawning stocks of GB cod.
Because approval of this exemption
would only be considered after the
outcome of an EFP, any action
approving access to the CA II Exemption
Area would likely occur part-way
through FY 2014, rendering some of the
agreement moot.
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14651
The agreement between the offshore
lobster industry and sector vessels
reduces concerns of gear conflicts in the
area. Analyses for the EA indicate that
only a small portion of the annual
lobster catch from this portion of CA II
is harvested during November. No trips
were reported in the proposed area
during December 2011 or 2012. As a
result, the displacement of lobster effort
into other areas is expected to be
minimal. Because of this, it is not
anticipated that lobster gear displaced
from this area would result in increased
interactions with protected species in
other locations.
Similar to CA I, allowing vessels into
this area would increase their
opportunities to target healthy stocks of
GB haddock, and selective gear would
be required to reduce bycatch of
overfished stocks. Although the Council
specified in FW 48 that vessels could
fish in the CA II Exemption Area until
February 15, we are proposing to
prohibit vessels from this area after
December 31 due to impacts on GB cod
spawning. While this area has been
closed year-round to groundfish fishing
since 1994, the majority of the seabed in
this area is sand and is impacted by
strong currents. As a result, this area is
not considered to be vulnerable to trawl
gear. Some areas are shallow enough
that the bottom is affected by wave
action; therefore, bottom trawling in this
area would likely have minimal impact
on benthic habitats. Furthermore,
analyses for the Habitat Omnibus
Amendment have not identified this
area for any proposed EFH protections.
There are minimal concerns regarding
impacts to protected species in this area.
100% Industry-Funded At-Sea
Monitoring Requirement When
Accessing Closed Areas I and II
Should access to CAs I and/or II be
approved after analysis of the results of
an EFP, NMFS intends to maintain the
100-percent industry-funded monitoring
requirement for these trips. The intent
of the EFP would be to provide industry
with enough information to determine
whether it would be economically
viable to go into these areas with an
industry-funded monitor. While a shortterm EFP would provide us with some
data on catch rates and the use of
selective gear, the short duration of the
EFP would not provide us with different
seasonal information to warrant less
than 100-percent ASM coverage. As we
stated in the FY 2013 sector final rule,
monitoring every trip would allow us to
respond more quickly, should there be
an unanticipated impact in these areas,
such as increased harvests of juveniles,
large adult spawners, or impacts on
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protected species. As mentioned earlier,
we are particularly concerned about
impacts to the severely overfished
stocks of GB cod and yellowtail
flounder. Because CAs I and II were
initially developed to afford protection
for overfished groundfish stocks and we
have no catch data for these areas, we
believe that it is critical that we receive
reliable catch information from these
areas.
tkelley on DSK3SPTVN1PROD with PROPOSALS
3. Nantucket Lightship CA Exemption
In FY 2013, we approved an
exemption that allowed sector vessels
access to the Eastern and Western
Exemption Areas within the Nantucket
Lightship CA for the duration of FY
2013. For a detailed description of the
exemption request and justifications for
approving it, see the final rule (78 FR
41772, December 16, 2013). In
summary, trawl vessels were restricted
to using selective trawl gear, flounder
nets were prohibited, hook vessels were
permitted, and gillnet vessels were
restricted to fishing 10-inch (25.4-cm) or
larger diamond mesh. Gillnet vessels
were required to use pingers when
fishing in the Western Exemption Area
from December 1—May 31 because this
area lies within the existing SNE
Management Area of the Harbor
Porpoise Take Reduction Plan. Unlike
the CA I and II proposal, we specified
that at-sea observer coverage would
come from the combined NEFOP and
ASM target coverage level of 22 percent
in FY 2013 for the Nantucket Lightship
CA after further review and in response
to public comments. Consistent with
that requirement, we now propose that
this exemption be continued for FY
2014, with observed trips included in
the overall target sector coverage level of
26 percent for NEFOP and ASM
combined.
For FY 2014, we are proposing access
to the Eastern and Western Exemption
Areas within the Nantucket Lightship
CA, with a slight modification from
what was approved in FY 2013. To
address comments from trawl fishermen
that the FY 2013 gear restrictions
prevented them from fishing in this area
as intended, we reviewed our decision
and found that a ‘‘source population’’ of
SNE/MA yellowtail flounder that we
previously expressed concern about is
found primarily in the Eastern Area of
the Nantucket Lightship CA. The data
suggest that yellowtail flounder are not
concentrated nearly as much in the
Western Exemption Area. Based on this,
we are proposing to allow all legal trawl
gear to be fished in the Western
Exemption Area, while still maintaining
the selective trawl gear requirements
and prohibition on flounder nets in the
Eastern Exemption Area.
If approved, this measure would
allow sector vessels to access the eastern
and western portions of the Nantucket
Lightship CA. The central area is EFH
and is not proposed to be re-opened.
Trawl vessels would be restricted to the
use of selective trawl gear in the Eastern
Exemption Area, including the separator
trawl, the Ruhle trawl, the mini-Ruhle
trawl, rope trawl, and any other gear
authorized by the Council in a
management action. Flounder nets
would be prohibited. However, in the
Western Exemption Area, all legal trawl
gear would be permitted. In both areas,
gillnet vessels would be restricted to
fishing 10-inch (25.4-cm) diamond mesh
or larger. This would allow gillnet
vessels to target monkfish and skates
while reducing catch of flatfish. Because
the western area lies within the SNE
Management Area of the Harbor
Porpoise Take Reduction Plan, gillnet
vessels would be required to use pingers
when fishing in the Nantucket Lightship
CA—Western Exemption Area between
December 1 and May 31.
Opening the eastern and western
portions of the Nantucket Lightship CA
to trawl gear is not expected to have any
significant adverse habitat impacts.
While this area has been closed yearround to groundfish fishing since 1994,
the eastern portion proposed to be
reopened in this rule has been a part of
the Scallop Access Area Rotational
Management Program since 2004—so it
has been subject to fishing by mobile
bottom-tending gear. The western
portion is referred to as the ‘‘mudhole’’
with a benthic habitat not vulnerable to
bottom trawling. Therefore, bottom
impacts from opening this area are
anticipated to be minimal. Furthermore,
analyses for the Habitat Omnibus
Amendment have not identified this
area for any proposed EFH protections.
There are minimal concerns regarding
impacts to protected species in this area.
New Exemption Proposed (1)
(20) 6-inch (15.2-cm) Mesh Size of
Greater for Directed Redfish Trips
Minimum mesh size restrictions
(§ 648.80(a)(3)(i), (a)(4)(i), (b)(2)(i), and
(c)(2)(i)) were implemented under
previous groundfish actions to reduce
overall mortality on groundfish stocks,
change the selection pattern of the
fishery to target larger fish, improve
survival of sublegal fish, and allow
sublegal fish more opportunity to spawn
before entering the fishery. Beginning in
FY 2012, sectors were allowed to use a
6-inch (15.2-cm) mesh codend to target
redfish in the Gulf of Maine.
Subsequently, based on catch
information from ongoing redfish
research showing areas with large
amounts of redfish, at the end of FY
2012 and into FY 2013 sectors were
allowed to use a 4.5-inch (11.4-cm)
mesh codend to target redfish. To date,
the exemption has required 100-percent
monitoring with either an ASM or
observer onboard every trip, primarily
because of concerns over a greater
retention of sub-legal groundfish, as
well as non-allocated species and
bycatch. Once sectors were allowed the
use of a 4.5-inch (11.4-cm) mesh codend
under the redfish exemption, all trips
were monitored for target and bytcatch
thresholds to ensure compliance with
the intent of the exemption, which is to
target redfish. Additionally, the
thresholds were monitored at the subtrip level, whereby hauls using mesh 4.5
inches (11.4 cm) and greater were
monitored separately from hauls not
using the exemption (i.e., hauls using
mesh 6.5 inches (16.5 cm) and greater).
While this provided additional
flexibility to switch codends during the
trip and, therefore, allowed vessels to
switch between using and not using the
exemption on a given trip, it added an
additional layer of monitoring for these
trips. Having monitors on every redfish
exemption trip has allowed NMFS to
observe changes in catch rates of target
and non-target species when using
different codend mesh sizes, helping to
ensure that we can monitor the use of
the exemption (i.e., accurately monitor
catch thresholds), when requested to do
so, on a haul-by-haul level.
TABLE 5—REDFISH EXEMPTIONS FROM PREVIOUS FYS
Exemptions
Rulemaking
Date
6.0 inch with 100% NMFS-funded coverage ........
4.5 inch with 100% NMFS-funded coverage ........
4.5 inch with 100% Industry-funded coverage .....
FY 2012 Sector Operations Final Rule ..............
FY 2012 Redfish Exemption Final Rule .............
FY 2013 Sector Operations Interim Final Rule ..
May 2, 2012 .................
March 5, 2013 ..............
May 2, 2013 .................
NE Multispecies FR documents can be found at https://www.nero.noaa.gov/sfd/sfdmultifr.html.
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Citation
77 FR 26129.
78 FR 14226.
78 FR 25591.
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
tkelley on DSK3SPTVN1PROD with PROPOSALS
As of the end of FY 2012, 14 trips had
used the exemption allowing a 4.5-inch
(11.4-cm) mesh codend, and all trips
were monitored by either a federally
funded NEFOP observer or ASM. While
most trips were effectively able to target
redfish and minimize groundfish
discards, not all trips were able to meet
the target and bycatch thresholds. In
preparation for the FY 2013 rule, we
raised numerous concerns about the
impacts of implementing additional
monitoring requirements and using
federally funded monitoring for the
exemption. We found that allowing trips
that are randomly selected for federally
funded NEFOP or ASM coverage
provided an incentive to take an
exemption trip when selected for
coverage, thereby reducing the number
of observers/monitors available to cover
standard sector trips (i.e., trips not
utilizing this exemption). If fewer
observers/monitors deploy on standard
sector trips, then the exemption
undermines both the ability to meet
required coverage levels and the
reliability of discard rates calculated for
unobserved standard sector trips.
Therefore, beginning in FY 2013, we
required sectors using this exemption to
pay for 100 percent of the at-sea cost for
a monitor on all redfish exemption trips.
To date, sectors have not submitted an
ASM proposal to monitor trips using
this exemption in FY 2013 and,
therefore, no trips have used the
exemption in FY 2013.
For FY 2014, we are proposing an
exemption that would allow vessels to
use a 6-inch (15.2-cm) or larger mesh
codend to target redfish when fishing in
the Redfish Exemption Area (see below).
The vessels participating in the redfish
fishery would be subject to the same
NEFOP and ASM target coverage as
standard groundfish trips (i.e., less than
100 percent of trips would be
monitored). NMFS believes that the
standard target coverage is appropriate
for FY 2014 for the following reasons.
First, there are fewer concerns regarding
the retention of sub-legal groundfish
and non-allocated species when using a
6-inch (15.2-cm) or larger mesh codend,
versus when the exemption allowed the
use of 4.5-inch (11.4-cm) or larger
codend. Second, at the request of the
sectors, we would monitor the
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exemption for an entire trip, rather than
for part of a trip. That is, regardless of
how many 6-inch (15.2-cm) or 6.5-inch
(16.5-cm) mesh codend hauls are made
on a given trip, it would not change the
applicability of any restrictions
associated with the exemption (e.g.,
thresholds). This approach would allow
vessels to retain the flexibility to switch
codends during a redfish trip and allow
us to monitor the thresholds at the trip
level versus the haul level. Because a 6inch (15.2-cm) mesh and a 6.5-inch
(16.5-cm) mesh codend net fall under
the same ‘‘large’’ mesh category for both
stock assessments and the SBRM, there
is less concern for monitoring the
differences in selectivity and bycatch
patterns compared to trips that had
previously been allowed the use of a
4.5-inch (11.4-cm) mesh codend net,
which falls under a different category
for stock assessments and the SBRM.
For all trips, VTRs would be used to
identify whether or not the 6-inch (15.2cm) mesh codend net was actually used
on the trip. Lastly, both observed and
unobserved redfish trips would be
considered a separate strata from nonredfish trips. There are expected
behavioral and catch rate differences
given the thresholds that apply to the
exemption, and because of the
requirement to use the exemption in a
defined area.
Under this exemption, a vessel would
be required to declare its intent to use
6-inch (15.2-cm) mesh codend nets to
target redfish by submitting a Trip Start
Hail through its VMS unit prior to
departure. The hail would be used for
monitoring and enforcement purposes.
A vessel may fish using a 6-inch codend
(15.2-cm), or greater, on a standard trawl
within the GOM and GB BSAs,
exclusively in the Redfish Exemption
Area defined below. However,
consistend with current requirements,
each time the vessel switches codend
mesh size or statistical area, it must fill
out a new VTR. For all trips (by sector,
by month) declaring this exemption,
NMFS would continue to monitor
landings for the entire trip to determine
if 80 percent of the total groundfish
catch is redfish; and for observed trips
only, determine if total groundfish
discards, including redfish, is less than
5 percent of total catch. The NMFS
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14653
Greater Atlantic Regional Administrator
(RA) reserves the right to rescind the
approval of this exemption for the sector
in question if a sector does not meet
these thresholds. The thresholds are
based upon Component 2 of the
REDNET report (Kanwitt 2012) and
observer data for trips conducted in FY
2012. REDNET is a group that includes
the Maine Department of Marine
Resources, the Massachusetts Division
of Marine Fisheries, and the University
of Massachusetts School for Marine
Science and Technology joined with
other members of the scientific
community and the industry to develop
a research plan to develop a sustainable,
directed, redfish trawl fishery in the
GOM.
Vessels that have declared into this
exemption may also fish in the GB BSA
under the universal exemption that
allows the use of a 6-inch (15.2-cm)
mesh codend nets in the GB BSA while
using selective trawl gear (e.g., haddock
separator trawl, Ruhle trawl). These
would be areas on GB, south of the
Redfish Exemption Area. Vessels that
declare the redfish exemption may also
use codends with a 6.5-inch (16.5-cm)
mesh codend, or larger, in any open area
on the same trip. This is similar to the
flexibility given to vessels using a 6inch (15.2-cm) mesh codend in the GB
BSA while using selective trawl gear,
and then fishing in another BSA with a
6.5-inch (16.5-cm) mesh codend using a
standard trawl. Allowing vessels to fish
both inside and outside the Redfish
Exemption Area on the same trip
provides flexibility to target other
allocated stocks after successfully
targeting redfish; however, all catch
from each trip declaring this exemption
would be considered in evaluating
compliance with the thresholds.
Because this exemption is designed for
vessels to target redfish in the defined
area, but allows the flexibility of using
multiple mesh sizes and/or trawl types
in multiple areas, all on the same trip,
the NOAA Office of Law Enforcement
(OLE) has expressed some concern
about enforcing the exemption.
Therefore, we are specifically seeking
comment on this exemtpion, given the
enforcement concerns.
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Point
N. lat.
W. long.
Note
A ......
B ......
C ......
D ......
E ......
F ......
G ......
H ......
I ........
44°27.25′
44°16.25′
44°04.50′
43°52.25′
43°40.25′
43°28.25′
43°16.00′
42°00.00′
42°00.00′
67°02.75′
67°30.00′
68°00.00′
68°30.00′
69°00.00′
69°30.00′
70°00.00′
70°00.00′
(67°00.63′)
..........
..........
..........
..........
..........
..........
..........
..........
(1)
tkelley on DSK3SPTVN1PROD with PROPOSALS
(1) The intersection of 42°00′ N. latitude and
the U.S.-Canada Maritime Boundary, approximate longitude in parentheses.
The proposed FY 2014 Redfish
Exemption Area would have slight
modifications from previous years. In
the west, the boundary has shifted from
69°55′ W. long. to 70°00′ W. long. This
change incorporates the request to fish
in some areas of deeper water that were
previously not accessible on a redfish
trip. Vessels would continue to be
excluded from the Western GOM CA. In
the south, the boundary of 42°00′ N. lat.
would extend all the way to the Hague
Line, which also adds some areas with
deeper water that was previously not
accessible on a redfish trip. Vessels
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would still be required to comply with
the seasonal restrictions of accessing the
northern portions of CA II through the
Eastern U.S./Canada Haddock SAP.
Lastly, a northern boundary would be
added to mimic the 44460 Loran line,
which was a historic reference for
vessels wishing to fish in waters greater
than 50 fathoms (91.4 m). The new
northern boundary is being added to
address concerns from the NEFSC that
juvenile groundfish are primarily found
in shallower water (<50 fathoms (91.4
m)) in the northern GOM. Prohibiting
the use of small mesh in these shallower
area would afford protection for these
juvenile fish.
We specifically request comment on
reducing the monitoring on these trips
to the same level as standard sector trips
(i.e., less than 100 percent of trips), and
the degree to which industry would be
able to take advantage of this
exemption. We also request comment on
revoking this exemption during the FY,
if necessary to mitigate impacts. Lastly,
we request comment on the
enforceability of vessels using this
exemption when also fishing outside of
the redfish area on the same trip.
If the small-mesh redfish exemption is
approved, we intend to monitor the
exemption very carefully. For example,
should it be determined that vessels are
not using the exemption when assigned
an observer or ASM, and only using it
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when unobserved, we would have
concerns about monitoring the
exemption. Additionally, if vessels were
switching between 6-inch (15.2-cm) and
6.5-inch (16.5-cm) mesh codends, and
not sending the appropriate information
on their VTR(s), we would have
concerns. Given these concerns, we
remind sectors that the RA retains
authority to rescind approval of this
exemption, if it is needed.
Requested Exemptions We Propose To
Deny Because They Were Previously
Rejected and No New Information Was
Provided (2)
We propose to deny the following two
exemption requests because they were
previously rejected as proposed, and the
requesting sectors provided no new
information that would change our
previous decision: (21) GOM Sink
Gillnet Mesh Exemption in May, and
January through April; and (22) 6.5-inch
(16.51-cm) minimum mesh size
requirement for trawl nets to target
redfish in the GOM with codend mesh
size as small as 4.5-inch (11.4-cm) with
100 percent NMFS-funded observers or
ASMs. We did not analyze these
exemptions in the FY 2014 sector EA
because no new information was
available to change the analyses
previously published in past EAs.
The GOM Sink Gillnet Mesh
Exemption was proposed for FY 2013,
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The Redfish Exemption Area is
bounded on the east by the U.S.-Canada
Maritime Boundary, and bounded on
the north, west, and south by the
following coordinates, connected in the
order listed by straight lines:
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
tkelley on DSK3SPTVN1PROD with PROPOSALS
however, due to concerns regarding the
stock status of GOM haddock and the
potential increase in interactions with
protected species, the exemption was
denied for FY 2013 (78 FR 25591, May
2, 2013). The justifications for denying
this exemption request in FY 2013,
remain for FY 2014.
We received an exemption request for
redfish trips using a 4.5-inch (11.4-cm)
mesh size for FY 2013 and, at the time,
raised concern about providing NMFSfunded observers or ASMs for this
exemption in both the proposed rule (78
FR 16220, March 14, 2013) and the final
rule (78 FR 25591, May 2, 2013). In
summary, we found that allowing trips
that are randomly selected for federallyfunded NEFOP or ASM coverage
provided an incentive to take an
exemption trip when selected for
coverage, thereby reducing the number
of observers/monitors available to cover
standard sector trips (i.e., trips not
utilizing this exemption). Given these
concerns, we approved the exemption
for FY 2013, but required industryfunded monitoring for at-sea costs on
100 percent of the trips using the
exemption. We have required 100
percent industry-funded monitoring due
to concerns over a greater retention of
sub-legal groundfish, non-allocated
species bycatch, and because of the
additional requirements of monitoring
the exemption at the sub-trip level.
The redfish request to use a 4.5-inch
(11.4-cm) mesh codend nets for FY 2014
with a NMFS-funded observer or ASM
onboard, rather than with an industryfunded monitor, is identical to the
request for FY 2013. We continue to
have similar concerns about this
requested exemption as we did last year,
primarily because the request requires a
NMFS-funded observer or ASM.
Because of the reasons described above
for not approving access to this
exemption when using a federally
funded NEFOP or ASM, we are
proposing to deny this exemption
request.
A second redfish exemption request,
described above (exemption #20), is
proposed for approval.
Requested Exemptions We Propose To
Deny Because They Are Prohibited (6)
We propose denying the following six
exemption requests and do not analyze
them in the EA because they are
prohibited or not authorized by the NE
multispecies regulations. These include
exemptions from: (23) pre-trip
notification system (PTNS)
requirements, (24) ASM and observer
requirements for vessels using the
electronic monitoring (EM) program,
(25) prohibition on permit splitting, and
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(26) ASM requirements for handgear
vessels. In addition, sector have
requested that we: (27) Exclude 10-inch
(25.4-cm) mesh or greater gillnets from
the list of ‘‘gear capable of catching
groundfish/multispecies’’, and (28)
exempt 10-inch (25.4-cm) mesh or
greater gillnets from all groundfish
regulations.
PTNS is not a regulatory requirement;
rather, it is a means for selecting and
distributing observer and ASM coverage
in the fishery. PTNS is required for all
sector trips as part of the NMFS
monitoring program until a sector has
an approved ASM program that
includes a system for distributing
monitoring. Sectors are prohibited from
requesting exemptions from permitting
restrictions (i.e., including permit
splitting) and gear restrictions designed
to minimize habitat impacts. Because
sectors are also prohibited from
requesting exemptions from reporting
requirements (including ASM
requirements), we will not consider
requests for exemptions from ASM.
Moreover, we have not approved EM as
an acceptable monitoring tool for the NE
multispecies fishery at this time, so it
cannot replace observers or ASM. NMFS
and the Council are currently in the
final phase of studying the applicability
of EM.
Amendment 16 authorized NMFS to
grant sectors exemptions from specified
multispecies management measures.
Exemption requests #27 and #28, are an
attempt to exclude certain trips from all
groundfish management measures,
except ACLs. The sector requesting the
exemption submitted catch data to
support the exemption request.
However, the data submitted were only
from trips using gillnets with 10-inch
(25.4-cm) mesh or greater, that had low
groundfish catch, rather than all trips
using the gear, regardless of the amount
of groundfish caught. While groundfish
catch by this gear may be minimal
during certain times of the year, in
certain areas, or by certain vessels, the
catch data submitted are not
representative of all trips that use extralarge mesh gillnets. In fact, there are
data showing that some vessels use
extra-large mesh gillnets to target
groundfish in the GOM and GB in some
cases have caught significant amounts of
groundfish as bycatch when targeting
other fisheries. It would be more
appropriate to consider specific areas
and times where 10-inch (25.4-cm)
mesh or greater gillnets could be used
with minimal groundfish catch
independent of the sector exemption
request process; specifically, through an
exempted fishery request for targeting
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14655
non-groundfish species (i.e., monkfish,
skates).
NMFS may only grant sectors
exemptions from certain groundfish
regulations, and such exemptions apply
only to groundfish trips made by sector
vessels. An exemption from the
definition of gear capable of catching
groundfish is not possible because it
would effectively define the trip in
question as a non-groundfish trip,
which would make the trip ineligible for
sector exemptions. Further, we believe
Amendment 16 prohibits NMFS from
granting either an exemption from the
definition of gear capable of catching
groundfish, or from all groundfish
regulations, because it would be a de
facto exemption from reporting
requirements (e.g., PTNS call-in
requirements, ASM requirements, and
application of the discard calculation
methodology), which was expressly
prohibited by Amendment 16.
Additional Sector Provisions
Inshore GOM Restrictions
Several sectors (with the exception of
NEFS 4) have proposed a provision to
limit and more accurately document a
vessel’s behavior when fishing in what
they consider the inshore portion of the
GOM BSA, or the area to the west of 70°
15′ W. long. A vessel that is carrying an
observer or ASM would remain free to
fish without restriction. As proposed
under the Inshore GOM Restriction
provision, if a vessel is not carrying an
observer or ASM and fishes any part of
its trip in the GOM west of 70° 15′ W.
long, the vessel would be prohibited
from fishing outside of the GOM BSA.
Also, if a vessel is not carrying an
observer or ASM and fishes any part of
its trip outside the GOM BSA, this
provision would prohibit a vessel from
fishing west of 70° 15′ W. long. in the
GOM BSA. The sector’s proposal
includes a requirement for a vessel to
declare whether or not it intends to fish
in the inshore GOM area through the
trip start hail. We are providing sector
managers with the ability to monitor
this provision through the Sector
Information Management Module
(SIMM), a Web site where we currently
provide roster, trip, discard, and
observer information to sector managers.
If approved, final declaration
requirements would be outlined in the
final rule and included in each vessel’s
LOA. We propose to allow a sector to
use a federally funded NEFOP observer
or ASM on these trips because we do
not believe it will create bias in
coverage or discard estimates, as fishing
behavior is not expected to change as a
result of this provision.
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Prohibition on a Vessel Hauling Another
Vessel’s Trap Gear to Target Groundfish
prepared for the 19 sectors that this rule
proposes to approve.
The NCCS requested an exemption to
allow a vessel to haul another vessel’s
fish trap gear, similar to the current
exemptions that allow a vessel to haul
another vessels gillnet gear, or hook
gear. These exemptions have generally
been referred to as ‘‘community’’ gear
exemptions. Unlike hook and gillnet
gear, the NE multispecies FMP does not
prohibit a vessel from hauling another
vessel’s trap gear, therefore, we cannot
grant an exemption. Because of this, it
is more appropriate to consider
community fish trap gear as a
‘‘provision’’ of the sector operations
plan, rather than a requested exemption.
Regulations at § 648.84(a) require a
vessel to mark all bottom-tending fixed
gear, which would include fish trap gear
used to target groundfish. To facilitate
enforcement of that regulation, we
propose requiring that any community
fish trap gear be tagged by each vessel
that plans on hauling the gear. This
would allow one vessel to deploy the
trap gear and another vessel to haul the
trap gear, provided both vessels tag the
gear prior to deployment. This
requirement could be captured in the
sector’s operations plan to provide the
opportunity for the sector to monitor the
use of this provision and ensure that the
OLE and the U.S. Coast Guard can
enforce the provision.
Classification
The Administrative Procedure Act (5
U.S.C. 553) requires advance notice of
rulemaking and opportunity for public
comment. The Council required
additional time to determine stock
allocations for some stocks for FY 2014,
which delayed our ability to present this
to the public. We are therefore
providing a 15-day comment period for
this rule. A longer comment period
would be impracticable and contrary to
the public interest since we must
publish a final rule prior to the start of
FY 2014 on May 1, 2014, to enable
sectors to fish at the start of the FY. A
vessel enrolled in a sector may not fish
in FY 2014 unless its operations plan is
approved. If the final rule is not
published prior to May 1, the permits
enrolled in sectors must either stop
fishing until their operations plan is
approved or elect to fish in the common
pool for the entirety of FY 2014. Both
of these options would have very
negative impacts for the permits
enrolled in the sectors. Delaying the
implementation beyond May 1, 2014,
would result in an unnecessary
economic loss to the sector members
because vessels would be prevented
from fishing in a month when sector
vessels landed approximately 10
percent of several allocations, including
GB cod east and GB winter flounder.
Finally, without a seamless transition
between FY 2013 and 2014, a delay
would require sector vessels to remove
gear that complies with an exemption,
and redeploy the gear once the final rule
is effective. Talking these additional
trips would require additional fuel and
staffing when catch may not be landed.
Pursuant to section 304(b)(1)(A) of the
Magnuson-Stevens Fishery
Conservation and Management Act
(Magnuson-Stevens Act), the NMFS
Assistant Administrator has determined
that this proposed rule is consistent
with the NE Multispecies FMP, other
provisions of the Magnuson-Stevens
Act, and other applicable law, subject to
further consideration after public
comment.
This proposed action is exempt from
the procedures of Executive Order
12866 because this action contains no
implementing regulations.
The Chief Counsel for Regulation of
the Department of Commerce certified
to the Chief Counsel for Advocacy of the
Small Business Administration (SBA)
that this proposed rule, if adopted,
would not have a significant economic
impact on a substantial number of small
entities.
At-Sea Monitoring Proposals
Prior to the publication of this
proposed rule, we announced that we
would pay for ASM on sector trips
during FY 2014, in addition to trips
assigned a NEFOP observer. Therefore,
the sector’s ASM proposals for FY 2014
are no longer applicable, and will be
removed from the sector’s final
operations plans.
tkelley on DSK3SPTVN1PROD with PROPOSALS
Sector EA
In order to comply with NEPA, one
EA was prepared encompassing all 19
operations plans. The sector EA is tiered
from the Environmental Impact
Statement (EIS) prepared for
Amendment 16. The EA examines the
biological, economic, and social impacts
unique to each sector’s proposed
operations, including requested
exemptions, and provides a cumulative
effects analysis (CEA) that addresses the
combined impact of the direct and
indirect effects of approving all
proposed sector operations plans. The
summary findings of the EA conclude
that each sector would produce similar
effects that have non-significant
impacts. Visit https://
www.regulations.gov to view the EA
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As outlined in the preamble to this
proposed rule, the purpose of this action
is the implementation of FY 2014 sector
operations plans and associated
regulatory exemptions. In an effort to
rebuild the NE multispecies complex,
other actions have reduced the
allocations of several stocks managed by
the NE Multispecies FMP. This action is
needed to provide flexible fisheries
management that alleviates potential
social and economic hardships resulting
from those reductions. This action seeks
to fulfill the purpose and need while
meeting the biological objectives of the
NE Multispecies FMP, as well as the
goals and objectives set forth by the
Council in the NE Multispecies FMP.
The regulated entities most likely to
be affected by the proposed action are
the 130 groundfish-dependent
ownership entities that own permits
currently enrolled in sectors, all of
which are considered small under the
SBA’s definition of a small business.
Under the proposed rule, sector
operations plans for FY 2014 would be
approved, allowing sector participants
to use the universal sector exemptions
granted under Amendment 16 to the NE
Multispecies FMP. In addition to the
universal sector exemptions granted
under the approval of individual sector
operations plans, sector participants
have requested relaxation of 28 other
gear, area, administrative, and seasonal
restrictions. This rule proposes to grant
20 of these exemptions. Because all of
the regulated entities are considered
small businesses per the SBA
guidelines, the impacts of participating
in sectors and using the universal
exemptions and additional exemptions
requested by individual sectors are not
considered to be disproportional.
All of the requested sector-specific
exemptions in this proposed rule are
expected to have a positive economic
impact on participants, as they further
increase the flexibility of fishermen to
land their allocation at their discretion.
By choosing when and how to land their
allocations sector participants have the
potential to reduce marginal costs,
increase revenues, and ultimately
increase profitability. Again, it is
expected that fishermen will only use
sector-specific exemptions that they
believe will maximize utility, and that
long-term stock impacts from the
collective exemptions will be minimal
and will be outweighed by benefits from
operational flexibility.
This rule would not impose
significant negative economic impacts.
No small entities would be placed at a
competitive disadvantage to large
entities, and the regulations would not
reduce the profit for any small entities.
E:\FR\FM\17MRP1.SGM
17MRP1
Federal Register / Vol. 79, No. 51 / Monday, March 17, 2014 / Proposed Rules
As a result, an initial regulatory
flexibility analysis is not required and
none has been prepared.
Authority: 16 U.S.C. 1801 et seq.
14657
Dated: March 11, 2014.
Samuel D. Rauch III,
Deputy Assistant Administrator for
Regulatory Programs, National Marine
Fisheries Service.
[FR Doc. 2014–05762 Filed 3–14–14; 8:45 am]
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Agencies
[Federal Register Volume 79, Number 51 (Monday, March 17, 2014)]
[Proposed Rules]
[Pages 14639-14657]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-05762]
-----------------------------------------------------------------------
DEPARTMENT OF COMMERCE
National Oceanic and Atmospheric Administration
50 CFR Part 648
[Docket No. 131115971-4214-01]
RIN 0648-XC995
Magnuson-Stevens Act Provisions; Fisheries of the Northeastern
United States; Northeast Multispecies Fishery; 2014 Sector Operations
Plans and Contracts and Allocation of Northeast Multispecies Annual
Catch Entitlements
AGENCY: National Marine Fisheries Service (NMFS), National Oceanic and
Atmospheric Administration (NOAA), Commerce.
ACTION: Proposed rule; request for comments.
-----------------------------------------------------------------------
SUMMARY: We propose to approve 19 sector operations plans and contracts
for fishing year (FY) 2014, provide Northeast (NE) multispecies annual
catch entitlements (ACE) to these sectors, and grant regulatory
exemptions. We request comment on the proposed sector operations plans
and contracts; the environmental assessment (EA) analyzing the impacts
of the operations plans; and our proposal to grant 20 of the 28
regulatory exemptions requested by the sectors. Approval of sector
operations plans is necessary to allocate ACE to the sectors and for
the sectors to operate. The NE Multispecies Fishery Management Plan
(FMP) allows limited access permit holders to form sectors, and
requires sectors to submit their operations plans and contracts to us,
NMFS, for approval or disapproval. Approved sectors are exempt from
certain effort control regulations and receive allocation of NE
multispecies (groundfish) based on its members' fishing history.
This rule also announces the target at-sea monitoring (ASM)
coverage rate for sector trips for FY 2014.
DATES: Written comments must be received on or before April 1, 2014.
ADDRESSES: You may submit comments on this document, identified by
NOAA-NMFS-2014-0001, by any of the following methods:
Electronic Submission: Submit all electronic public
comments via the Federal e-Rulemaking Portal. Go to
www.regulations.gov/#!docketDetail;D=NOAA-NMFS-2014-0001, click the
``Comment Now!'' icon, complete the required fields, and enter or
attach your comments.
[[Page 14640]]
Mail: Submit written comments to Brett Alger, 55 Great
Republic Drive, Gloucester, MA 01930.
Fax: 978-281-9135; Attn: Brett Alger.
Instructions: Comments sent by any other method, to any other
address or individual, or received after the end of the comment period,
may not be considered by NMFS. All comments received are a part of the
public record and will generally be posted for public viewing on
www.regulations.gov without change. All personal identifying
information (e.g., name, address, etc.), confidential business
information, or otherwise sensitive information submitted voluntarily
by the sender will be publicly accessible. NMFS will accept anonymous
comments (enter ``N/A'' in the required fields if you wish to remain
anonymous). Attachments to electronic comments will be accepted in
Microsoft Word, Excel, or Adobe PDF file formats only.
FOR FURTHER INFORMATION CONTACT: Brett Alger, Fishery Management
Specialist, phone (978) 675-2153, fax (978) 281-9135. To review Federal
Register documents referenced in this rule, you can visit https://www.nero.noaa.gov/sfd/sfdmultifr.html.
SUPPLEMENTARY INFORMATION:
Background
Amendment 13 to the FMP (69 FR 22906, April 27, 2004) established a
process for forming sectors within the NE multispecies fishery,
implemented restrictions applicable to all sectors, and authorized
allocations of a total allowable catch (TAC) for specific NE
multispecies species to a sector. Amendment 16 to the FMP (74 FR 18262,
April 9, 2010) expanded sector management, revised the two existing
sectors to comply with the expanded sector rules (summarized below),
and authorized an additional 17 sectors. Framework Adjustment (FW) 45
to the FMP (76 FR 23042, April 25, 2011) further revised the rules for
sectors and authorized 5 new sectors (for a total of 24 sectors). FW 48
to the FMP (78 FR 26118) eliminated dockside monitoring requirements,
revised ASM requirements, removed the prohibition on requesting an
exemption to allow access in year-round groundfish closures, and
modified minimum fish sizes for NE multispecies stocks.
The FMP defines a sector as ``[a] group of persons (three or more
persons, none of whom have an ownership interest in the other two
persons in the sector) holding limited access vessel permits who have
voluntarily entered into a contract and agree to certain fishing
restrictions for a specified period of time, and which has been granted
a TAC(s) [sic] in order to achieve objectives consistent with
applicable FMP goals and objectives.'' Sectors are self-selecting,
meaning each sector can choose its members.
The NE multispecies sector management system allocates a portion of
the NE multispecies stocks to each sector. These annual sector
allocations are known as ACE. These allocations are a portion of a
stock's annual catch limit (ACL) available to commercial NE
multispecies vessels, based on the collective fishing history of a
sector's members. Currently, sectors may receive allocations of most
large-mesh NE multispecies stocks with the exception of Atlantic
halibut, windowpane flounder, Atlantic wolffish, and ocean pout. A
sector determines how to harvest its ACEs and may decide to consolidate
operations to fewer vessels.
Because sectors elect to receive an allocation under a quota-based
system, the FMP grants sector vessels several ``universal'' exemptions
from the FMP's effort controls. These universal exemptions apply to:
Trip limits on allocated stocks; the Georges Bank (GB) Seasonal Closure
Area; NE multispecies days-at-sea (DAS) restrictions; the requirement
to use a 6.5-inch (16.5-cm) mesh codend when fishing with selective
gear on GB; portions of the Gulf of Maine (GOM) Rolling Closure Areas;
and the ASM coverage rate for sector vessels fishing on a monkfish DAS
in the Southern New England (SNE) Broad Stock Area (BSA) with extra-
large mesh gillnets. The FMP prohibits sectors from requesting
exemptions from permitting restrictions, gear restrictions designed to
minimize habitat impacts, and reporting requirements.
We received operations plans and preliminary contracts for FY 2014
from 19 sectors. The operations plans are similar to previously
approved versions, but include additional exemption requests and
proposals for industry-funded ASM plans. Five sectors did not submit
operations plans or contracts. Four of these sectors now operate as
state-operated permit banks as described below.
We have made a preliminary determination that the proposed 19
sector operations plans and contracts, and 20 of the 28 regulatory
exemptions, are consistent with the FMP's goals and objectives, and
meet sector requirements outlined in the regulations at Sec. 648.87.
We summarize many of the sector requirements in this proposed rule and
request comments on the proposed operations plans, the accompanying EA,
and our proposal to grant 20 of the 28 regulatory exemptions requested
by the sectors, but deny the rest. Copies of the operations plans and
contracts, and the EA, are available at https://www.regulations.gov and
from NMFS (see ADDRESSES). Two of the 19 sectors, Northeast Fishery
Sector IV and Sustainable Harvest Sector 3, propose to operate as
private lease-only sectors. Sustainable Harvest Sector 3 has not
explicitly prohibited fishing activity and may transfer permits to
active vessels.
The five sectors that chose not to submit operations plans and
contracts for FY 2014 are the Tri-State Sector, and four state-operated
permit bank sectors as follows: The State of Maine Permit Bank Sector,
the State of New Hampshire Permit Bank Sector, the Commonwealth of
Massachusetts Permit Bank Sector, and the State of Rhode Island Permit
Bank Sector. Amendment 17 to the FMP allows a state-operated permit
bank to receive an allocation without needing to comply with the
administrative and procedural requirements for sectors (77 FR 16942,
March 23, 2012). These permit banks are required to submit a list of
participating permits to us by a date specified in the permit bank's
Memorandum of Agreement, typically April 1.
Sector Allocations
Sectors typically submit membership information to us on December 1
prior to the start of the FY, which begins each year on May 1. Due to
uncertainty regarding ACLs for several stocks in FY 2014 and a
corresponding delay in distributing a letter describing each vessel's
potential contribution to a sector's quota for FY 2013, we extended the
deadline to join a sector until March 6, 2014. Based on sector
enrollment trends from the past 4 FYs, we expect sector participation
in FY 2014 will be similar. Thus, we are using FY 2013 rosters as a
proxy for FY 2014 sector membership and calculating the FY 2014
projected allocations in this proposed rule. In addition to the
membership delay, all permits that change ownership after December 1,
2013, retain the ability to join a sector through April 30, 2014. All
permits enrolled in a sector, and the vessels associated with those
permits, have until April 30, 2014, to withdraw from a sector and fish
in the common pool for FY 2014. We will publish final sector ACEs and
common pool sub-ACL totals, based upon final rosters, as soon as
possible after the start of FY 2014.
We calculate the sector's allocation for each stock by summing its
members' potential sector contributions (PSC) for a stock, as shown in
Table 1. The
[[Page 14641]]
information presented in Table 1 is the total percentage of each
commercial sub-ACL each sector would receive for FY 2014, based on
their FY 2013 rosters. Tables 2 and 3 show the allocations each sector
would be allocated for FY 2014, based on their FY 2013 rosters. At the
start of the FY after sector enrollment is finalized, we provide the
final allocations, to the nearest pound, to the individual sectors, and
we use those final allocations to monitor sector catch. While the
common pool does not receive a specific allocation, the common pool
sub-ACLs have been included in each of these tables for comparison.
We do not assign an individual permit separate PSCs for the Eastern
GB cod or Eastern GB haddock; instead, we assign a permit a PSC for the
GB cod stock and GB haddock stock. Each sector's GB cod and GB haddock
allocations are then divided into an Eastern ACE and a Western ACE,
based on each sector's percentage of the GB cod and GB haddock ACLs.
For example, if a sector is allocated 4 percent of the GB cod ACL and 6
percent of the GB haddock ACL, the sector is allocated 4 percent of the
commercial Eastern U.S./Canada Area GB cod TAC and 6 percent of the
commercial Eastern U.S./Canada Area GB haddock TAC as its Eastern GB
cod and haddock ACEs. These amounts are then subtracted from the
sector's overall GB cod and haddock allocations to determine its
Western GB cod and haddock ACEs. A sector may only harvest its Eastern
GB cod and Eastern GB haddock ACEs in the Eastern U.S./Canada Area.
At the start of FY 2014, we will withhold 20 percent of each
sector's FY 2014 allocation until we finalize FY 2013 catch
information. Further, we will allow sectors to transfer ACE for the
first 2 weeks of the FY to reduce or eliminate any overages. If
necessary, we will reduce any sector's FY 2014 allocation to account
for a remaining overage in FY 2013. We will notify the New England
Fishery Management Council (Council) and sector managers of this
deadline in writing and will announce this decision on our Web site at
https://www.nero.noaa.gov/.
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Sector Operations Plans and Contracts
We received 19 sector operations plans and contracts by the
September 3, 2013, deadline. Seventeen sectors operated in FY 2013, and
two additional sectors, Northeast Fishery Sector I and the GB Cod Hook
Sector, that did not operate last year, have submitted plans for FY
2014. In order to approve a sector's operations plan for FY 2014, that
sector must have been compliant with reporting requirements from all
previous years, including the year-end reporting requirements found at
Sec. 648.87(vi)(C). Submitted operations plans, provided on our Web
site as a single document for each sector, not only contain the rules
under which each sector would fish, but also provide the legal contract
that binds each member to the sector for the length of the sector's
operations plan, which currently is a single FY. Each sector's
operations plan, and sector members, must comply with the regulations
governing sectors, found at Sec. 648.87. In addition, each sector must
conduct fishing activities as detailed in its approved operations plan.
Any permit holder with a limited access NE multispecies permit that
was valid as of May 1, 2008, is eligible to participate in a sector,
including an inactive permit currently held in confirmation of permit
history. If a permit holder officially enrolls a permit in a sector and
the FY begins, then that permit must remain in the sector for the
entire FY, and cannot fish in the NE multispecies fishery outside of
the sector (i.e., in the common pool) during the FY. Participating
vessels are required to comply with all pertinent Federal fishing
regulations, except as specifically exempted in the letter of
authorization (LOA) issued by the Regional Administrator, which details
any approved exemptions from regulations. If, during a FY, a sector
requests an exemption that we have already approved, or proposes a
change to administrative provisions, we may amend the sector operations
plans. Should any amendments require modifications to LOAs, we would
include these changes in updated LOAs and provide these to the
appropriate sector members.
Each sector is required to ensure that it does not exceed its ACE
during the FY. Sector vessels are required to retain all legal-sized
allocated NE multispecies stocks, unless a sector is granted an
exemption allowing its member vessels to discard legal-sized
unmarketable fish at sea. Catch (defined as landings and discards) of
all allocated NE multispecies stocks by a sector's vessels count
against the sector's allocation. Catch from a sector trip (e.g., not
fishing under provisions of a NE multispecies exempted fishery or with
exempted gear) targeting dogfish, monkfish, skate, and lobster (with
non-trap gear) would be deducted from the sector's ACE because these
trips use gear capable of catching groundfish. Catch from a trip in an
exempted fishery does not count against a sector's allocation because
the catch is assigned to a separate ACL sub-component.
For FYs 2010 and 2011, there was no requirement for an industry-
funded ASM program and NMFS was able to fund an ASM program with a
target ASM coverage rate of 30 percent of all trips. In addition, we
provided 8-percent observer coverage through the Northeast Fishery
Observer Program (NEFOP), which helps to support the Standardized
Bycatch Reporting Methodology (SBRM) and stock assessments. This
resulted in an overall target coverage rate of 38 percent, between ASM
and NEFOP, for FYs 2010 and 2011. For FY 2012, we conducted an analysis
to determine the total coverage that would be necessary to achieve the
same level of precision as attained by the 38-percent total coverage
target used for FY's 2010 and 2011, and ultimately set a target
coverage rate of 25 percent for FY 2012, which was 17 percent ASM, and
8 percent NEFOP. For FY 2013, we conducted the same analysis, and set a
target coverage rate of 22 percent for FY 2013, which was 14 percent
ASM, and 8 percent NEFOP. Since the beginning of FY 2012, industry was
required to pay for ASM coverage, while we continued to fund NEFOP.
However, we were able to fund both ASM and NEFOP in FY 2012 and 2013.
As announced on February 21, 2014, NMFS will cover the ASM costs for
groundfish sectors to meet the requirements under the NE Multispecies
FMP in FY 2014, as well.
Amendment 16 regulations require NMFS to specify a level of ASM
coverage that is sufficient to at least meet the same coefficient of
variation (CV) specified in the SBRM and also to accurately monitor
sector operations. FW 48 clarified what level of ASM coverage was
expected to meet these goals. Regarding meeting the SBRM CV level, FW
48 determined that it should be made at the overall stock level, which
is consistent with the level NMFS determined was necessary in FY 2013.
FW 48 also amended the goals of the sector monitoring program to
include achieving an accuracy level sufficient to minimize effects of
potential monitoring bias.
Taking the provisions of FW 48 into account, and interpreting the
ASM monitoring provision in the context of Magnuson-Stevens Act
requirements and National Standards, we have determined that the
appropriate level of ASM coverage should be set at the level that meets
the CV requirement specified in the SBRM and minimizes the cost burden
to sectors and NMFS to the extent practicable, while still providing a
reliable estimate of overall catch by sectors needed for monitoring
ACEs and ACLs. Based on this standard, NMFS has determined that the
appropriate target coverage rate for FY 2014 is 26 percent. Using both
NEFOP and ASM, we expect to cover 26 percent of all sector trips, with
the exception of trips using a few specific exemptions, as described
later in this rule. Discards derived from these observed and monitored
trips will be used to calculate discards for unobserved sector trips.
We have published a more detailed summary of the supporting
information, explanation and justification for this decision at: https://www.nero.noaa.gov/ro/fso/reports/Sectors/ASM/FY2014_Multispecies_Sector_ASM_Requirements_Summary.pdf.
This summary, in addition to providing sectors and the public with
a full and transparent explanation of the appropriate level of ASM
coverage of sector operations, complies with a settlement agreement
entered into by NMFS and Oceana, Inc. The settlement agreement resolved
a lawsuit brought by Oceana challenging the approval of the 2012 sector
operations plans primarily on grounds that the agency failed to
adequately justify and explain that the ASM coverage rate specified for
FY 2012 would accurately monitor the catch to effectively enforce catch
limits in the groundfish fishery.
The draft operations plans submitted in September 2013 included
industry-funded ASM plans for FY 2014. However, because NMFS will be
funding and operating ASM for sectors in FY 2014, we are not proposing
to approve these ASM plans and would remove them from the final sector
operations plans.
Sectors are required to monitor their allocations and catch, and
submit weekly catch reports to us. If a sector reaches an ACE threshold
(specified in the operations plan), the sector must provide sector
allocation usage reports on a daily basis. Once a sector's allocation
for a particular stock is caught, that sector is required to cease all
fishing operations in that stock area until it acquires more ACE,
unless that sector has an approved plan to fish without ACE for that
stock. ACE may be
[[Page 14646]]
transferred between sectors, but transfers to or from common pool
vessels is prohibited. Within 60 days of when we complete year-end
catch accounting, each sector is required to submit an annual report
detailing the sector's catch (landings and discards), enforcement
actions, and pertinent information necessary to evaluate the
biological, economic, and social impacts of each sector.
Each sector contract provides procedures to enforce the sector
operations plan, explains sector monitoring and reporting requirements,
presents a schedule of penalties for sector plan violations, and
provides sector managers with the authority to issue stop fishing
orders to sector members who violate provisions of the operations plan
and contract. A sector and sector members can be held jointly and
severally liable for ACE overages, discarding legal-sized fish, and/or
misreporting catch (landings or discards). Each sector operations plan
submitted for FY 2014 states that the sector would withhold an initial
reserve from the sector's ACE sub-allocation to each individual member
to prevent the sector from exceeding its ACE. Each sector contract
details the method for initial ACE sub-allocation to sector members.
For FY 2014, each sector has proposed that each sector member could
harvest an amount of fish equal to the amount each individual member's
permit contributed to the sector.
Requested FY 2014 Exemptions
Sectors requested 28 exemptions from the NE multispecies
regulations through their FY 2014 operations plans. We evaluate each
exemption to determine whether it allows for effective administration
of and compliance with the operations plan and sector allocation, and
that it is consistent with the goals and objectives of the FMP. Twenty
of the 28 requests are grouped into several categories in this rule, as
follows: Sixteen exemptions that were previously approved and are
proposed for approval for FY 2014; one exemption previously approved
for which we have concern; one exemption that was previously denied,
but we are reconsidering based on a modified request for FY 2014;
exemption requests related to accessing year-round groundfish mortality
closures; and a new exemption request we propose to approve for FY
2014. The remaining eight exemption requests, each of which are
proposed for denial, are grouped into two categories: Two requested
exemptions that we propose to deny because they were previously
rejected and no new information was provided; and six requested
exemptions that we propose to deny because they are prohibited.
A discussion of all 28 exemption requests appears below; we request
public comment on the proposed sector operations plans and our proposal
to grant 20 requested exemptions and deny 8 requested exemptions, as
well as the EA prepared for this action.
Exemptions We Propose To Approve (16)
In FY 2013, we exempted sectors from the following requirements,
all of which have been requested for FY 2014: (1) 120-day block out of
the fishery required for Day gillnet vessels, (2) 20-day spawning block
out of the fishery required for all vessels, (3) prohibition on a
vessel hauling another vessel's gillnet gear, (4) limits on the number
of gillnets that may be hauled on GB when fishing under a NE
multispecies/monkfish DAS, (5) limits on the number of hooks that may
be fished, (6) DAS Leasing Program length and horsepower restrictions,
(7) prohibition on discarding, (8) daily catch reporting by sector
managers for sector vessels participating in the Closed Area (CA) I
Hook Gear Haddock Special Access Program (SAP), (9) powering vessel
monitoring systems (VMS) while at the dock, (10) prohibition on fishing
inside and outside of the CA I Hook Gear Haddock SAP while on the same
trip, (11) prohibition on a vessel hauling another vessel's hook gear,
(12) the requirement to declare intent to fish in the Eastern U.S./
Canada SAP and the CA II Yellowtail Flounder/Haddock SAP prior to
leaving the dock, (13) gear requirements in the Eastern U.S./Canada
Management Area, (14) seasonal restrictions for the Eastern U.S./Canada
Haddock SAP, (15) seasonal restrictions for the CA II Yellowtail
Flounder/Haddock SAP, and (16) sampling exemption. A detailed
description of the previously approved exemptions and rationale for
their approval can be found in the applicable final rules identified in
Table 4 below:
Table 4--Exemptions From Previous FYs Proposed for Approval in FY 2014
----------------------------------------------------------------------------------------------------------------
Exemptions Rulemaking Date Citation
----------------------------------------------------------------------------------------------------------------
1-9, 13...................... FY 2011--Sector Operations April 25, 2011......... 76 FR 23076.
Final Rule.
10-12........................ FY 2012--Sector Operations May 2, 2012............ 77 FR 26129.
Final Rule.
14-16........................ FY 2013--Sector Operations May 2, 2013............ 78 FR 25591.
Interim Final Rule.
----------------------------------------------------------------------------------------------------------------
NE Multispecies FR documents can be found at https://www.nero.noaa.gov/sfd/sfdmultifr.html.
Exemption of Concern That We Previously Approved (1)
(17) Limits on the Number of Gillnets on Day Gillnet Vessels
The FMP limits the number of gillnets a Day gillnet vessel may fish
in the groundfish regulated mesh areas (RMA) to prevent an uncontrolled
increase in the number of nets being fished, thus undermining
applicable DAS effort controls. The limits are specific to the type of
gillnet within each RMA: 100 gillnets (of which no more than 50 can be
roundfish gillnets) in the GOM RMA (Sec. 648.80(a)(3)(iv)); 50
gillnets in the GB RMA (Sec. 648.80(a)(4)(iv)); and 75 gillnets in the
Mid-Atlantic (MA) RMA (Sec. 648.80(b)(2)(iv)). We previously approved
this exemption in FYs 2010, 2011, and 2012 to allow sector vessels to
fish up to 150 nets (any combination of flatfish or roundfish nets) in
any RMA to provide greater operational flexibility to sector vessels in
deploying gillnet gear. Sectors argued that the gillnet limits were
designed to control fishing effort and are no longer necessary because
a sector's ACE limits overall fishing mortality.
Previous effort analysis of all sector vessels using gillnet gear
indicated an increase in gear used in the RMA with no corresponding
increase in catch efficiency, which could lead to an increase in
interactions with protected species. While a sector's ACE is designed
to limit a stock's fishing mortality, fishing effort may affect other
species. This increased effort could ultimately lead to a rise in
interactions with protected species.
For FY 2013, we received several comments in support of the
continued approval of the exemption without any restrictions, noting
negative financial impacts if the exemption were not approved and that
efforts were made to
[[Page 14647]]
increase pinger compliance to mitigate concerns for harbor porpoise. We
recognize that pinger compliance is generally increasing in recent
years; however, the increase is not seen across all sectors, nor across
all gillnet vessels outside of the groundfish fishery. Correspondingly,
while recent indications reflect a decrease in harbor porpoise takes,
takes have not decreased to a suitable level. We also heard from
several commenters who raised concerns for cod, impacts to non-target
species, and the risk for lost gear. Based on the comments received and
the concern for protected species and spawning cod, we restricted the
use of this exemption to seasons with minimal cod spawning in the GOM,
i.e., late spring. Therefore, a vessel fishing in the GOM RMA was able
to use this exemption seasonally, but was restricted to the 100-net
gillnet limit in blocks 124 and 125 in May, and in blocks 132 and 133
in June. A vessel fishing in GB RMA, SNE RMA, MA RMA, and the GOM
outside of these times and areas did not have this additional
restriction. We are proposing this exemption with the same GOM seasonal
restrictions that we approved in FY 2013, and we request comment on
approving this exemption again for FY 2014.
Previously Disapproved Exemption Under Consideration for Approval (1)
(18) Prohibition on Combining Small Mesh Exempted Fishery and Sector
Trips
We received an exemption request in FY 2013 to allow sector vessels
to fish in small-mesh exempted fisheries (e.g., whiting, squid) and in
the large-mesh groundfish fishery on the same trip. A full description
of the request and relevant regulations is in the FY 2013 Sector
Proposed Rule (78 FR 16220, see page 16230, March 14, 2013). In the
proposed rule, we raised several concerns about the exemption,
including the ability to monitor these trips, the impacts that the
exemption could have on juvenile fish, and the enforceability of using
multiple mesh sizes on the same trip (i.e., participating in multiple
directed fisheries on a single trip). We received comments in support
and against the exemption request. Ultimately, it was disapproved in
the FY 2013 Sector Interim Final Rule (78 FR 25591, May 2, 2013) for
many of the concerns stated above.
For FY 2014, sectors have requested a similar exemption that would
allow vessels to possess and use small-mesh and large-mesh trawl gear
on a single trip, within portions of the SNE RMA. To address some of
the concerns from FY 2013, sectors proposed that vessels using this
exemption to fish with smaller mesh would fish in two discrete areas
that have been shown to have minimal amounts of regulated species and
ocean pout. The coordinates and maps for these two areas are show
below:
[GRAPHIC] [TIFF OMITTED] TP17MR14.010
Sector Small-Mesh Fishery Exemption Area 1 is bounded by the
following coordinates connected in the order listed by straight lines,
except where otherwise noted:
------------------------------------------------------------------------
Point N. latitude W. longitude Note
------------------------------------------------------------------------
A........................... 40[deg]39.2' 73[deg]07.0' ......
B........................... 40[deg]34.0' 73[deg]07.0' ......
C........................... 41[deg]03.5' 71[deg]34.0' ......
D........................... 41[deg]23.0' 71[deg]11.5' ......
E........................... 41[deg]27.6' 71[deg]11.5' (\1\)
F........................... 41[deg]18.3' 71[deg]51.5' ......
G........................... 41[deg]04.3' 71[deg]51.5' (\2\)
A........................... 40[deg]39.2' 73[deg]07.0' ......
------------------------------------------------------------------------
(\1\) From POINT E to POINT F along the southernmost coastline of Rhode
Island and crossing all bays and inlets following the COLREGS
Demarcation Lines defined in 33 CFR part 80.
(\2\) From POINT G back to POINT A along the southernmost coastline of
Long Island, NY and crossing all bays and inlets following the COLREGS
Demarcation Lines defined in 33 CFR part 80.
Sector Small-Mesh Fishery Exemption Area 2 is bound by the
following coordinates connected in the order listed by straight lines:
[[Page 14648]]
------------------------------------------------------------------------
Point N. latitude W. longitude
------------------------------------------------------------------------
H........................... 41[deg]00.0' N 71[deg]20.0' W.
I........................... 41[deg]00.0' N 70[deg]00.0' W.
J........................... 40[deg]27.0' N 70[deg]00.0' W.
K........................... 40[deg]27.0' N 71[deg]20.0' W.
H........................... 41[deg]00.0' N 71[deg]20.0' W.
------------------------------------------------------------------------
Second, sectors proposed that one of the following trawl gear
modifications would be required for use when using small mesh: Drop
chain sweep with a minimum of 12 inches (30.48 cm) in length; a large
mesh belly panel with a minimum of 32-inch (81.28-cm) mesh size; or an
excluder grate secured forward of the codend with an outlet hole
forward of the grate with bar spacing of no more than 1.97 inches (5.00
cm) wide. These gear modifications, when fished properly, have been
shown to reduce the catch of legal and sub-legal groundfish stocks.
Requiring these modifications is intended to also reduce the incentive
for a sector vessel to target groundfish with small mesh.
Sectors have requested subjecting a vessel using this exemption to
the same NEFOP and ASM coverage as standard groundfish trips (i.e., a
total of 26 percent in FY 2014). The vessel would be required to
declare their intent to use small mesh to target non-regulated species
by submitting a Trip Start Hail through its VMS unit prior to
departure; this would be used for monitoring and enforcement purposes.
Trips declaring this exemption must stow their small-mesh gear and use
their large-mesh gear first, and once finished with the large mesh,
would have to submit a Multispecies Catch Report via VMS with all catch
on board at that time. Once the Catch Report was sent, the vessel could
then deploy small mesh with the required modifications in the specific
areas (see map above), outside of the Nantucket Lightship CA, at which
point, the large mesh could not be redeployed. Any legal-sized
allocated groundfish stocks caught during these small-mesh hauls must
be landed and the associated landed weight (dealer or vessel trip
report (VTR)) would be deducted from the sector's ACE.
Vessels using this exemption would have their trips assessed using
a new discard strata (i.e., area fished and gear type) and would be
treated separately from sector trips that do not declare this
exemption. After 1 year, an analysis would be conducted to determine
whether large-mesh hauls on these trips should remain as a separate
stratum or be part of an existing stratum. Vessels using this exemption
would be required to retain all legal-sized groundfish when using small
mesh, and all groundfish catch would be counted against a sector's ACE.
Recognizing that this year's modified request addressed some of our
past concerns, we worked with the sectors to better understand the new
request and their attempt to develop additional solutions to the issues
we raised in the past. However, we remain concerned about the
exemption, as proposed, regarding impacts on the resource, as well as
monitoring and enforcing the exemption.
First, we are concerned about vessels potentially catching
groundfish in these requested exemption areas with small-mesh nets.
While the requested exemption areas do appear to have minimal amounts
of groundfish, they are not completely void of these stocks. In fact,
beginning in FY 2014, accountability measures (AMs) for the groundfish
fishery will be implemented adjacent to the requested exemption areas
to address high discards of windowpane flounder. This exemption
provides an opportunity for vessels to target or incidentally catch
allocated NE multispecies in these requested exemption areas while
fishing with small-mesh nets.
We are also concerned about the possible increase in bycatch of
juvenile fish. There is a change in selectivity from a 6.5-inch (16.5-
cm) codend to a 2.5-inch (6.35-cm) codend, and a vessel using a small-
mesh net may increase the catch of juvenile groundfish. The increased
amount of bycatch may not affect an individual sector because the
sector may have adequate ACE to cover the discards. However, because
discards in the commercial groundfish fishery are calculated and
monitored by weight, and not by number of fish, the smaller-mesh net
could result in more fish by number that are discarded when fishing
with the much smaller codend. An increased discard of juvenile fish may
adversely affect groundfish stocks.
The three gear modifications proposed for this exemption could
mitigate catch of regulated species when properly installed. All three
modifications have been demonstrated to reduce the catch of regulated
species, but none have been shown to completely eliminate it. While the
modifications have the potential to harvest regulated species, such as
cod, especially if the gears are not fished properly, the excluder
grate modification may reduce catch of larger groundfish, but may still
capture juveniles, even when fished properly.
Second, there are several concerns with monitoring this exemption.
Small-mesh exempted fishery trips outside of this proposed exemption
are only subject to the NEFOP monitoring requirements and do not
receive ASM coverage. As a result, the vast majority of NEFOP observers
and ASMs do not receive the training necessary for observing small-mesh
fisheries. Because of this lack of training, we are concerned about
accurately observing both the large-mesh and small-mesh portions of
these proposed trips. Additionally, while this exemption is proposed to
have a target coverage of 26 percent (NEFOP and ASM combined), this
exemption would be treated separately from standard sector trips to
accurately monitor species caught and discarded by area and gear type.
As such, we are concerned about the effects of this exemption on the
administration of our monitoring programs. For example, having to
process data from these unique trips and distribute ASMs across more
trips, could cause inefficiencies and affect our abilities to meet the
target coverage of 26 percent that is required for overall sector
monitoring. This specific concern is not unique to this exemption, and
is raised again later in this rule for other exemptions.
Another monitoring concern is our ability to monitor fish caught in
non-groundfish fisheries and whether the proposed changes in our
accounting for this catch in these fisheries is required. Vessels
fishing with small-mesh nets outside of the groundfish fishery, such as
squid vessels, are required to discard all groundfish, legal and sub-
legal. Because of this incidental groundfish catch in non-groundfish
fisheries, a portion of the ACL of most groundfish stocks is reserved
under the ``other sub-component'' category to account for the bycatch.
This portion of the ACL is not an allocation in the other sub-component
category, and there are currently no AMs for the non-groundfish
fisheries in this sub-component category. Instead, if groundfish
bycatch in the other sub-component category contributes to an overage
of the groundfish ACL, the commercial groundfish fishery is held
accountable for 100 percent of the overage. We monitor the amount of
groundfish bycatch caught in non-groundfish fisheries through annual
catch estimates, and the Council uses this information to determine if
the amount of bycatch warrants allocating a sub-ACL and corresponding
AMs to a specific non-groundfish fishery.
Allowing vessels using this exemption to discard legal-sized
groundfish would significantly compromise both the ability to ensure
that vessels are not retaining legal-sized groundfish from the small-
mesh portion
[[Page 14649]]
of the trip, and prevent vessels from discarding groundfish caught from
the large-mesh portion of the trip, while squid fishing. To address
these enforcement concerns, this proposal requires vessels to land all
legal-sized groundfish, bycatch that would normally count against the
other sub-component would now count against the groundfish sub-ACL.
This change in practice and accounting could hinder our ability to
monitor the level of groundfish bycatch in non-groundfish fisheries,
particularly the small-mesh fisheries. The frequency that this
exemption is used, the magnitude of groundfish bycatch on these trips,
and whether the bycatch includes a large portion of the non-allocated
stocks (e.g., windowpane flounder) could adversely affect our ability
to determine whether bycatch is increasing or poses any management
concerns. This would also then potentially adversely affect the
Council's determination of whether the amount of bycatch warrants
allocating a sub-ACL and corresponding AMs to a non-groundfish fishery.
Lastly, there are enforcement concerns about the landings and
discards of groundfish while the vessel uses small mesh on a sector
trip under this exemption. At present, vessels are primarily bound by
one minimum mesh size throughout their trip to target a single fishery,
e.g., vessels use a 6.5-inch (16.5-cm) mesh codend to target groundfish
on a sector trip. In order to use multiple mesh sizes on a trip to
target other fisheries, vessels must declare out of the groundfish
fishery, and for example, use a 5.5-inch (13.97-cm) mesh codend to
target fluke, or a 2.5-inch (6.35-cm) mesh codend to target squid.
Under the proposed exemption, a vessel would participate in multiple
targeted fisheries, using multiple mesh sizes on the same fishing trip,
which creates additional complexity of being able to associate the
catch on board the vessel with the correct mesh size that was used.
After a vessel has retained groundfish on board caught using large
mesh, the vessel could use small mesh to target groundfish prior to
entering one of the exemption areas, which would be illegal and
difficult to detect. Under a typical small-mesh trip, a vessel is not
allowed to be in possession of any regulated species at any time.
If approved, we will closely monitor the catch from these exempted
trips. If it is determined that this exemption is having a negative
impact on groundfish stocks, we would retain the authority to revoke
this exemption during the FY.
Exemption Requests Related to Accessing Groundfish Closed Areas (1)
(19) Prohibition on Groundfish Trips in Year-Round Closed Areas
In FY 2013, we disapproved an exemption that would have allowed
sector vessels restricted access to portions of CAs I and II, provided
each trip carried an industry-funded ASM. For a detailed description of
the exemption request and justifications for disapproval, see the final
rule (78 FR 41772, December 16, 2013). When we proposed allowing sector
access to these areas, we announced that we did not have funding to pay
for monitoring the additional trips for exemptions requiring a 100-
percent coverage level. Industry members indicated that it was too
expensive to participate in the exemption, given the requirement to pay
for a monitor on every trip. This, in combination with extensive
comment opposing access to these areas to protect depleted stocks and
our concern about the impacts on depleted stocks such as GB cod and GB
yellowtail flounder, resulted in disapproval.
In FY 2014, we remain unable to fund monitoring costs for
exemptions requiring a 100-percent coverage level. In addition, we have
some concerns about funding and administering the shore-side portion of
any monitoring program for an exemption that requires additional ASM,
such as the exemption to access CAs I and II. For example, an increase
in monitored trips would result in an increased need for data
processing for those trips, which could cause delays that adversely
affect our existing programs. Also, distributing ASMs across CA trips
or other exemption's trips could affect our ability to meet the target
coverage of 26 percent required for overall sector monitoring because
an exemption requiring additional coverage places additional strain on
the existing pool of ASM. If we are unable to fund the shore-side
portion of an industry-funded ASM program, or if we determine that
there are significant effects on data or ASM availability, approval of
this exemption would be in jeopardy.
As discussed in the FY 2013 interim final rule allowing access to
the Nantucket Lightship CA for sectors rule (78 FR 41772, December 16,
2013), we are interested in conducting research through an exempted
fishing permit(s) (EFP) to gather catch data from CAs I and II. Results
from any EFPs conducted in these areas could better inform the
industry, the public, and NMFS, regarding the economic efficacy of
accessing these CAs, while providing information specific to bycatch of
depleted stocks.
The Greater Atlantic Regional Fisheries Office and the Northeast
Fisheries Science Center (NEFSC) are currently working to develop ideas
for a short-term EFP that would allow a small number of groundfish
trips into CAs I and II. These trips would attempt to address the
following questions: (1) Could enough fish be caught to adequately
offset the industry's additional expense of having an ASM on board, and
(2) could catch of groundfish stocks of concern be addressed?
Industry has claimed that requiring 100-percent industry-funded ASM
coverage when fishing in a CA makes the exemption economically
unfeasible. Because there have been no commercial groundfish trips in
these areas for close to two decades, industry is hesitant to make
these initial assessment trips at their expense. Allowing a small
number of trips into CAs I and II through an EFP could provide enough
catch data to help the fishing industry determine whether trips into
the area with an industry-funded monitor could be profitable. These
``test'' trips would provide recent and reliable catch information from
CAs I and II, including catch rates of both abundant and depleted
stocks. This information could help industry determine whether the cost
of an ASM could be offset by increased landings of a stock with
relatively high abundance (e.g., GB haddock), while avoiding stocks
that are limiting to them. Although there have been studies in the past
that examine catch rates of selective trawl gear, these studies have
not been conducted inside the CAs being proposed for access.
While we continue to consider ways to develop an EFP proposal that
is focused on access into CAs I and II, industry is also free to
develop an EFP proposal to address any number of questions associated
with fishing in a CA as well. EFP requests would be expeditiously
reviewed and authorized, when merited. Permits would not be approved if
the exempted activities could undermine measures that were established
to conserve and manage fisheries or reduce interactions with protected
species. Contingent on the results of any EFPs associated with this
exemption that we have available during FY 2014, assuming that we could
fund and administer the shore-side portion of a monitoring program, and
there is sufficient ASM available, we are proposing to allow sectors
access to CAs I and II in precisely the same manner that was proposed
for FY 2013 (see 78 FR 41772, July 11, 2013). Given the
[[Page 14650]]
extra time it would take to implement an EFP and consider the results,
the decision to approve an exemption allowing access to CA I and II
would be done in a separate rulemaking sometime during FY 2014. This
would be separate from a final rule addressing all other sector
exemption requests in this proposed rule, including the request to
access the Nantucket Lightship CA. A brief summary of the proposed
action and rationale for granting sector exemptions allowing access to
CAs I and II, and the Nantucket Lightship CA is below.
[GRAPHIC] [TIFF OMITTED] TP17MR14.011
Closed Area I Exemption Area
The waters in a portion of CA I, defined by straight lines
connecting the following points in the order stated here:
------------------------------------------------------------------------
Point N. lat. W. long.
------------------------------------------------------------------------
A........................... 41[deg]04' 69[deg]01'
B........................... 41[deg]26' 68[deg]30'
C........................... 40[deg]58' 68[deg]30'
D........................... 40[deg]55' 68[deg]53'
A........................... 41[deg]04' 69[deg]01'
------------------------------------------------------------------------
Closed Area II Exemption Area
The waters in a portion of CA II, defined by straight lines
connecting the following points in the order stated stated here:
------------------------------------------------------------------------
Point N. lat. W. long. Note
------------------------------------------------------------------------
A........................... 41[deg]30' (66[deg]34.8') (\1\)
B........................... 41[deg]30' 67[deg]20' ......
C........................... 41[deg]50' 67[deg]20' ......
D........................... 41[deg]50' 67[deg]10' ......
E........................... 42[deg]00' 67[deg]10' ......
F........................... 42[deg]00' (67[deg]00.63') (\2\),
(\3\)
A........................... 41[deg]30' (66[deg]34.8') (\1\)
------------------------------------------------------------------------
\1\ The intersection of 41[deg]30' N. latitude and the U.S.-Canada
Maritime Boundary, approximate longitude in parentheses.
\2\ The intersection of 42[deg]00' N. latitude and the U.S.-Canada
Maritime Boundary, approximate longitude in parentheses.
\3\ From POINT F back to POINT A along the U.S.-Canada Maritime
Boundary.
Nantucket Lightship Closed Area--Western Exemption Area
The waters in the western portion of the Nantucket Lightship CA,
defined by straight lines connecting the following points in the order
stated here:
------------------------------------------------------------------------
Point N. lat. W. long.
------------------------------------------------------------------------
A........................... 40[deg]50' 70[deg]20'
B........................... 40[deg]50' 70[deg]00'
C........................... 40[deg]20' 70[deg]00'
D........................... 40[deg]20' 70[deg]20'
A........................... 40[deg]50' 70[deg]20'
------------------------------------------------------------------------
Nantucket Lightship Closed Area--Eastern Exemption Area
The waters in the eastern portion of the Nantucket Lightship CA,
defined by straight lines connecting the following points in the order
stated here:
------------------------------------------------------------------------
Point N. lat. W. long.
------------------------------------------------------------------------
A........................... 40[deg]50' 69[deg]30'
B........................... 40[deg]50' 69[deg]00'
C........................... 40[deg]20' 69[deg]00'
D........................... 40[deg]20' 69[deg]30'
A........................... 40[deg]50' 69[deg]30'
------------------------------------------------------------------------
1. Closed Area I Exemption Area
If this proposed exemption is approved without any changes in
response to any EFP results during FY 2014, the central portion of CA I
would be opened seasonally to selective gear from the date the final
rule approving this exemption is published, through December 31, 2014.
Trawl vessels would be restricted to selective trawl gear, including
the separator trawl, the Ruhle trawl, the mini-Ruhle trawl, rope trawl,
and any other gear authorized by the Council in a management action.
[[Page 14651]]
Hook gear would be permitted in this area, as well. Because GB cod is
overfished and subject to overfishing, and gillnets cannot selectively
capture haddock without catching cod, vessels would be prohibited from
fishing with gillnets in this area. Flounder nets would be prohibited
in this area to help protect GB yellowtail flounder, which is also
overfished and subject to overfishing.
Allowing vessels into the CA I Exemption Area would increase their
opportunities to target healthy stocks of GB haddock. Although the
Council specified in FW 48 that vessels could fish in the area until
February 15, we are proposing to prohibit vessels from fishing in the
CA I Exemption Area after December 31 due to impacts on GB cod
spawning. Since the closure of this area in 1994, GB haddock has
rebounded and is a healthy stock. On the other hand, GB cod and GB
yellowtail flounder are overfished and subject to overfishing. This
proposed action would allow fishing for GB haddock and other healthy
stocks, while selective gear would help minimize catch of GB cod and GB
yellowtail flounder.
Since this area was initially closed, an area within the proposed
CA I Exemption Area has been open to allow a special access program for
groundfish hook vessels fishing for haddock. In addition, a portion of
CA I proposed to be reopened in this rule has been a part of the
Scallop Access Area Rotational Management Program since 2004. As a
result, the seabed in this area has been disturbed by scallop dredges
and is therefore not a preserved habitat area. Furthermore, analyses
for the Habitat Omnibus Amendment did not identify this area as
vulnerable to trawl gear and this area is not identified for any
proposed essential fish habitat (EFH) protections. There are minimal
concerns regarding impacts to protected species in this area. While
there were initial concerns about effort shifts from lobster gear in
the area, an analysis of lobster effort in the area indicates that
there is very little lobster effort in the proposed CA I Exemption
Area. Because of this, it is not anticipated that lobster gear
displaced from this area would result in increased interactions with
protected species. More information on lobster effort in the proposed
areas is available in the accompanying EA.
2. Closed Area II Exemption Area
If this proposed exemption is approved without any changes in
response to any EFP results during FY 2014, the central portion of CA
II would be opened seasonally to selective gear from the date of the
final rule approving this exemption is published, through December 31,
2014. The gear restrictions in CA II are the same as those proposed for
CA I--selective trawl and hook gear only. Vessels fishing with
selective trawl and hook gear would be permitted in this area when
specified (see below). Vessels would be prohibited from fishing with
gillnets and flounder nets in this exemption area. As noted above, GB
haddock has fully recovered, is rebuilt, and is consistently under-
harvested. Selective gear is proposed to minimize the catch of GB cod
and yellowtail flounder, both of which are considered overfished and
subject to overfishing.
The offshore lobster industry and sector trawl vessels proposed a
rotational gear-use agreement for the CA II Exemption Area and the FY
2013 proposed sector rule included this proposed agreement (a copy of
the agreement is included as an appendix in the EA). The restrictions
proposed in the rotational gear use agreement have been adopted by the
Atlantic States Marine Fisheries Commission, which modified the
Interstate Fisheries Management Plan for American Lobster through
Addendum XX to the lobster plan. This FY 2014 proposed rule
incorporates most portions of that agreement; a more detailed
explanation is below.
The proposed seasons and gear requirements incorporate the
rotational gear-use agreement and mitigate fishing effort on yellowtail
flounder and spawning cod:
May 1-June 15: Only sector trawl vessels could access the
area; lobster and hook gear vessels prohibited.
June 16-October 31: Sector trawl vessels would be
prohibited, lobster and sector hook gear vessels only.
November 1-December 31: Only sector trawl vessels could
access the area; lobster and hook gear vessels prohibited.
January 1-April 30: Lobster vessels permitted; sector
groundfish vessels would be prohibited in CA II during this time.
The gears and seasons listed above match the agreement between the
offshore lobster industry and sector trawl vessels, including the
groundfish prohibition of fishing in CA II after December 31. A January
1 through April 30 closure reflects the need to avoid impacts on
spawning stocks of GB cod. Because approval of this exemption would
only be considered after the outcome of an EFP, any action approving
access to the CA II Exemption Area would likely occur part-way through
FY 2014, rendering some of the agreement moot.
The agreement between the offshore lobster industry and sector
vessels reduces concerns of gear conflicts in the area. Analyses for
the EA indicate that only a small portion of the annual lobster catch
from this portion of CA II is harvested during November. No trips were
reported in the proposed area during December 2011 or 2012. As a
result, the displacement of lobster effort into other areas is expected
to be minimal. Because of this, it is not anticipated that lobster gear
displaced from this area would result in increased interactions with
protected species in other locations.
Similar to CA I, allowing vessels into this area would increase
their opportunities to target healthy stocks of GB haddock, and
selective gear would be required to reduce bycatch of overfished
stocks. Although the Council specified in FW 48 that vessels could fish
in the CA II Exemption Area until February 15, we are proposing to
prohibit vessels from this area after December 31 due to impacts on GB
cod spawning. While this area has been closed year-round to groundfish
fishing since 1994, the majority of the seabed in this area is sand and
is impacted by strong currents. As a result, this area is not
considered to be vulnerable to trawl gear. Some areas are shallow
enough that the bottom is affected by wave action; therefore, bottom
trawling in this area would likely have minimal impact on benthic
habitats. Furthermore, analyses for the Habitat Omnibus Amendment have
not identified this area for any proposed EFH protections. There are
minimal concerns regarding impacts to protected species in this area.
100% Industry-Funded At-Sea Monitoring Requirement When Accessing
Closed Areas I and II
Should access to CAs I and/or II be approved after analysis of the
results of an EFP, NMFS intends to maintain the 100-percent industry-
funded monitoring requirement for these trips. The intent of the EFP
would be to provide industry with enough information to determine
whether it would be economically viable to go into these areas with an
industry-funded monitor. While a short-term EFP would provide us with
some data on catch rates and the use of selective gear, the short
duration of the EFP would not provide us with different seasonal
information to warrant less than 100-percent ASM coverage. As we stated
in the FY 2013 sector final rule, monitoring every trip would allow us
to respond more quickly, should there be an unanticipated impact in
these areas, such as increased harvests of juveniles, large adult
spawners, or impacts on
[[Page 14652]]
protected species. As mentioned earlier, we are particularly concerned
about impacts to the severely overfished stocks of GB cod and
yellowtail flounder. Because CAs I and II were initially developed to
afford protection for overfished groundfish stocks and we have no catch
data for these areas, we believe that it is critical that we receive
reliable catch information from these areas.
3. Nantucket Lightship CA Exemption
In FY 2013, we approved an exemption that allowed sector vessels
access to the Eastern and Western Exemption Areas within the Nantucket
Lightship CA for the duration of FY 2013. For a detailed description of
the exemption request and justifications for approving it, see the
final rule (78 FR 41772, December 16, 2013). In summary, trawl vessels
were restricted to using selective trawl gear, flounder nets were
prohibited, hook vessels were permitted, and gillnet vessels were
restricted to fishing 10-inch (25.4-cm) or larger diamond mesh. Gillnet
vessels were required to use pingers when fishing in the Western
Exemption Area from December 1--May 31 because this area lies within
the existing SNE Management Area of the Harbor Porpoise Take Reduction
Plan. Unlike the CA I and II proposal, we specified that at-sea
observer coverage would come from the combined NEFOP and ASM target
coverage level of 22 percent in FY 2013 for the Nantucket Lightship CA
after further review and in response to public comments. Consistent
with that requirement, we now propose that this exemption be continued
for FY 2014, with observed trips included in the overall target sector
coverage level of 26 percent for NEFOP and ASM combined.
For FY 2014, we are proposing access to the Eastern and Western
Exemption Areas within the Nantucket Lightship CA, with a slight
modification from what was approved in FY 2013. To address comments
from trawl fishermen that the FY 2013 gear restrictions prevented them
from fishing in this area as intended, we reviewed our decision and
found that a ``source population'' of SNE/MA yellowtail flounder that
we previously expressed concern about is found primarily in the Eastern
Area of the Nantucket Lightship CA. The data suggest that yellowtail
flounder are not concentrated nearly as much in the Western Exemption
Area. Based on this, we are proposing to allow all legal trawl gear to
be fished in the Western Exemption Area, while still maintaining the
selective trawl gear requirements and prohibition on flounder nets in
the Eastern Exemption Area.
If approved, this measure would allow sector vessels to access the
eastern and western portions of the Nantucket Lightship CA. The central
area is EFH and is not proposed to be re-opened. Trawl vessels would be
restricted to the use of selective trawl gear in the Eastern Exemption
Area, including the separator trawl, the Ruhle trawl, the mini-Ruhle
trawl, rope trawl, and any other gear authorized by the Council in a
management action. Flounder nets would be prohibited. However, in the
Western Exemption Area, all legal trawl gear would be permitted. In
both areas, gillnet vessels would be restricted to fishing 10-inch
(25.4-cm) diamond mesh or larger. This would allow gillnet vessels to
target monkfish and skates while reducing catch of flatfish. Because
the western area lies within the SNE Management Area of the Harbor
Porpoise Take Reduction Plan, gillnet vessels would be required to use
pingers when fishing in the Nantucket Lightship CA--Western Exemption
Area between December 1 and May 31.
Opening the eastern and western portions of the Nantucket Lightship
CA to trawl gear is not expected to have any significant adverse
habitat impacts. While this area has been closed year-round to
groundfish fishing since 1994, the eastern portion proposed to be
reopened in this rule has been a part of the Scallop Access Area
Rotational Management Program since 2004--so it has been subject to
fishing by mobile bottom-tending gear. The western portion is referred
to as the ``mudhole'' with a benthic habitat not vulnerable to bottom
trawling. Therefore, bottom impacts from opening this area are
anticipated to be minimal. Furthermore, analyses for the Habitat
Omnibus Amendment have not identified this area for any proposed EFH
protections. There are minimal concerns regarding impacts to protected
species in this area.
New Exemption Proposed (1)
(20) 6-inch (15.2-cm) Mesh Size of Greater for Directed Redfish Trips
Minimum mesh size restrictions (Sec. 648.80(a)(3)(i), (a)(4)(i),
(b)(2)(i), and (c)(2)(i)) were implemented under previous groundfish
actions to reduce overall mortality on groundfish stocks, change the
selection pattern of the fishery to target larger fish, improve
survival of sublegal fish, and allow sublegal fish more opportunity to
spawn before entering the fishery. Beginning in FY 2012, sectors were
allowed to use a 6-inch (15.2-cm) mesh codend to target redfish in the
Gulf of Maine. Subsequently, based on catch information from ongoing
redfish research showing areas with large amounts of redfish, at the
end of FY 2012 and into FY 2013 sectors were allowed to use a 4.5-inch
(11.4-cm) mesh codend to target redfish. To date, the exemption has
required 100-percent monitoring with either an ASM or observer onboard
every trip, primarily because of concerns over a greater retention of
sub-legal groundfish, as well as non-allocated species and bycatch.
Once sectors were allowed the use of a 4.5-inch (11.4-cm) mesh codend
under the redfish exemption, all trips were monitored for target and
bytcatch thresholds to ensure compliance with the intent of the
exemption, which is to target redfish. Additionally, the thresholds
were monitored at the sub-trip level, whereby hauls using mesh 4.5
inches (11.4 cm) and greater were monitored separately from hauls not
using the exemption (i.e., hauls using mesh 6.5 inches (16.5 cm) and
greater). While this provided additional flexibility to switch codends
during the trip and, therefore, allowed vessels to switch between using
and not using the exemption on a given trip, it added an additional
layer of monitoring for these trips. Having monitors on every redfish
exemption trip has allowed NMFS to observe changes in catch rates of
target and non-target species when using different codend mesh sizes,
helping to ensure that we can monitor the use of the exemption (i.e.,
accurately monitor catch thresholds), when requested to do so, on a
haul-by-haul level.
Table 5--Redfish Exemptions From Previous FYs
----------------------------------------------------------------------------------------------------------------
Exemptions Rulemaking Date Citation
----------------------------------------------------------------------------------------------------------------
6.0 inch with 100% NMFS-funded FY 2012 Sector Operations May 2, 2012.......... 77 FR 26129.
coverage. Final Rule.
4.5 inch with 100% NMFS-funded FY 2012 Redfish Exemption March 5, 2013........ 78 FR 14226.
coverage. Final Rule.
4.5 inch with 100% Industry-funded FY 2013 Sector Operations May 2, 2013.......... 78 FR 25591.
coverage. Interim Final Rule.
----------------------------------------------------------------------------------------------------------------
NE Multispecies FR documents can be found at https://www.nero.noaa.gov/sfd/sfdmultifr.html.
[[Page 14653]]
As of the end of FY 2012, 14 trips had used the exemption allowing
a 4.5-inch (11.4-cm) mesh codend, and all trips were monitored by
either a federally funded NEFOP observer or ASM. While most trips were
effectively able to target redfish and minimize groundfish discards,
not all trips were able to meet the target and bycatch thresholds. In
preparation for the FY 2013 rule, we raised numerous concerns about the
impacts of implementing additional monitoring requirements and using
federally funded monitoring for the exemption. We found that allowing
trips that are randomly selected for federally funded NEFOP or ASM
coverage provided an incentive to take an exemption trip when selected
for coverage, thereby reducing the number of observers/monitors
available to cover standard sector trips (i.e., trips not utilizing
this exemption). If fewer observers/monitors deploy on standard sector
trips, then the exemption undermines both the ability to meet required
coverage levels and the reliability of discard rates calculated for
unobserved standard sector trips. Therefore, beginning in FY 2013, we
required sectors using this exemption to pay for 100 percent of the at-
sea cost for a monitor on all redfish exemption trips. To date, sectors
have not submitted an ASM proposal to monitor trips using this
exemption in FY 2013 and, therefore, no trips have used the exemption
in FY 2013.
For FY 2014, we are proposing an exemption that would allow vessels
to use a 6-inch (15.2-cm) or larger mesh codend to target redfish when
fishing in the Redfish Exemption Area (see below). The vessels
participating in the redfish fishery would be subject to the same NEFOP
and ASM target coverage as standard groundfish trips (i.e., less than
100 percent of trips would be monitored). NMFS believes that the
standard target coverage is appropriate for FY 2014 for the following
reasons. First, there are fewer concerns regarding the retention of
sub-legal groundfish and non-allocated species when using a 6-inch
(15.2-cm) or larger mesh codend, versus when the exemption allowed the
use of 4.5-inch (11.4-cm) or larger codend. Second, at the request of
the sectors, we would monitor the exemption for an entire trip, rather
than for part of a trip. That is, regardless of how many 6-inch (15.2-
cm) or 6.5-inch (16.5-cm) mesh codend hauls are made on a given trip,
it would not change the applicability of any restrictions associated
with the exemption (e.g., thresholds). This approach would allow
vessels to retain the flexibility to switch codends during a redfish
trip and allow us to monitor the thresholds at the trip level versus
the haul level. Because a 6-inch (15.2-cm) mesh and a 6.5-inch (16.5-
cm) mesh codend net fall under the same ``large'' mesh category for
both stock assessments and the SBRM, there is less concern for
monitoring the differences in selectivity and bycatch patterns compared
to trips that had previously been allowed the use of a 4.5-inch (11.4-
cm) mesh codend net, which falls under a different category for stock
assessments and the SBRM. For all trips, VTRs would be used to identify
whether or not the 6-inch (15.2-cm) mesh codend net was actually used
on the trip. Lastly, both observed and unobserved redfish trips would
be considered a separate strata from non-redfish trips. There are
expected behavioral and catch rate differences given the thresholds
that apply to the exemption, and because of the requirement to use the
exemption in a defined area.
Under this exemption, a vessel would be required to declare its
intent to use 6-inch (15.2-cm) mesh codend nets to target redfish by
submitting a Trip Start Hail through its VMS unit prior to departure.
The hail would be used for monitoring and enforcement purposes. A
vessel may fish using a 6-inch codend (15.2-cm), or greater, on a
standard trawl within the GOM and GB BSAs, exclusively in the Redfish
Exemption Area defined below. However, consistend with current
requirements, each time the vessel switches codend mesh size or
statistical area, it must fill out a new VTR. For all trips (by sector,
by month) declaring this exemption, NMFS would continue to monitor
landings for the entire trip to determine if 80 percent of the total
groundfish catch is redfish; and for observed trips only, determine if
total groundfish discards, including redfish, is less than 5 percent of
total catch. The NMFS Greater Atlantic Regional Administrator (RA)
reserves the right to rescind the approval of this exemption for the
sector in question if a sector does not meet these thresholds. The
thresholds are based upon Component 2 of the REDNET report (Kanwitt
2012) and observer data for trips conducted in FY 2012. REDNET is a
group that includes the Maine Department of Marine Resources, the
Massachusetts Division of Marine Fisheries, and the University of
Massachusetts School for Marine Science and Technology joined with
other members of the scientific community and the industry to develop a
research plan to develop a sustainable, directed, redfish trawl fishery
in the GOM.
Vessels that have declared into this exemption may also fish in the
GB BSA under the universal exemption that allows the use of a 6-inch
(15.2-cm) mesh codend nets in the GB BSA while using selective trawl
gear (e.g., haddock separator trawl, Ruhle trawl). These would be areas
on GB, south of the Redfish Exemption Area. Vessels that declare the
redfish exemption may also use codends with a 6.5-inch (16.5-cm) mesh
codend, or larger, in any open area on the same trip. This is similar
to the flexibility given to vessels using a 6-inch (15.2-cm) mesh
codend in the GB BSA while using selective trawl gear, and then fishing
in another BSA with a 6.5-inch (16.5-cm) mesh codend using a standard
trawl. Allowing vessels to fish both inside and outside the Redfish
Exemption Area on the same trip provides flexibility to target other
allocated stocks after successfully targeting redfish; however, all
catch from each trip declaring this exemption would be considered in
evaluating compliance with the thresholds. Because this exemption is
designed for vessels to target redfish in the defined area, but allows
the flexibility of using multiple mesh sizes and/or trawl types in
multiple areas, all on the same trip, the NOAA Office of Law
Enforcement (OLE) has expressed some concern about enforcing the
exemption. Therefore, we are specifically seeking comment on this
exemtpion, given the enforcement concerns.
[[Page 14654]]
[GRAPHIC] [TIFF OMITTED] TP17MR14.012
The Redfish Exemption Area is bounded on the east by the U.S.-
Canada Maritime Boundary, and bounded on the north, west, and south by
the following coordinates, connected in the order listed by straight
lines:
------------------------------------------------------------------------
Point N. lat. W. long. Note
------------------------------------------------------------------------
A........................... 44[deg]27.25' 67[deg]02.75' ......
B........................... 44[deg]16.25' 67[deg]30.00' ......
C........................... 44[deg]04.50' 68[deg]00.00' ......
D........................... 43[deg]52.25' 68[deg]30.00' ......
E........................... 43[deg]40.25' 69[deg]00.00' ......
F........................... 43[deg]28.25' 69[deg]30.00' ......
G........................... 43[deg]16.00' 70[deg]00.00' ......
H........................... 42[deg]00.00' 70[deg]00.00' ......
I........................... 42[deg]00.00' (67[deg]00.63') (\1\)
------------------------------------------------------------------------
(\1\) The intersection of 42[deg]00' N. latitude and the U.S.-Canada
Maritime Boundary, approximate longitude in parentheses.
The proposed FY 2014 Redfish Exemption Area would have slight
modifications from previous years. In the west, the boundary has
shifted from 69[deg]55' W. long. to 70[deg]00' W. long. This change
incorporates the request to fish in some areas of deeper water that
were previously not accessible on a redfish trip. Vessels would
continue to be excluded from the Western GOM CA. In the south, the
boundary of 42[deg]00' N. lat. would extend all the way to the Hague
Line, which also adds some areas with deeper water that was previously
not accessible on a redfish trip. Vessels would still be required to
comply with the seasonal restrictions of accessing the northern
portions of CA II through the Eastern U.S./Canada Haddock SAP. Lastly,
a northern boundary would be added to mimic the 44460 Loran line, which
was a historic reference for vessels wishing to fish in waters greater
than 50 fathoms (91.4 m). The new northern boundary is being added to
address concerns from the NEFSC that juvenile groundfish are primarily
found in shallower water (<50 fathoms (91.4 m)) in the northern GOM.
Prohibiting the use of small mesh in these shallower area would afford
protection for these juvenile fish.
We specifically request comment on reducing the monitoring on these
trips to the same level as standard sector trips (i.e., less than 100
percent of trips), and the degree to which industry would be able to
take advantage of this exemption. We also request comment on revoking
this exemption during the FY, if necessary to mitigate impacts. Lastly,
we request comment on the enforceability of vessels using this
exemption when also fishing outside of the redfish area on the same
trip.
If the small-mesh redfish exemption is approved, we intend to
monitor the exemption very carefully. For example, should it be
determined that vessels are not using the exemption when assigned an
observer or ASM, and only using it when unobserved, we would have
concerns about monitoring the exemption. Additionally, if vessels were
switching between 6-inch (15.2-cm) and 6.5-inch (16.5-cm) mesh codends,
and not sending the appropriate information on their VTR(s), we would
have concerns. Given these concerns, we remind sectors that the RA
retains authority to rescind approval of this exemption, if it is
needed.
Requested Exemptions We Propose To Deny Because They Were Previously
Rejected and No New Information Was Provided (2)
We propose to deny the following two exemption requests because
they were previously rejected as proposed, and the requesting sectors
provided no new information that would change our previous decision:
(21) GOM Sink Gillnet Mesh Exemption in May, and January through April;
and (22) 6.5-inch (16.51-cm) minimum mesh size requirement for trawl
nets to target redfish in the GOM with codend mesh size as small as
4.5-inch (11.4-cm) with 100 percent NMFS-funded observers or ASMs. We
did not analyze these exemptions in the FY 2014 sector EA because no
new information was available to change the analyses previously
published in past EAs.
The GOM Sink Gillnet Mesh Exemption was proposed for FY 2013,
[[Page 14655]]
however, due to concerns regarding the stock status of GOM haddock and
the potential increase in interactions with protected species, the
exemption was denied for FY 2013 (78 FR 25591, May 2, 2013). The
justifications for denying this exemption request in FY 2013, remain
for FY 2014.
We received an exemption request for redfish trips using a 4.5-inch
(11.4-cm) mesh size for FY 2013 and, at the time, raised concern about
providing NMFS-funded observers or ASMs for this exemption in both the
proposed rule (78 FR 16220, March 14, 2013) and the final rule (78 FR
25591, May 2, 2013). In summary, we found that allowing trips that are
randomly selected for federally-funded NEFOP or ASM coverage provided
an incentive to take an exemption trip when selected for coverage,
thereby reducing the number of observers/monitors available to cover
standard sector trips (i.e., trips not utilizing this exemption). Given
these concerns, we approved the exemption for FY 2013, but required
industry-funded monitoring for at-sea costs on 100 percent of the trips
using the exemption. We have required 100 percent industry-funded
monitoring due to concerns over a greater retention of sub-legal
groundfish, non-allocated species bycatch, and because of the
additional requirements of monitoring the exemption at the sub-trip
level.
The redfish request to use a 4.5-inch (11.4-cm) mesh codend nets
for FY 2014 with a NMFS-funded observer or ASM onboard, rather than
with an industry-funded monitor, is identical to the request for FY
2013. We continue to have similar concerns about this requested
exemption as we did last year, primarily because the request requires a
NMFS-funded observer or ASM. Because of the reasons described above for
not approving access to this exemption when using a federally funded
NEFOP or ASM, we are proposing to deny this exemption request.
A second redfish exemption request, described above (exemption
20), is proposed for approval.
Requested Exemptions We Propose To Deny Because They Are Prohibited (6)
We propose denying the following six exemption requests and do not
analyze them in the EA because they are prohibited or not authorized by
the NE multispecies regulations. These include exemptions from: (23)
pre-trip notification system (PTNS) requirements, (24) ASM and observer
requirements for vessels using the electronic monitoring (EM) program,
(25) prohibition on permit splitting, and (26) ASM requirements for
handgear vessels. In addition, sector have requested that we: (27)
Exclude 10-inch (25.4-cm) mesh or greater gillnets from the list of
``gear capable of catching groundfish/multispecies'', and (28) exempt
10-inch (25.4-cm) mesh or greater gillnets from all groundfish
regulations.
PTNS is not a regulatory requirement; rather, it is a means for
selecting and distributing observer and ASM coverage in the fishery.
PTNS is required for all sector trips as part of the NMFS monitoring
program until a sector has an approved ASM program that includes a
system for distributing monitoring. Sectors are prohibited from
requesting exemptions from permitting restrictions (i.e., including
permit splitting) and gear restrictions designed to minimize habitat
impacts. Because sectors are also prohibited from requesting exemptions
from reporting requirements (including ASM requirements), we will not
consider requests for exemptions from ASM. Moreover, we have not
approved EM as an acceptable monitoring tool for the NE multispecies
fishery at this time, so it cannot replace observers or ASM. NMFS and
the Council are currently in the final phase of studying the
applicability of EM.
Amendment 16 authorized NMFS to grant sectors exemptions from
specified multispecies management measures. Exemption requests
27 and 28, are an attempt to exclude certain trips
from all groundfish management measures, except ACLs. The sector
requesting the exemption submitted catch data to support the exemption
request. However, the data submitted were only from trips using
gillnets with 10-inch (25.4-cm) mesh or greater, that had low
groundfish catch, rather than all trips using the gear, regardless of
the amount of groundfish caught. While groundfish catch by this gear
may be minimal during certain times of the year, in certain areas, or
by certain vessels, the catch data submitted are not representative of
all trips that use extra-large mesh gillnets. In fact, there are data
showing that some vessels use extra-large mesh gillnets to target
groundfish in the GOM and GB in some cases have caught significant
amounts of groundfish as bycatch when targeting other fisheries. It
would be more appropriate to consider specific areas and times where
10-inch (25.4-cm) mesh or greater gillnets could be used with minimal
groundfish catch independent of the sector exemption request process;
specifically, through an exempted fishery request for targeting non-
groundfish species (i.e., monkfish, skates).
NMFS may only grant sectors exemptions from certain groundfish
regulations, and such exemptions apply only to groundfish trips made by
sector vessels. An exemption from the definition of gear capable of
catching groundfish is not possible because it would effectively define
the trip in question as a non-groundfish trip, which would make the
trip ineligible for sector exemptions. Further, we believe Amendment 16
prohibits NMFS from granting either an exemption from the definition of
gear capable of catching groundfish, or from all groundfish
regulations, because it would be a de facto exemption from reporting
requirements (e.g., PTNS call-in requirements, ASM requirements, and
application of the discard calculation methodology), which was
expressly prohibited by Amendment 16.
Additional Sector Provisions
Inshore GOM Restrictions
Several sectors (with the exception of NEFS 4) have proposed a
provision to limit and more accurately document a vessel's behavior
when fishing in what they consider the inshore portion of the GOM BSA,
or the area to the west of 70[deg] 15' W. long. A vessel that is
carrying an observer or ASM would remain free to fish without
restriction. As proposed under the Inshore GOM Restriction provision,
if a vessel is not carrying an observer or ASM and fishes any part of
its trip in the GOM west of 70[deg] 15' W. long, the vessel would be
prohibited from fishing outside of the GOM BSA. Also, if a vessel is
not carrying an observer or ASM and fishes any part of its trip outside
the GOM BSA, this provision would prohibit a vessel from fishing west
of 70[deg] 15' W. long. in the GOM BSA. The sector's proposal includes
a requirement for a vessel to declare whether or not it intends to fish
in the inshore GOM area through the trip start hail. We are providing
sector managers with the ability to monitor this provision through the
Sector Information Management Module (SIMM), a Web site where we
currently provide roster, trip, discard, and observer information to
sector managers. If approved, final declaration requirements would be
outlined in the final rule and included in each vessel's LOA. We
propose to allow a sector to use a federally funded NEFOP observer or
ASM on these trips because we do not believe it will create bias in
coverage or discard estimates, as fishing behavior is not expected to
change as a result of this provision.
[[Page 14656]]
Prohibition on a Vessel Hauling Another Vessel's Trap Gear to Target
Groundfish
The NCCS requested an exemption to allow a vessel to haul another
vessel's fish trap gear, similar to the current exemptions that allow a
vessel to haul another vessels gillnet gear, or hook gear. These
exemptions have generally been referred to as ``community'' gear
exemptions. Unlike hook and gillnet gear, the NE multispecies FMP does
not prohibit a vessel from hauling another vessel's trap gear,
therefore, we cannot grant an exemption. Because of this, it is more
appropriate to consider community fish trap gear as a ``provision'' of
the sector operations plan, rather than a requested exemption.
Regulations at Sec. 648.84(a) require a vessel to mark all bottom-
tending fixed gear, which would include fish trap gear used to target
groundfish. To facilitate enforcement of that regulation, we propose
requiring that any community fish trap gear be tagged by each vessel
that plans on hauling the gear. This would allow one vessel to deploy
the trap gear and another vessel to haul the trap gear, provided both
vessels tag the gear prior to deployment. This requirement could be
captured in the sector's operations plan to provide the opportunity for
the sector to monitor the use of this provision and ensure that the OLE
and the U.S. Coast Guard can enforce the provision.
At-Sea Monitoring Proposals
Prior to the publication of this proposed rule, we announced that
we would pay for ASM on sector trips during FY 2014, in addition to
trips assigned a NEFOP observer. Therefore, the sector's ASM proposals
for FY 2014 are no longer applicable, and will be removed from the
sector's final operations plans.
Sector EA
In order to comply with NEPA, one EA was prepared encompassing all
19 operations plans. The sector EA is tiered from the Environmental
Impact Statement (EIS) prepared for Amendment 16. The EA examines the
biological, economic, and social impacts unique to each sector's
proposed operations, including requested exemptions, and provides a
cumulative effects analysis (CEA) that addresses the combined impact of
the direct and indirect effects of approving all proposed sector
operations plans. The summary findings of the EA conclude that each
sector would produce similar effects that have non-significant impacts.
Visit https://www.regulations.gov to view the EA prepared for the 19
sectors that this rule proposes to approve.
Classification
The Administrative Procedure Act (5 U.S.C. 553) requires advance
notice of rulemaking and opportunity for public comment. The Council
required additional time to determine stock allocations for some stocks
for FY 2014, which delayed our ability to present this to the public.
We are therefore providing a 15-day comment period for this rule. A
longer comment period would be impracticable and contrary to the public
interest since we must publish a final rule prior to the start of FY
2014 on May 1, 2014, to enable sectors to fish at the start of the FY.
A vessel enrolled in a sector may not fish in FY 2014 unless its
operations plan is approved. If the final rule is not published prior
to May 1, the permits enrolled in sectors must either stop fishing
until their operations plan is approved or elect to fish in the common
pool for the entirety of FY 2014. Both of these options would have very
negative impacts for the permits enrolled in the sectors. Delaying the
implementation beyond May 1, 2014, would result in an unnecessary
economic loss to the sector members because vessels would be prevented
from fishing in a month when sector vessels landed approximately 10
percent of several allocations, including GB cod east and GB winter
flounder. Finally, without a seamless transition between FY 2013 and
2014, a delay would require sector vessels to remove gear that complies
with an exemption, and redeploy the gear once the final rule is
effective. Talking these additional trips would require additional fuel
and staffing when catch may not be landed.
Pursuant to section 304(b)(1)(A) of the Magnuson-Stevens Fishery
Conservation and Management Act (Magnuson-Stevens Act), the NMFS
Assistant Administrator has determined that this proposed rule is
consistent with the NE Multispecies FMP, other provisions of the
Magnuson-Stevens Act, and other applicable law, subject to further
consideration after public comment.
This proposed action is exempt from the procedures of Executive
Order 12866 because this action contains no implementing regulations.
The Chief Counsel for Regulation of the Department of Commerce
certified to the Chief Counsel for Advocacy of the Small Business
Administration (SBA) that this proposed rule, if adopted, would not
have a significant economic impact on a substantial number of small
entities.
As outlined in the preamble to this proposed rule, the purpose of
this action is the implementation of FY 2014 sector operations plans
and associated regulatory exemptions. In an effort to rebuild the NE
multispecies complex, other actions have reduced the allocations of
several stocks managed by the NE Multispecies FMP. This action is
needed to provide flexible fisheries management that alleviates
potential social and economic hardships resulting from those
reductions. This action seeks to fulfill the purpose and need while
meeting the biological objectives of the NE Multispecies FMP, as well
as the goals and objectives set forth by the Council in the NE
Multispecies FMP.
The regulated entities most likely to be affected by the proposed
action are the 130 groundfish-dependent ownership entities that own
permits currently enrolled in sectors, all of which are considered
small under the SBA's definition of a small business.
Under the proposed rule, sector operations plans for FY 2014 would
be approved, allowing sector participants to use the universal sector
exemptions granted under Amendment 16 to the NE Multispecies FMP. In
addition to the universal sector exemptions granted under the approval
of individual sector operations plans, sector participants have
requested relaxation of 28 other gear, area, administrative, and
seasonal restrictions. This rule proposes to grant 20 of these
exemptions. Because all of the regulated entities are considered small
businesses per the SBA guidelines, the impacts of participating in
sectors and using the universal exemptions and additional exemptions
requested by individual sectors are not considered to be
disproportional.
All of the requested sector-specific exemptions in this proposed
rule are expected to have a positive economic impact on participants,
as they further increase the flexibility of fishermen to land their
allocation at their discretion. By choosing when and how to land their
allocations sector participants have the potential to reduce marginal
costs, increase revenues, and ultimately increase profitability. Again,
it is expected that fishermen will only use sector-specific exemptions
that they believe will maximize utility, and that long-term stock
impacts from the collective exemptions will be minimal and will be
outweighed by benefits from operational flexibility.
This rule would not impose significant negative economic impacts.
No small entities would be placed at a competitive disadvantage to
large entities, and the regulations would not reduce the profit for any
small entities.
[[Page 14657]]
As a result, an initial regulatory flexibility analysis is not required
and none has been prepared.
Authority: 16 U.S.C. 1801 et seq.
Dated: March 11, 2014.
Samuel D. Rauch III,
Deputy Assistant Administrator for Regulatory Programs, National Marine
Fisheries Service.
[FR Doc. 2014-05762 Filed 3-14-14; 8:45 am]
BILLING CODE 3510-22-P