Standards of Performance for Grain Elevators, 39241-39265 [2014-15868]
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Vol. 79
Wednesday,
No. 131
July 9, 2014
Part V
Environmental Protection Agency
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40 CFR Part 60
Standards of Performance for Grain Elevators; Proposed Rule
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Federal Register / Vol. 79, No. 131 / Wednesday, July 9, 2014 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 60
[EPA–HQ–OAR–2010–0706; FRL–9912–76–
OAR]
RIN 2060–AP06
Standards of Performance for Grain
Elevators
Environmental Protection
Agency.
ACTION: Proposed rule.
AGENCY:
The Environmental Protection
Agency (EPA) is proposing amendments
to the Standards of Performance for
Grain Elevators as a result of the 8-year
review of the new source performance
standards required by the Clean Air Act.
We are proposing to clarify certain
provisions in the existing subpart DD.
The EPA is also proposing a new
subpart DDa for grain elevators, which
would apply to affected facilities that
commence construction, modification or
reconstruction after July 9, 2014 and
includes the proposed clarifications for
subpart DD and several new provisions.
In response to Executive Order 13563,
Improving Regulation and Regulatory
Review, the EPA conducted an analysis
of subpart DD. In considering the
directives of the Executive Order, the
EPA conducted several analyses to
determine the effectiveness of subpart
DD, to determine whether subpart DD is
still relevant, and to determine whether
subpart DD is excessively burdensome.
Based on the results of these analyses,
the EPA concluded that subpart DD is
still effective, relevant and not
excessively burdensome.
DATES: Comments. Comments must be
received on or before October 7, 2014.
Under the Paperwork Reduction Act,
comments on the information collection
provisions are best assured of having
full effect if the Office of Management
and Budget receives a copy of your
comments on or before August 8, 2014.
Public Hearing. The EPA will hold a
public hearing on this proposed rule if
requested. Requests for a hearing must
be made by July 24, 2014. Contact Ms.
Virginia Hunt via email (hunt.virginia@
epa.gov) or phone (919–541–0832) by
July 24, 2014 to request a public
hearing. If a hearing is requested, the
EPA will announce the details,
including specific dates, times,
addresses and contact information for
the hearing, in a separate Federal
Register notice.
ADDRESSES: Submit your comments,
identified by Docket ID Number EPA–
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SUMMARY:
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HQ–OAR–2010–0706, by one of the
following methods:
Federal eRulemaking Portal: https://
www.regulations.gov: Follow the online
instructions for submitting comments.
Email: A-and-R-Docket@epa.gov,
Include docket ID Number EPA–HQ–
OAR–2010–0706 in the subject line of
the message.
Fax: (202) 566–9744, Attention
Docket ID Number EPA–HQ–OAR–
2010–0706.
Mail: Environmental Protection
Agency, EPA Docket Center (EPA/DC),
Mail Code 28221T, Attention Docket ID
Number EPA–HQ–OAR–2010–0706,
1200 Pennsylvania Avenue NW.,
Washington, DC 20460. Please include a
total of two copies. In addition, please
mail a copy of your comments on the
information collection provisions to the
Office of Information and Regulatory
Affairs, Office of Management and
Budget (OMB), Attn: Desk Officer for
EPA, 725 17th Street NW., Washington,
DC 20503.
Hand/Courier Delivery: EPA Docket
Center, Room 3334, EPA WJC West
Building, 1301 Constitution Ave. NW.,
Washington, DC 20004, Attention
Docket ID Number EPA–HQ–OAR–
2010–0706. Such deliveries are only
accepted during the Docket’s normal
hours of operation and special
arrangements should be made for
deliveries of boxed information.
Instructions: Direct your comments to
Docket ID Number EPA–HQ–OAR–
2010–0706. The EPA’s policy is that all
comments received will be included in
the public docket without change and
may be made available online at https://
www.regulations.gov, including any
personal information provided, unless
the comment includes information
claimed to be confidential business
information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you
consider to be CBI or otherwise
protected through https://
www.regulations.gov or email. Send or
deliver information identified as CBI to
only the mail or hand/courier delivery
address listed above, attention: Docket
ID Number EPA–HQ–OAR–2010–0706.
The https://www.regulations.gov Web
site is an ‘‘anonymous access’’ system,
which means the EPA will not know
your identity or contact information
unless you provide it in the body of
your comment. If you send an email
comment directly to the EPA without
going through https://
www.regulations.gov, your email
address will be automatically captured
and included as part of the comment
that is placed in the public docket and
made available on the Internet. If you
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submit an electronic comment, the EPA
recommends that you include your
name and other contact information in
the body of your comment and with any
disk or CD–ROM you submit. If the EPA
cannot read your comment due to
technical difficulties and cannot contact
you for clarification, the EPA may not
be able to consider your comment.
Electronic files should avoid the use of
special characters, any form of
encryption and be free of any defects or
viruses. For additional information
about the EPA’s public docket, visit the
EPA Docket Center homepage at: https://
www.epa.gov/dockets.
Docket. The docket number for the
proposed amendments to the grain
elevator new source performance
standards (40 CFR part 60, subparts DD
and DDa) is Docket ID Number EPA–
HQ–OAR–2010–0706. All documents in
the docket are listed in the https://
www.regulations.gov index. Although
listed in the index, some information is
not publicly available, e.g., CBI or other
information whose disclosure is
restricted by statute. Certain other
material, such as copyrighted material,
will be publicly available only in hard
copy. Publicly available docket
materials are available either
electronically in https://
www.regulations.gov or in hard copy at
the Air Docket, EPA/DC, EPA West,
Room 3334, 1301 Constitution Ave.
NW., Washington, DC. The EPA docket
facility is open from 8:30 a.m. to 4:30
p.m., Monday through Friday, excluding
legal holidays. The telephone number
for the Public Reading Room is (202)
566–1744, and the telephone number for
the Air Docket is (202) 566–1742.
For
information concerning the proposed
amendments, contact Mr. Bill Schrock,
Natural Resources Group, Sector
Policies and Programs Division (E143–
03), Research Triangle Park, North
Carolina 27711; telephone number (919)
541–5032; fax number (919) 541–3470;
email address: schrock.bill@epa.gov.
FOR FURTHER INFORMATION CONTACT:
SUPPLEMENTARY INFORMATION:
World Wide Web. In addition to being
available in the docket, an electronic
copy of the proposed amendments is
available on the Technology Transfer
Network (TTN) Web site. Following
signature, the EPA will post a copy of
the amendments at https://www.epa.gov/
ttn/atw/eparules.html. The TTN
provides information and technology
exchange in various areas of air
pollution control.
Acronyms and Abbreviations. The
following acronyms and abbreviations
are used in this document:
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A. How did the EPA conduct the BSER
analysis?
B. How did the EPA evaluate changes to
the methodology for determining
applicability of the grain elevator NSPS?
C. How did the EPA evaluate the
compliance requirements in the grain
elevator NSPS?
D. How did the EPA evaluate additional
changes for the grain elevator NSPS?
VI. Summary of Cost, Environmental, Energy
and Economic Impacts of These
Proposed Standards
A. What are the impacts for subpart DDa?
B. What are the secondary impacts for
subpart DDa?
C. What are the economic impacts for
subpart DDa?
VII. Other Considerations
Executive Order 13563: Improving
Regulation and Regulatory Review
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution or Use
I. National Technology Transfer and
Advancement Act
J. Executive Order 12898: Federal Actions
To Address Environmental Justice in
Minority Populations and Low-Income
Populations
Organization of This Document. The
following outline is provided to aid in
locating information in this preamble.
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ANSI American National Standards
Institute
ASTM American Society for Testing and
Materials
BACT Best available control technology
BDT Best demonstrated technology
BLDS Bag leak detection systems
BSER Best system of emission reduction
CAA Clean Air Act
CBI Confidential business information
CEDRI Compliance and Emissions Data
Reporting Interface
CFR Code of Federal Regulation
CDX Central Data Exchange
EJ Environmental justice
ERT Electronic Reporting Tool
FSA Farm Service Agency
g/dscm Grams per dry standard cubic meter
gr/dscf Grains per dry standard cubic foot
gr/dscfm Grains per dry standard cubic foot
per minute
HAP Hazardous air pollutants
ICR Information Collection Request
kg Kilogram
LAER Lowest achievable emission rate
mg Milligram
mm Millimeter
NAICS North American Industry
Classification System
NSPS New source performance standard
NTTAA National Technology Transfer and
Advancement Act
OECA Office of Enforcement and
Compliance Assurance
OMB Office of Management and Budget
PM Particulate matter
RACT Reasonably available control
technology
RBLC RACT/BACT/LAER Clearinghouse
RFA Regulatory Flexibility Act
SBA Small Business Administration
SBREFA Small Business Regulatory
Enforcement Fairness Act
SISNOSE Significant Economic Impact on a
Substantial Number of Small Entities
SSM Startup, shutdown and malfunction
TSF Temporary storage facility
tpy Tons per year
TTN Technology Transfer Network
UMRA Unfunded Mandates Reform Act
USDA United States Department of
Agriculture
VCS Voluntary consensus standards
A. Purpose of Regulatory Action
New source performance standards
implement CAA section 111(b) and are
issued for categories of sources that EPA
has listed because they cause, or
contribute significantly to, air pollution,
that may reasonably be anticipated to
endanger public health or welfare. The
primary purpose of the NSPS is to attain
and maintain ambient air quality by
ensuring application of the best system
of emission reduction (BSER) that has
been adequately demonstrated, taking
into consideration the cost of achieving
such emission reductions, and any nonair quality health and environmental
impact and energy requirements.
Section 111(b)(1)(B) of the CAA requires
the EPA to review and, if appropriate,
revise existing NSPS at least every 8
I. Executive Summary
A. Purpose of Regulatory Action
B. Summary of Major Amendments
C. Summary of Costs and Benefits
II. General Information
A. Does this action apply to me?
B. What should I consider as I prepare my
comments?
III. Background Information
A. What is the statutory authority for these
proposed revisions?
B. What is the regulatory history for grain
elevators?
IV. Summary of Proposed Amendments
A. What source category is being regulated?
B. What pollutants are emitted from these
sources?
C. What are the proposed standards?
V. Rationale for Proposed Amendments
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language that incorporates the proposed
changes in this action is available in the
docket for this action (Docket ID No.
EPA–HQ–OAR–2010–0706)
I. Executive Summary
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years. The NSPS for grain elevators (40
CFR part 60, subpart DD) were
promulgated in 1978 and last reviewed
in 1984. As part of the review, the EPA
is required to consider what degree of
emission limitation is achievable
through the application of the BSER,
which (taking into account the cost of
achieving such reduction and any
nonair quality health and environmental
impact and energy requirements) the
Administrator determines has been
adequately demonstrated. The EPA also
considers the emission limitations and
reductions that have been achieved in
practice.
In addition to conducting the NSPS
review, the EPA is evaluating the startup, shutdown and malfunction (SSM)
provisions in the rule in light of the D.C.
Circuit Court of Appeals decision in
Sierra Club v. EPA, 551 F.3d 1019 (D.C.
Cir. 2008), which held that the SSM
exemption in the General Provisions in
40 CFR part 63 violated the CAA’s
requirement that some standards apply
continuously. In the Sierra Club case,
the D.C. Circuit vacated the SSM
exemption provisions in the General
Provisions of 40 CFR part 63 for nonopacity and opacity standards. The
court explained that under section
302(k) of the CAA, emissions standards
or limitations must be continuous in
nature. The court then held that the
SSM exemption violates the CAA’s
requirement that some section 112
standards apply continuously. In light
of the court’s reasoning, all rule
provisions must be carefully examined
to determine whether they provide for
periods when no emission standard
applies. The EPA believes that even
though the Court in Sierra Club v. EPA
was considering a challenge to a section
112 NESHAP standard, the Court’s
reasoning applies equally to CAA
section 111 (NSPS) and section 129
rules. The EPA’s general approach to
SSM periods has been used consistently
in CAA section 111, section 112 and
section 129 rulemaking actions, since
the D.C. Circuit’s decision in Sierra
Club. See, e.g., New Source Performance
Standards Review for Nitric Acid Plants,
Final Rule, 77 FR 48433 (August 14,
2012); New Source Performance
Standards for New Stationary Sources
and Emission Guidelines for Existing
Sources; Commercial and Industrial
Solid Waste Incineration Units, Final
rule, 76 FR 15704 (March 21, 2011); Oil
and Natural Gas Sector: New Source
Performance Standards and National
Emission Standards for Hazardous Air
Pollutants Reviews; Final rules, 77 FR
49490 (August 16, 2012).
To address the NSPS review, SSM
exemptions and other changes, the EPA
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is proposing a new subpart DDa for
grain elevators, which would apply to
affected facilities that commence
construction, modification or
reconstruction after July 9, 2014. The
affected facilities at grain elevators
under the existing subpart DD and the
proposed subpart DDa are each new,
modified or reconstructed truck
unloading station, truck loading station,
barge and ship unloading station, barge
and ship loading station, railcar loading
station, railcar unloading station, grain
dryer and all grain handling operations.
The EPA is also proposing amendments
to subpart DD that will apply to
facilities subject to DD to clarify certain
definitions and provisions. The EPA is
also proposing testing, monitoring,
recordkeeping and reporting
requirements for subpart DDa that are in
some ways different from what is
required under subpart DD. Where
feasible, the EPA considered ways to
reduce the testing, monitoring,
recordkeeping, and reporting burden,
while making the proposed
requirements less ambiguous and more
straightforward for determining
compliance. The proposed subpart DDa
requirements reflect what wellcontrolled sources are doing within the
grain elevator industry since the last
review in 1984.
This rulemaking also responds to
Executive Order 13563, Improving
Regulation and Regulatory Review,
which directs federal agencies to ‘‘. . .
review existing rules that may be
outmoded, ineffective, insufficient, or
excessively burdensome, and to modify,
streamline, expand, or repeal them in
accordance with what has been
learned.’’ It also responds to a petition
submitted by a coalition representing
the grain elevator industry that, citing
the Executive Order, requests the EPA to
review and repeal subpart DD. In
considering the directives of the
Executive Order, the EPA conducted
several analyses aimed at determining
the effectiveness of subpart DD,
determining whether subpart DD is still
relevant and determining whether
subpart DD is excessively burdensome.
Based on the results of these analyses,
the EPA concluded that subpart DD is
still effective, relevant and not
excessively burdensome but we are
proposing some amendments to clarify
certain provisions.
B. Summary of Major Amendments
Based on the results of the NSPS
review, the EPA is proposing the
following:
1. Proposed Clarifications to Subpart DD
We are proposing amendments to
subpart DD to clarify the definition of
grain unloading station and grain
loading station, and to clarify enclosure
requirements for barge or ship
unloading operations.
2. Proposed New Requirements
Contained in Subpart DDa
We are proposing a new subpart DDa
that will include the standards of
performance and other provisions in
subpart DD, as clarified in this proposal
which reflect current industry
operations, as well as the following
additional new standards and
provisions based on our review of
available information:
• An additional method for
determining applicability that includes
the storage capacity of temporary
storage facilities (TSFs).
• Ten percent opacity standards for
barge or ship unloading stations not
using an unloading leg and for column
dryers using a wire screen.
• Particulate Matter (PM) and opacity
standards for affected facilities
associated with TSFs consistent with
those associated with permanent storage
units.
• Particulate Matter performance tests
conducted every 60 months, opacity
tests conducted annually, and weekly
visual inspections for affected facilities,
and visual inspections of fabric filters
every 6 months.
• Records for the new applicability
calculation method, excess emissions
events, fabric filter inspections, opacity
tests, weekly visual inspections and PM
tests, and the type of grain processed
during performance tests.
• Requirement to submit electronic
copies of performance tests reports to
the EPA using the EPA’s electronic
reporting tool (ERT).
• New definitions for ‘‘permanent
storage capacity,’’ ‘‘temporary storage
facility,’’ ‘‘wire screen column dryer,’’
and ‘‘en-masse drag conveyor.’’
We are also proposing that the PM
standards are applicable at all times.
C. Summary of Costs and Benefits
Table 1 summarizes the costs and
benefits of this action. See section VI of
this preamble for further discussion.
TABLE 1—SUMMARY OF THE COSTS AND BENEFITS OF THE PROPOSED SUBPART DDA FOR NEW, MODIFIED AND
RECONSTRUCTED AFFECTED SOURCES AT GRAIN ELEVATORS
Capital cost
($ thousand)
Requirement
Annual cost
($ thousand/yr) a
Emission
reductions
(tons PM10/yr)
Net benefit
1,087
0
350
849
31
0
N/A b
N/A b
Total nationwide ...........................................................................
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PM control ............................................................................................
Emissions testing and monitoring/reporting and recordkeeping .........
1,087
1,199
31
N/A b
a Reporting and recordkeeping costs are in the third year following promulgation. PM control, testing and monitoring costs are in the fifth year
after promulgation. For the third year after promulgation, the associated PM capital cost is $888,000, and annual cost (including annualized PM
control cost and emissions testing and monitoring) is $757,000.
b Under Executive Order 12866, this rulemaking is not an ‘‘economically significant regulatory action’’ because it is not likely to have an annual
effect on the economy of $100 million or more. Therefore, we have not conducted a Regulatory Impact Analysis (RIA) for this rulemaking or a
benefits analysis. The proposed requirements of the New Source Performance Standards (NSPS) for Grain Elevators (Subpart DDa) are anticipated to reduce emissions by 31 tons of PM10 each year starting in 2018. While we expect that these PM10 emissions reductions will result in improvements in air quality and reduce health effects associated with exposure to air pollution resulting from these emissions, we have not quantified or monetized the benefits of reducing these emissions for this rulemaking. This does not imply that there are no benefits associated with
these emission reductions.
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II. General Information
A. Does this action apply to me?
Categories and entities potentially
regulated by this proposed rule include
those listed in Table 2 of this preamble.
TABLE 2—EXAMPLES OF AFFECTED ENTITIES BY CATEGORY
Category
NAICS a
code
Industry .........................................................
Industry .........................................................
49313 ..
424510
a North
Grain elevators (storage).
Grain elevators (merchants, wholesalers).
American Industry Classification System.
This table is not intended to be
exhaustive but rather provides a guide
for readers regarding entities likely to be
regulated by the proposed amendments.
To determine whether your facility
would be regulated by the proposed
amendments, you should carefully
examine the applicability criteria in 40
CFR 60.300 and 40 CFR 60.300a. If you
have any questions regarding the
applicability of the proposed
amendments to a particular entity,
contact the person listed in the
preceding FOR FURTHER INFORMATION
CONTACT section.
B. What should I consider as I prepare
my comments?
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Examples of potentially regulated entities
Submitting CBI. Do not submit
information containing CBI to the EPA
through https://www.regulations.gov or
email. Clearly mark the part or all of the
information that you claim to be CBI.
For CBI information on a disk or CD–
ROM that you mail to the EPA, mark the
outside of the disk or CD–ROM as CBI
and then identify electronically within
the disk or CD–ROM the specific
information that is claimed as CBI. In
addition to one complete version of the
comments that includes information
claimed as CBI, you must submit a copy
of the comments that does not contain
the information claimed as CBI for
inclusion in the public docket. If you
submit a CD–ROM or disk that does not
contain CBI, mark the outside of the
disk or CD–ROM clearly that it does not
contain CBI. Information not marked as
CBI will be included in the public
docket and the EPA’s electronic public
docket without prior notice. Information
marked as CBI will not be disclosed
except in accordance with procedures
set forth in 40 Code of Federal
Regulations (CFR) part 2. Send or
deliver information identified as CBI
only to the following address: Roberto
Morales, OAQPS Document Control
Officer (C404–02), OAQPS, U.S.
Environmental Protection Agency,
Research Triangle Park, North Carolina
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27711, Attention Docket ID Number
EPA–HQ–OAR–2010–0706.
If you have any questions about CBI
or the procedures for claiming CBI,
please consult the person identified in
the FOR FURTHER INFORMATION CONTACT
section.
III. Background Information
A. What is the statutory authority for
these proposed revisions?
NSPS implement CAA section 111,
which requires that each NSPS reflect
the degree of emission limitation
achievable through the application of
the BSER which (taking into
consideration the cost of achieving such
emission reductions, any nonair quality
health and environmental impact and
energy requirements) the Administrator
determines has been adequately
demonstrated. This level of control is
referred to as BSER and has been
referred to in the past as ‘‘best
demonstrated technology’’ or BDT. In
assessing whether a standard is
achievable, the EPA must account for
routine operating variability associated
with performance of the system on
whose performance the standard is
based. See National Lime Ass’n v. EPA,
627 F. 2d 416, 431–33 (D.C. Cir. 1980).
We are also proposing in this
rulemaking that existing affected
facilities that are modified or
reconstructed would be subject to this
proposed rule. Under CAA section
111(a)(4), ‘‘modification’’ means any
physical change in, or change in the
method of operation of, a stationary
source which increases the amount of
any air pollutant emitted by such source
or which results in the emission of any
air pollutant not previously emitted.
Changes to an existing facility that do
not result in an increase in the emission
rate are not considered modifications
(40 CFR 60.14).
Rebuilt emission units would become
subject to the proposed standards under
the reconstruction provisions, regardless
of changes in emission rate.
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Reconstruction means the replacement
of components of an existing facility
such that: (1) the fixed capital cost of
the new components exceeds 50 percent
of the fixed capital cost that would be
required to construct a comparable
entirely new facility; and (2) it is
technologically and economically
feasible to meet the applicable standards
(40 CFR 60.15).
Section 111(b)(1)(B) of the CAA
requires the EPA to periodically review
and revise the standards of performance,
as necessary, to reflect improvements in
methods for reducing emissions. The
NSPS are directly enforceable federal
regulations issued for categories of
sources which cause, or contribute
significantly to, air pollution which may
reasonably be anticipated to endanger
public health or welfare. Since 1970, the
NSPS have been successful in achieving
long-term emissions reductions in
numerous industries by assuring that
cost-effective controls are installed on
new, reconstructed or modified sources.
B. What is the regulatory history for
grain elevators?
In 1978, the EPA promulgated
‘‘Standards of Performance for Grain
Elevators’’ (40 CFR part 60, subpart DD)
(August 3, 1978, 43 FR 34347). Since
then, we have conducted one review of
the standards, which promulgated
minor revisions to clarify certain
provisions (March 27, 1984, 49 FR
11750).
The current subpart DD applies to
affected facilities at any grain storage
elevators or grain terminal elevators
storing corn, wheat, sorghum, rice, rye,
oats, barley and soybeans which are
constructed, reconstructed or modified
after August 3, 1978. On August 7, 1977
Congress amended the Clean Air Act
with a provision that exempts country
grain elevators with less than 2.5
million bushels of grain storage capacity
from standards developed under section
111 of the Act. A ‘‘grain storage
elevator’’ means any grain elevator
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located at any wheat flour mill, wet corn
mill, dry corn mill (human
consumption), rice mill or soybean oil
extraction plant with permanent storage
capacity of at least one million bushels.
40 CFR 60.301(f). A ‘‘grain terminal
elevator’’ means any grain elevator with
permanent storage capacity over 2.5
million bushels, except those located at
animal food manufacturers, pet food
manufacturers, cereal manufacturers,
breweries and livestock feedlots. 40 CFR
60.301(c). A ‘‘grain elevator’’ means any
plant or installation at which grain is
unloaded, handled, cleaned, dried,
stored or loaded. 40 CFR 60.301(b).
‘‘Permanent storage capacity’’ means
grain storage capacity which is inside a
building, bin or silo. 40 CFR 60.301(d).
The affected facilities at grain
elevators are each truck unloading
station, truck loading station, barge and
ship unloading station, barge and ship
loading station, railcar loading station,
railcar unloading station, grain dryer
and all grain handling operations. 40
CFR 60.300.
The current NSPS, as amended under
the 1984 review, include the following
emission limits and work practice
standards:
Type of emissions
Affected facility
Type of standard
Process emissions ......
Truck unloading station, truck loading station, barge and ship unloading station,
barge and ship loading station, railcar
loading station, railcar unloading station,
and all grain handling operations.
PM limit ..........................................
0.01 gr/dscf.
Opacity limit ....................................
Opacity limit and equipment specification.
0%.
0% opacity for column dryers
equipped with column plate perforations
exceeding
0.094
inches,
and
rack
dryers
equipped with screen filter
coarser than 50 mesh.
10%
5%.
Grain dryer ...................................................
Fugitive ........................
Truck loading ................................................
Truck unloading, railcar loading, railcar unloading.
Barge/ship loading ........................................
Barge/ship unloading ....................................
Initial compliance with the PM and
opacity emission limits in the current
NSPS (subpart DD) is demonstrated by
conducting initial performance tests.
Subpart DD does not contain any
continuous compliance requirements.
IV. Summary of Proposed Amendments
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A. What source category is being
regulated?
Today’s proposed standards would
apply to affected facilities at any grain
storage elevators or grain terminal
elevators storing corn, wheat, sorghum,
rice, rye, oats, barley and soybeans
which are constructed, reconstructed or
modified after July 9, 2014. We are also
proposing clarifications that would
apply to affected facilities at any grain
storage elevator or grain terminal
elevator storing corn, wheat, sorghum,
rice, rye, oats, barley and soybeans
which are constructed, reconstructed or
modified after August 3, 1978. The
affected facilities at grain elevators are
each truck unloading station, truck
loading station, barge and ship
unloading station, barge and ship
loading station, railcar loading station,
railcar unloading station, grain dryer
and all grain handling operations.
Neither the proposed standards nor the
clarifications to the existing standards
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Opacity limit ....................................
Opacity limit ....................................
Opacity limit ....................................
Equipment specification .................
are changing the rules for currently
affected facilities, however the proposed
standards will cover a new type of barge
unloader and column dryer not
contemplated by the existing standards.
B. What pollutants are emitted from
these sources?
The primary pollutant emitted and
the only pollutant regulated by the grain
elevator NSPS is PM. Particle pollution
can cause serious health problems. The
size of particles is directly linked to
their potential for causing health
problems. EPA’s national and regional
rules to reduce emissions of pollutants
that form particle pollution will help
state and local governments meet the
Agency’s national air quality standards.
Particulate matter is emitted from grain
as it is conveyed from one affected
facility to another, unloaded or loaded
onto transport vessels and during the
drying process. Opacity is regulated to
ensure proper operation and
maintenance of the PM controls and to
control fugitive emissions.
The PM concentration limits are
based on filterable PM measured by EPA
Method 5. Filterable PM consists of
those particles directly emitted by a
source as a solid or liquid at the stack
(or similar release conditions) and
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Requirement (40 CFR 60.302)
Sfmt 4702
20%.
Marine leg enclosed from top to
bottom of leg, w/ventilation flow
rate of both leg and receiving
hopper of 40 ft3 per bushel of
grain unloaded.
captured on the filter of a stack test
train. A fraction of the PM emitted from
grain elevator affected facilities is PM
with an aerodynamic diameter less than
or equal to 2.5 micrometers (PM2.5). The
EPA is not proposing separate standards
for PM2.5 in this action because the
available emissions test data for PM2.5
are limited and not adequate for setting
standards.
The PM concentration limits in
today’s proposed NSPS review are based
on filterable PM measured by EPA
Method 5 because the majority of PM
emissions data available are Method 5
data. Emissions of condensable PM,
which is PM that is not directly emitted
but is formed in the atmosphere, are
measured using EPA Method 202. These
emissions can be added as the ‘‘back
half’’ to a Method 5 sampling train.
However, the EPA is not proposing
separate standards for condensable PM
because available emissions test data for
condensable PM are limited and not
adequate for setting standards.
C. What are the proposed standards?
The EPA is proposing the following
actions regarding the NSPS for grain
elevators. As summarized in section
IV.C.1 of this preamble, we are
proposing clarifications to specific
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requirements in subpart DD. As
summarized in section IV.C.2 of this
preamble, we are also proposing a new
subpart DDa which would only be
applicable to affected facilities that
commence construction, modification or
reconstruction after July 9, 2014.
1. Clarifications to Subpart DD
We are proposing clarifications to
three provisions in subpart DD. These
proposed clarifications are summarized
in Table 3 of this preamble, which
presents both the current provision in
subpart DD and a description of the
proposed clarifications. EPA’s rationale
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for these proposed changes is provided
in section V.D. of this preamble. These
proposed revisions are intended to keep
the meaning and intent of the
definitions as originally promulgated
while making sure the definitions
encompass the changes in the industry
since the last review of subpart DD in
1984.
TABLE 3—SUMMARY OF PROPOSED AMENDMENTS TO SUBPART DD FOR AFFECTED FACILITIES THAT HAVE COMMENCED
CONSTRUCTION, MODIFICATION, OR RECONSTRUCTION AFTER AUGUST 3, 1978
Proposed revision to subpart DD for affected facilities that
have commenced construction, modification, or reconstruction
after August 3, 1978
Current subpart DD provision (subpart DD citation)
‘‘Grain unloading station’’ is defined to be that portion of a grain elevator where the grain is transferred from a truck, railcar, barge or ship
to a receiving hopper (§ 60.301(j)).
‘‘Grain loading station’’ is defined to mean that portion of a grain elevator where the grain is transferred from the elevator to a truck, railcar,
barge or ship.( § 60.301(k)).
For affected barge or ship unloading stations, the unloading leg is required to be enclosed from the top (including the receiving hopper) to
the center line of the bottom pulley and ventilation to a control device
is required to be maintained on both sides of the leg and the grain
receiving hopper. (§ 60.302 (d)(1)).
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2. Proposal of Subpart DDa
We are proposing a new subpart DDa
for affected facilities that commence
construction, modification, or
reconstruction after July 9, 2014.
Subpart DDa includes the standards in
subpart DD, including the clarifications
discussed in Table 3 of this preamble for
subpart DD, and new requirements for
affected facilities. The proposed new
requirements are summarized below.
EPA’s rationale for these proposed
changes is provided in sections V.A
through V.D. of this preamble. The new
requirements include a new definition
of permanent storage capacity that
accounts for storage capacity from TSFs;
other new definitions; emission
standards for two new subcategories;
and testing, monitoring, reporting and
recordkeeping requirements. We are
also proposing a requirement in subpart
DDa that all emission standards in
subpart DDa apply at all times,
including periods of SSM.
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Definitions
Ct = Total storage capacity of all TSFs used
to store grain (bushels).
We are proposing the following
definitions:
‘‘Permanent storage capacity’’ is
proposed to be the grain storage
capacity calculated using proposed
Equations 1 or 2, as applicable. This
proposed definition revises the method
used to determine applicability by
providing a new method to calculate
‘‘permanent storage capacity’’ using TSF
capacity and the grain storage capacity
of buildings, other types of bins and
silos. Equation 1 is proposed for grain
elevators where the grain storage
capacity and historical grain throughput
for all their grain storage buildings, bins
and silos are known.
Equation 2 is proposed for grain
elevators where the grain storage
capacity and historical grain throughput
for all grain storage buildings, bins or
silos are not known. Equation 2 would
be used at grain elevators that had at
least one storage building, bin, or silo
that did not exist prior to the date of
construction, modification or
reconstruction of the affected facility.
Ctp = Cp + (0.34 * Ct) (Eq. 2)
Where:
Where:
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Ct = Total storage capacity of all TSFs used
to store grain (bushels).
0.34 = Default ratio of permanent grain
storage capacity to annual throughput
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Tp = Maximum annual throughput of grain
for all buildings, bins (excluding TSFs)
and silos used to store grain (bushels per
year) over the previous 5 years.
‘‘Grain unloading station’’ is proposed
as specified in Table 3 of this preamble.
‘‘Grain loading station’’ is proposed as
specified in Table 3 of this preamble.
‘‘Temporary storage facility’’ or ‘‘TSF’’
is proposed to be defined as any grain
storage bin that: (1) Uses an asphalt,
concrete or other improved base
material; (2) uses rigid, self-supporting
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EP09JY14.005
The proposed clarifications are
applicable to all affected facilities that
commenced construction, modification
or reconstruction after August 3, 1978.
‘‘Grain unloading station’’ is that portion of a grain elevator where the
grain is transferred from a truck, railcar, barge or ship to a receiving
hopper or to the grain handling equipment that connects the unloading station to the rest of the grain elevator, including all of the equipment, support structures and associated dust control equipment and
aspiration systems connected to or required to operate the grain unloading station.
‘‘Grain loading station’’ is that portion of a grain elevator where the
grain is transferred from the elevator to a truck, railcar, barge or
ship, including all of the equipment, support structures and associated dust control equipment and aspiration systems connected to or
required to operate the grain loading station.
For affected barge or ship unloading stations, the requirements in
§ 60.302 (d)(1) remain the same except that a new provision is proposed to be added to clarify that where aspiration of the casing provides dust control at the boot of the conveyor and a receiving hopper
is not used, the unloading leg is required to be enclosed from the top
to the center line of the bottom pulley, and ventilation to a control device is required to be maintained on both sides of the leg.
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Federal Register / Vol. 79, No. 131 / Wednesday, July 9, 2014 / Proposed Rules
sidewalls; (3) provides aeration; and (4)
provides a covering or tarp.
‘‘Wire screen column dryer’’ is
proposed to be defined to be any
equipment used to reduce the moisture
content of grain in which the grain
flows from the top to the bottom in one
or more continuous packed columns
between two woven wire screens or
between a combination of perforated
metal sheets and wire screens.
‘‘En-masse drag conveyor’’ is
proposed to mean a device that uses
paddles or flights mounted on a chain
to remove grain from a barge or ship.
‘‘Portable equipment’’ is proposed to
mean equipment that includes (but is
not limited to) portable augers, portable
conveyors and front-end loaders that are
not fixed at any one spot and can be
moved around the site.
PM Standards
We are proposing the following
actions regarding the PM standards:
• Maintain the subpart DD standards
for ‘‘rack dryers’’ and ‘‘column dryers’’
and add a provision that ‘‘wire screen
column dryers’’ are prohibited from
discharging into the atmosphere any
gases that exhibit greater than 10percent opacity.
• Clarify the requirements for barge
and ship unloading stations using an
unloading leg as specified in Table 3 of
this preamble.
• Add an opacity limit of 10 percent
for all affected facilities at barge and
ship unloading stations that unload
grain using en-masse drag conveyors.
• Require that requests for an
equivalency determination for
alternative controls for barge unloading
stations apply only to barge unloading
stations that do not use an unloading leg
or en-masse drag conveyor.
• Add a requirement that unloading
facilities and grain handling operations
at TSFs meet the subpart DD
requirements for PM (0.01 gr/dscf) and
opacity (5 percent for truck unloading
and 0 percent for grain handling) if
portable equipment is not used.
• Add a requirement that the
standards of subpart DDa apply at all
times including periods of SSM.
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Test Methods and Procedures
We are proposing the following
actions to test methods and procedures:
• Annual opacity testing be
conducted for each applicable opacity
limit for each affected facility (using
Method 9).
• PM testing be conducted every 60
months for each applicable PM limit for
each affected facility (using Method 5 or
17).
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Reporting Requirements
We are proposing that, within 60 days
of each performance test, the results of
the performance test be submitted
electronically to the EPA using the
Compliance and Emissions Data
Reporting Interface (CEDRI) that is
accessed through the EPA’s CDX (https:
//cdx.epa.gov/). Performance test data
would be required to be submitted in
the file format generated through use of
the EPA’s ERT (see https://www.epa.gov/
ttn/chief/ert/). This
requirement only applies to the EPA test
methods that are ERT-compatible. These
methods are listed on the ERT Web site.
Startup, Shutdown and Malfunction
Requirements
The General Provisions in 40 CFR part
60 provide that emissions in excess of
the level of the applicable emission
limit during periods of SSM shall not be
considered a violation of the applicable
emission limit unless otherwise
specified in the applicable standard. See
40 CFR 60.8(c). The General Provisions,
however, may be amended for
individual subparts. Here, the EPA is
proposing standards in subpart DDa that
apply at all times as specified in the
proposed § 60.302a(e). This is discussed
further in section V.C.3, and with
respect to specific standards in various
sections below.
Monitoring Requirements
We are proposing the following new
monitoring requirements:
• Fabric filter/baghouse inspections
every 6 months.
• Weekly visible emissions checks of
affected facilities.
Recordkeeping Requirements
We are proposing the following new
records:
• Total storage capacity (bushels) for
each building, bin (excluding TSFs),
and silo used to store grain.
• Storage capacity for each TSF.
• Calculations documenting the
emissions quantification for excess
emission events.
• Results of fabric filter/baghouse
inspections and any corrective action
taken maintained on-site.
• Results of weekly visible emission
checks, including any corrective action
taken. Records maintained on site for a
minimum of 36 months.
• Results of the annual opacity tests.
• The type of grain processed during
performance tests at the affected facility.
V. Rationale for Proposed Amendments
CAA section 111(a)(1) requires that
standards of performance for new
sources reflect the ‘‘. . . degree of
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emission limitation achievable through
the application of the best system of
emission reduction which (taking into
account the cost of achieving such
reduction, and any nonair quality health
and environmental impacts and energy
requirements) the Administrator
determines has been adequately
demonstrated.’’
Section 111(b)(1)(B) of the CAA
requires the EPA to review and revise,
if appropriate, NSPS standards.
Accordingly, we conducted the
following evaluations as part of our
review of subpart DD:
• We conducted a BSER analysis for
the grain elevator source category.
• We evaluated the method for
determining applicability under subpart
DD.
• We evaluated whether any changes
are needed to the subpart DD
compliance requirements.
• We evaluated subpart DD for any
provisions that need clarification.
We are proposing minor revisions to
subpart DD that would apply
retrospectively to all facilities that
currently are subject to subpart DD. We
are also proposing a new subpart DDa
that would apply to affected facilities
that commence construction,
modification or reconstruction after July
9, 2014. The proposed requirements in
subpart DDa include the clarifications
we are proposing to subpart DD as well
as some substantive new requirements.
Our decision to propose revisions to
subpart DD and propose a new subpart
DDa is explained in detail in sections
V.A through D of this preamble.
A. How did the EPA conduct the BSER
analysis?
A performance standard reflects the
degree of emission limitation achievable
through the application of the BSER that
the EPA determines has been adequately
demonstrated, taking into consideration
costs, nonair quality health and
environmental impacts and energy
requirements.
We conducted the BSER review by
first assessing changes that have
occurred to the grain elevator source
category since the last review of the
NSPS in 1984. We then identified
currently used, new and emerging
control systems and assessed whether
they represent advances in emission
reduction techniques compared to the
control techniques used to comply with
the existing NSPS. For each new or
emerging control option identified, we
then evaluated emission reductions,
costs, energy requirements and non-air
quality impacts. The results of these
considerations are presented in section
V.A.1 of this preamble.
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1. Evaluation of Grain Elevator Source
Category for Significant Changes to
Emission Sources
The EPA gathered information from
various sources to identify significant
changes that have occurred to the grain
elevator source category since the last
NSPS review. We reviewed several
sources of information, including
responses from an industry survey,
information in the RACT/BACT/LAER
Clearinghouse (RBLC), requirements in
state rules and additional information
collected from the grain elevator
industry. Sections V.A.1.a through
V.A.1.d of this preamble describe our
review of each source of information
and section V.A.1.e of this preamble
presents the results of the EPA’s
evaluation of these sources including
any significant changes identified.
a. CAA Section 114 Information
Collection Request
To characterize the current state of
emissions, practices, operations and
controls in the industry, we conducted
a CAA section 114 ICR in 2009 for grain
elevator operations. The survey was
addressed to facilities with any grain
elevator that would constitute a ‘‘grain
terminal elevator’’ or a ‘‘grain storage
elevator’’ (as defined in 40 CFR 60.301).
To gather general background
information about the industry,
respondents were required to submit
information for facilities based on
storage type, grain(s) handled and the
EPA region. Survey responses were
collected from 121 grain elevators. The
survey responses provided information
on grain elevator capacity, grain elevator
throughputs for three successive years,
the use of temporary storage facilities,
barge unloading operations, dryer
design, general information on facility
characteristics and control devices and
work practices used to reduce PM
emissions from various sources. The
survey responses and database
developed from the response
information are in the grain elevator
docket at EPA–HQ–OAR–2010–0706.
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b. Review of the RACT/BACT/LAER
Clearinghouse
The EPA established the RBLC as a
repository of information on air
pollution control technologies required
by state air pollution control programs
(including past RACT, BACT and LAER
decisions). Reasonably Available
Control Technology is required on
existing sources in areas that are not
meeting national ambient air quality
standards (i.e., non-attainment areas).
Under the New Source Review (NSR)
program, BACT is required on new or
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modified major sources in attainment
areas and LAER is required on new or
modified major sources in nonattainment areas. We reviewed the
RBLC to identify any new control
technologies that have been used at
grain elevators since the last review of
the rule. Results of the RBLC review are
discussed in the memorandum,
‘‘Evaluation of the Revisions to Grain
Elevator Emission Standards’’ in the
grain elevator docket at EPA–HQ–OAR–
2010–0706.
c. Review of State Regulations
In order to assess whether state
regulations provide more stringent
emission limits or additional controls
than subpart DD, we conducted a review
of the regulations from the 12 states
with the most grain storage capacity and
the largest number of grain elevators in
operation. The 12 states are: Iowa,
Illinois, Minnesota, Nebraska, Kansas,
Indiana, North Dakota, South Dakota,
Ohio, Texas, Missouri and Wisconsin.
We reviewed each state’s grain elevator
standards and evaluated other state
regulations controlling PM, opacity and
fugitive dust emissions that may be
applicable to grain elevators. The review
of state rules is presented in the
memorandum, ’’Evaluation of Grain
Elevator Emission Standards in
Response to Executive Order 13563’’ in
the grain elevator docket at EPA–HQ–
OAR–2010–0706.
d. Other Data Gathering Activities
The EPA conducted several meetings
with a coalition representing grain
elevators owners and operators.
Members of the coalition provided
information on current practices and
provided technical presentations to the
EPA. The technical presentations and
coalition submittals are contained in the
grain elevator docket at EPA–HQ–OAR–
2010–0706.
e. Results of Evaluations
Based on our review of the state rules,
we identified no requirements more
stringent than those in subpart DD. Our
review of the RBLC did not identify any
control techniques that are different
from the control techniques used by
grain elevators to comply with the
subpart DD standards. Our review of the
survey responses and information
gathered at meetings resulted in
identifying: (1) Emissions test reports
and one control technique that we
determined not to be BSER for affected
facilities as explained below, and (2)
several new emission sources since
subpart DD was last reviewed in 1984.
Section V.A.e.2 discusses our evaluation
of new information collected for
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39249
existing affected facilities. Section
V.A.e.3 discusses our evaluation of the
new emission sources. Both evaluations
are documented in the memorandum,
‘‘Evaluation of the Revisions to Grain
Elevator Emission Standards’’ in the
grain elevator docket at EPA–HQ–OAR–
2010–0706.
2. BSER Evaluation for Subpart DD
Affected Facilities
Subpart DD regulates the following
affected facilities: grain dryers, grain
handling, grain loading stations (trucks,
railcars and barges/ships) and grain
unloading stations (trucks, railcars and
barges/ships). Subpart DD requires
affected facilities, except grain dryers, to
meet a PM emission limit of 0.01 gr/
dscfm for process emissions (i.e., nonfugitive emissions). All affected
facilities are also required to meet
opacity limits, specific to each affected
facility, to control fugitive dust
emissions. As discussed earlier, we did
not identify any more stringent state
requirements or more advanced
emission control technology from the
RBLC for these affected facilities.
Some of the grain elevators
responding to the 2009 CAA section 114
survey also provided emissions test
reports and permit information. We
evaluated the PM emissions test reports
to determine whether the PM emission
limits in subpart DD were reflective of
emissions from well-controlled
facilities. The survey responses, permit
information and information collected
from a literature search provided
information on application of mineral
oil as a dust suppression technique to
reduce fugitive PM emissions. We
conducted a BSER analysis for fugitive
emissions considering the application of
mineral oil to grain.
The results of the BSER analysis
showed that for fugitive sources, the
limited information available did not
indicate any advances in emission
control techniques that support
changing the current NSPS
requirements, including the application
of mineral oil. An emission limit
developed using the emissions data
collected with the survey responses
resulted in an achievable limit that is
the same as the limit in subpart DD. Our
detailed review is discussed in V.A.2.a
and V.A.2.b of this preamble.
No other emission control
technologies or work practices have
been identified for reducing emissions
from affected facilities at grain storage
or grain terminal elevators. Based on
these results, consistent with our
obligations under CAA section 111(b),
we propose that the control techniques
and resultant emission reductions on
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which the current NSPS is based still
represent BSER.
a. Review of PM Emission Limit
We conducted a BSER analysis to
determine if we should propose a
different PM emission limit for newly
constructed, modified, and
reconstructed affected facilities at grain
elevators. Subpart DD requires process
emissions from affected facilities (e.g.,
truck unloading stations, grain handling
operations, etc., but excluding grain
dryers) to meet a PM emission limit of
0.01 grains per dry standard cubic foot
(gr/dscf). Grain elevators typically meet
the standard using fabric filters.
The EPA estimates between 340 and
920 grain elevators could be subject to
Subpart DD. In 2009, EPA sent CAA
section 114 surveys to 120 grain
elevators to characterize the industry
and obtain data on PM emission control
techniques and associated emissions.
Respondents to the survey provided PM
emission test reports from 15 grain
elevators, which represent only
approximately 1.6 percent to 4 percent
of the grain elevators potentially subject
to subpart DD. We first evaluated the
test reports to determine whether
sufficient information existed to
propose revisions to the PM emission
limit. The 15 grain elevators who
submitted test reports for PM emissions
controlled with fabric filters submitted
those reports for the following affected
facilities: (1) 7 railcar unloading
stations; (2) 4 truck unloading stations;
(3) 3 grain handling operations; and (4)
2 barge unloading stations. The survey
results indicated that a typical grain
elevator has on average 2 truck
unloading stations, 4 grain handling
operations, 1 barge unloading station,
and 1 railcar unloading station.
Information provided in the survey
responses also indicated that
approximately 75 percent of railcar
unloading stations, truck unloading
stations, barge unloading stations, and
grain handling operations are subject to
subpart DD. Applying the typical counts
to the estimated range of grain elevators
that could be subject to subpart DD, and
accounting for the fraction that could be
subject to subpart DD, the number of
affected facilities potentially subject to
subpart DD is between 2,200 and 6,200.
Comparing these numbers to the
number of tests reports collected, we
estimated that the facilities submitting
PM emission test reports account for
only approximately 0.3 percent to 0.7
percent of the population of railcar
unloading stations, truck unloading
stations, grain handling operations, and
barge unloading stations at grain
elevators that could be subject to
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subpart DD. Additionally, the test
reports do not include any tests
conducted at barge/ship loading
stations, railcar loading stations, or
truck loading stations.
We further evaluated the PM emission
levels from the available test reports,
measured as an average of three test
runs, which ranged from 0.01 to 0.00002
gr/dscf. It appears the wide variation in
PM emissions is due to the different
affected facilities that were tested, other
operational considerations (i.e., speed of
the process) and grain characteristics.
EPA had previously concluded that the
amount of dust emitted during
processing of grain in the various
affected facilities depends on the type of
grain being handled, the quality of the
grain, and the moisture content of the
grain.1 The emission test information
gathered for the 1978 subpart DD
proposal 2 indicates that the type of
grain processed affects the PM
emissions, with one to two orders of
magnitude difference in PM emissions
between affected facilities processing
soybeans and corn (higher emissions)
than those processing wheat and milo.
The PM emission limit in the grain
elevator NSPS covers eight different
grains. However, it does not appear that
the emission tests for the 15 grain
elevators cover all the 8 grains. Many of
the test reports do not indicate the grain
type being processed during the test.
In considering the limited data and
the limitations of the data, we
concluded that the PM emission test
reports do not sufficiently characterize
the performance of fabric filters
controlling PM from the full range of
affected facilities subject to subpart DD.
Accordingly, we have determined that
there is insufficient available
information to support proposed
revisions to the PM emission limits. We
are therefore proposing to maintain the
PM limit at 0.01 gr/dscf.
We believe the limited number of test
reports submitted is due to the current
subpart DD only requiring one initial
emission test of an affected facility. As
discussed in Section V.C.1 of this
preamble, EPA believes that additional
testing is needed to ensure compliance
with the emission limit. We are
therefore proposing, in subpart DDa, to
require repeat testing of affected
facilities every five years. Not only will
these tests help the sources determine
compliance with the standards, they
will provide a more robust set of
information for when this rule is next
reviewed. We estimate that by the next
8 year review of subpart DDa, initial PM
emission tests may be conducted on as
many as 300 affected facilities and
repeat testing may be conducted on as
many as 120 affected facilities,
providing approximately 420 PM
emission tests to evaluate for
determining whether to revise the PM
limit. We are also proposing that the
emission tests be conducted while
processing the highest PM emitting
grains to establish PM emissions for all
operating scenarios that are expected to
occur. We are also proposing to require
records of the grain type processed
during the testing.
1 Compilation of Air Pollution Emission Factors.
Chapter 9.9.1 Grain Elevators and Processes.
2 1978 BID, Chapter 5.
3 Oil Suppression of Particulate Matter at Grain
Elevators. U.S. Environmental Protection Agency.
EPA–453/R–94–049. July 1994.
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b. Application of Mineral Oil
A few permits submitted with
responses to the CAA section 114
surveys indicate that some grain
elevators use mineral oil as a fugitive
dust suppression technique. Mineral oil
application is primarily used to reduce
the possibility of a grain elevator
explosion caused by dust.
The EPA has previously studied the
application of mineral oil at grain
elevators, noting that there were several
potential benefits, such as reduced dust
disposal cost, less grain weight loss, as
well as improved safety in the working
environment.3 However, compared to
currently used technology for
controlling process emissions, i.e.,
fabric filters, the study indicated that oil
application systems were not as
effective as fabric filters in reducing PM.
The EPA also concluded that the
emission tests conducted were
inadequate for the purpose of
determining emissions and developing
emission factors because they were pilot
studies or controlled tests. Therefore,
mineral oil application as a replacement
for existing controls has not been
demonstrated to be a feasible control
option. We do not have information on
the appropriateness or effectiveness of
using mineral oil in combination with
existing technologies, such as fabric
filters.
The subpart DD fugitive emission
standards require meeting a 0 percent
opacity limit for grain handling
operations and require opacities ranging
from 5 to 20 percent for loading and
unloading stations. We do not have
information on how mineral oil
application would affect the fugitive
opacity limits, e.g., whether the opacity
levels would decrease to 0 percent, stay
the same or result in another limit.
Additionally, portable grain handling
equipment, such as portable augers,
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portable conveyors and front-end
loaders are often used at grain elevators.
We do not have information on whether
mineral oil application is feasible or
would reduce emissions at facilities that
use portable grain loading equipment to
reduce fugitive emissions. The size and
design of these systems may affect both
their ability and the time necessary to
mix mineral oil thoroughly with grain to
be an effective dust suppression
technique.
The EPA mineral oil study also noted
that there are concerns regarding the
effect the oil has on grain quality, and
consequently, its price. The EPA study
indicates that mills and distilleries are
concerned about the long-term effects of
oil on grain. For some grains, the use of
mineral oil may be more problematic,
such as for wheat in the milling process.
In addition, grain exported to other
countries may be required to meet
hydrocarbon levels and grain not
meeting those levels may be considered
contaminated. For example, the
European Union’s code of practices
states that any detection of a level of
mineral oil above 300 mg/kg is
considered to be contaminated by
mineral oil. Therefore, mineral oil
application might not be economically
feasible for all grains and may result in
product quality and contamination
concerns.
EPA has only limited information on
the effectiveness and cost of mineral oil
application, and no test information. We
have concluded that mineral oil
application as a dust suppression
technique for limiting emissions from
fugitive sources has not been
demonstrated. Therefore, we are not
proposing a requirement to use mineral
oil. We are requesting additional
information on the effectiveness of
mineral oil in combination with existing
controls and when applied at fugitive
sources regulated by the NSPS,
particularly those associated with
portable grain handling equipment. We
are also soliciting information on the
capital and operating cost of mineral oil
application systems and any problems
in grain quality associated with using
mineral oil.
3. BSER Evaluation for New or
Significantly Changed Emission Sources
Our review of the survey responses
and presentations by representatives of
the grain elevator industry identified the
following three significant changes that
have occurred to grain elevators since
the last review of subpart DD in 1984:
• Use of new barge unloading
technologies (e.g., en-masse drag
conveyors).
• Use of wire screen column dryers.
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• Use of TSFs.
We evaluated each of the changes to
determine if they result in new emission
sources, and, if so, whether existing
subpart DD requirements represent
BSER. To assess BSER, we: (1) Identified
available control measures applicable to
each emission source; and (2) evaluated
these measures to determine emission
reductions achieved, associated costs,
nonair environmental impacts, energy
impacts and any limitations to their
application. The evaluation is presented
in sections V.A.3.a through V.A.3.c of
this preamble. The BSER analysis is
documented in the memorandum,
‘‘Evaluation of the Revisions to Grain
Elevator Emission Standards’’ in the
grain elevator docket at EPA–HQ–OAR–
2010–0706.
a. New Unloading Operation Emission
Sources at Barges—En-Masse Drag
Conveyors
Barge unloading stations are an
affected facility regulated by subpart
DD. Subpart DD standards for barge and
ship unloading were established for a
specific type of unloading mechanism,
referred to as either a marine leg or
bucket elevator. Under subpart DD,
process emissions caused by unloading
using a marine leg/bucket elevator must
be controlled by enclosing the marine
leg/bucket elevator from the top to the
bottom of the leg. Emissions must be
vented to a control device using a
ventilation flow rate of 40 ft3 per bushel
of grain unloaded for both the marine
leg/bucket elevator and receiving
hopper. Subpart DD also provides for an
equivalency determination in situations
where it is not possible to meet the
design standards. Since the EPA’s last
review of subpart DD, several new barge
unloading mechanisms have been
developed and used, at least one of
which does not utilize a bucket elevator
or marine leg, and, as such, cannot use
the design standards.
Some barge unloading stations
currently use en-masse drag conveyors,
which were not in use the last time we
reviewed subpart DD. En-masse drag
conveyors operate under a different
principle than bucket elevators or
marine legs. En-masse drag conveyors
are plug-flow drag conveyors that are
designed to operate vertically. The
conveyor uses paddles or flights
mounted on a chain to move grain. The
side of the conveyor where the grain is
being transferred is filled with grain.
This type of unloader is significantly
different than a bucket unloading leg
which has open space between each
bucket and can therefore be enclosed
and ventilated to a control device.
Therefore, dust aspiration to meet the
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design ventilation requirement of 40 ft3
per bushel of grain is not feasible for enmasse drag conveyors because there is
no headspace for air passage to the grain
inlet at the base of the conveyor.
Additionally, the normal mode of
operation is to bury the conveyor inlet
into the grain being unloaded, which
eliminates the need for dust aspiration
at this point. These types of unloaders
are becoming more common as they are
more efficient than the bucket
unloaders—both in the movement of
more grain in less time and also
requiring fewer personnel for the
operation. Particulate emissions are
controlled by the design of the unloader
(burying inlet in grain) without an addon emission control system. This newer
unloading system was developed for a
variety of reasons, including faster
unloading rates, higher capacity
unloading, cost savings and other sitespecific reasons.
Section 111 of the CAA makes an
allowance for the EPA to subcategorize
source categories based on differences
in size, type and class. An en-masse
drag conveyor is a different type of
barge unloading system than the marine
leg or bucket elevator due to the
differences in the unloading
mechanism. As such, en-masse drag
conveyors constitute a new subcategory
of barge unloading system. All
emissions from barge unloading using
an en-masse drag conveyor are fugitive
in nature because they cannot be
captured and ventilated to a control
device. Some barges have a small
opening where the en-masse drag
conveyor enters and those openings can
be covered around the en-masse loader,
thereby limiting fugitive emissions.
Other barges have a large opening where
a bulldozer is lowered into the barge to
move grain toward the unloader. This
type of application of the en-masse drag
conveyor does not allow openings to be
covered, due to safety requirements. No
other technologies or techniques have
been identified to control fugitive
emissions from barge unloading.
The EPA collected test results from
two one-hour method 9 tests for opacity
conducted at one en-masse system
(loading into the barges with larger
openings) to demonstrate equivalency
with the current standards, per the
requirements in 60.302(d)(3) of subpart
DD. Method 9 requires that opacity
readings be recorded to the nearest 5
percent at 15-second intervals. Opacity
is determined as an average of 24
consecutive observations, i.e., a set of
observations. The average opacity levels
during the highest set of observations of
each test were 8.75 and 9.79 percent.
Because method 9 opacity
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measurements are taken in increments
of 5 percent, a limit based on the
opacity tests must be rounded to the
nearest multiple of five. For the tests
reviewed, the resulting emission limit is
10 percent opacity. The EPA did not
receive any information regarding
whether there would be any cost
associated with meeting the limit (other
than testing and recordkeeping and
reporting), or receive any information
regarding whether there would be any
emission reductions. However, a
comparison between the opacity limit
calculated and the data collected from
the en-masse conveyor show that the 10
percent opacity limit can be met by
affected facilities using the en-masse
conveyor system to unload barges
without additional control, resulting in
no cost or emission impacts for meeting
the opacity limit. Additionally, we do
not expect there to be any non-air
quality health and environmental
impacts associated with the limit, nor
any changes in energy usage or
emissions of any other pollutant.
Based on our evaluation, we are
proposing a new subcategory for barge
unloading stations—barge unloading
stations with an en-masse drag
conveyor. Based on these results,
consistent with our obligations under
CAA section 111(b), we are proposing
that the 10 percent opacity limit
represents BSER for en-masse drag
conveyors used to unload grain from
barges. We are also proposing that such
systems be required to meet an opacity
limit of 10 percent at all times.
We expect that en-masse drag
conveyor systems that have a small
opening could achieve a lower level of
opacity if the opening was covered;
however, we do not have sufficient data
to establish a different opacity limit for
these systems. We do not have
information on the effectiveness of the
cover, costs of the cover, procedures for
using the cover or if there are
operational or health issues that may
occur if the opening is covered. We are
requesting additional information to
evaluate this control option.
Subpart DD contains provisions that
allow for alternative methods of control
for barge unloading stations instead of
meeting the requirements for unloading
legs. We are also proposing similar
provisions for subpart DDa. We are
proposing that affected barge unloading
stations not using an unloading leg or an
en-masse drag conveyor may use other
methods of emission control that are
demonstrated to the Administrator’s
satisfaction to reduce emissions of PM
to the same level or less than the
standards for barge unloaders using
marine legs or en-mass drag conveyors.
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The EPA requests comment on all
aspects of the BSER determination for
barge unloading using an en-masse drag
conveyor. We also request comment on
whether there are other types of barge
unloading systems that should be
considered for subcategorization. If so,
the EPA requests information on control
technologies that may be used on the
unloading system, costs, emission
reductions associated with the control
and emissions test information for them.
The EPA also requests information on
technologies or practices that may be
used to control emissions from barge
unloading using an en-masse conveyor
system and additional opacity tests
conducted at en-masse conveyor
systems.
b. New Wire Screen Column Dryers
Grain dryers are an affected facility
under subpart DD. The subpart DD
emission limits for dryers were
established for two types of grain dryers
used at grain elevators: rack dryers and
column dryers. Grain column dryers are
defined as equipment used for drying
the grain in which the grain flows by
gravity from the top of the dryer to the
bottom in one or more packed columns
between two perforated metal sheets.
Subpart DD requires that PM emissions
from grain dryers be reduced by meeting
an opacity limit of 0 percent if a column
dryer uses column plate perforations
exceeding 0.094 inches, or if a rack
dryer passes exhaust gases through a
screen filter coarser than 50 mesh.
In its review of the grain elevator
industry, the EPA found that an
additional type of column grain dryer
not addressed in subpart DD is now
being used. Most rice dryers currently
use column dryers with woven wire
mesh screens in place of, or in addition
to, perforated plates because perforated
plates damage the rice kernel, are less
efficient for rice drying and are not
durable. All the wire mesh column
dryers reported in response to the ICR
except one are used for drying rice. The
wire screens also allow for air transport
from the dryer while entrapping PM
from the rice. Information provided by
one company drying rice shows that of
the 126 dryers they operate, 115 are
column dryers; 115 of all the dryers
(column and rack) use a wire screen of
24 mesh size, and 9 use a 50 mesh size
for controlling PM emissions (50 mesh
is a smaller screen size than 24 mesh).
The 50 mesh screens are being replaced
over time because of maintenance and
plugging problems.
After an evaluation of the differences
in size, type and class of column dryers,
per CAA section 111, the EPA is
proposing that wire screen column
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dryers constitute a new subcategory of
grain dryers because they are a different
type of dryer to which subpart DD does
not apply.
Emissions from grain dryers are
fugitive in nature. It is not possible to
fully enclose grain dryers and vent PM
emissions to a control device because of
the large size of the dryer, the way that
PM is emitted (through the side walls of
the dryer rather than from a stack or
vent), and because the dryer needs
sufficient air flow to work properly and
an enclosure would restrict the airflow.
Therefore, there are no add-on controls
that can be applied to control PM
emissions from these dryers. The PM
emitted is a function of the size of the
openings on the dryer sidewalls. Larger
openings emit more PM. The current
industry practice is to use wire screens
of 24 mesh size to reduce the size of the
openings, resulting in reducing PM
emissions.
The BSER for rice dryers is to use a
wire screen size of 24 mesh, as it
reduces PM emissions and also allows
proper operation of the dryer. We
identified no regulatory options that are
more stringent and are technically
viable. Higher mesh sizes (e.g., 50, 100)
are available that would have smaller
openings, resulting in even more
emissions reductions. However,
information from one rice facility
indicates that the 50 mesh screens cause
plugging problems and choke the
airflow of the dryers and require
substantial maintenance to clean. The
EPA also determined, during the
development of subpart DD in 1978, that
the higher sizes, such as 100 mesh
screens, would restrict air flow and
result in more plugging of the openings
such that there would be an
unreasonable cost impact due to the
need to clean the screens frequently,
reduced drying performance and
additional energy requirements. Those
determinations are still true today.
The EPA collected opacity
information for four column dryers with
24 mesh wire screens for drying rice.
The opacity data for these dryers consist
of one run of 30 minutes of observation
for each dryer. The average opacities for
the four dryers ranged from 1.13 to 8.38
percent, with the average opacities for
the highest period of observation
ranging from 5 to 10 percent. After
rounding to the nearest increment of 5
percent, the corresponding opacity limit
based on the data from the four rice
dryers is 10 percent. Based on the
information collected, this level is
achievable by all wire screen column
dryers using 24 mesh.
Because this limit is achievable by the
wire screen column dryers that
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provided information, and these dryers
would be similar or the same as future
dryers constructed (i.e., wire screen
column dryers using 24 mesh), we
estimated there to be no cost or
emission impacts from meeting a 10
percent opacity limit (other than testing,
recordkeeping and reporting costs). The
addition of wire screen of 24 mesh to
column dryers is an equipment design
feature that reduces PM instead of a
separate add-on control device where
emissions are vented. The wire screens
would not generate secondary pollutant
emissions or result in increased energy
use. Therefore, the EPA estimated no
nonair quality health and environmental
impacts associated with the limit nor
any changes in energy usage or
emissions of any other pollutant.
Based on this evaluation, we are
proposing a new subcategory of wire
screen column dryers in subpart DDa
with an opacity limit of 10 percent for
this subcategory. Based on these results,
consistent with our obligations under
CAA section 111(b), we propose that an
opacity limit of 10 percent represents
BSER for wire screen column dryers and
are proposing standards for wire screen
column dryers in subpart DDa.
We have information from one
Method 9 test conducted during filling
and emptying operations for one wire
screen column dryer drying rice. The
average opacity for one run of 30
minutes was 15.6 percent, with the
average opacity for the highest period of
observation during the run at 28.75
percent. We are soliciting additional
emissions test information and
descriptions for emptying and filling
activities to fully understand this
process and set, if appropriate, a
standard of performance.
We request comment on all aspects of
the BSER analysis for wire screen
column dryers. We also request
additional emission test information for
this subcategory of grain dryer.
c. Temporary Storage Facilities
Subpart DD does not regulate grain
storage units (buildings, bins, silos).
Instead, subpart DD regulates each
affected facility (e.g., loading and
unloading stations, grain dryers, grain
handling operations) at any grain
terminal elevator or any grain storage
elevator. Under subpart DD, grain
terminal elevators and grain storage
elevators are defined in part by their
permanent grain storage capacity.
‘‘Grain terminal elevator’’ means any
grain elevator that has a permanent
storage capacity of more than 2.5
million bushels (excluding elevators
located at animal food manufacturers,
pet food manufacturers, cereal
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manufacturers, breweries and livestock
feedlots). ‘‘Grain storage elevator’’
means any grain elevator located at any
wheat flour mill, wet corn mill, dry corn
mill used for human consumption, rice
mill or soybean extraction plant that has
a permanent grain storage capacity of 1
million bushels.
Temporary storage facilities have been
used by the grain elevator industry since
the early 1990s. They are intended for
bulk storage of grain on a temporary
basis, i.e., they are intended to handle
intermittent surges and surpluses and
are not used necessarily every year.
Under the U.S. Warehouse Act, TSFs are
licensed and are defined by the
following criteria:
• Use of asphalt, concrete or other
approved base material.
• Use of rigid self-supporting
sidewalls.
• Use of aeration.
• Use of an acceptable covering (e.g.,
tarp).
In 2007, the EPA received a letter
from the National Grain and Feed
Association requesting clarification
about whether a TSF would constitute
‘‘permanent storage capacity’’ as defined
in subpart DD for the purpose of
determining applicability under subpart
DD. On November 21, 2007, the EPA
issued a letter indicating that TSFs
should be included in ‘‘permanent
storage capacity’’ when determining the
applicability of subpart DD. The EPA
conducted additional reviews of TSFs
and decided that changes to the
definition of ‘‘permanent storage
capacity’’ were more appropriately
made as part of this NSPS review.
Consequently, the EPA issued letters in
July 2014 to the National Grain and
Feed Association and the National
Oilseed Processors Association,
rescinding the November 21, 2007,
letter. These letters can be found at
Docket ID Number EPA–HQ–OAR–
2010–0706.
Information collected in responses to
surveys the EPA sent to grain elevators,
gathered at site visits, and at industry
meetings indicate that while grain
stored in TSFs is kept on a temporary
basis, the TSF structures are generally in
place on a long-term basis and not
dismantled, and may be used for
multiple crops. Considering the length
of time the structure is in place, the TSF
structure then serves the same purpose
as a permanent structure, even though
the materials of construction and storage
times are different. Therefore, we are
proposing that the definition of
‘‘permanent storage capacity’’ include
TSF capacity. However, we recognize
that emissions from TSFs are
significantly different than emissions
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from permanent structures due to the
differences in grain throughputs.
Therefore, we are also proposing a
methodology to prorate the TSF storage
capacity for the applicability
determination. Our discussion of this
methodology is provided in section V.B
of this preamble.
We also evaluated BSER for affected
facilities associated with TSFs.
Information from site visits and survey
responses indicate that only truck
unloading and loading stations and
grain handling operations are used at
TSFs. Based on the survey responses
and information provided by the
industry, we determined that there are
two types of grain handling and
loading/unloading operations associated
with TSFs: (1) Those associated with
portable grain handling and loading/
unloading equipment; and (2) those
associated with fixed grain handling
and loading/unloading equipment.
Portable grain handling/loading/
unloading equipment include (but are
not limited to) portable augers, portable
conveyors and front-end loaders that are
not fixed at any one spot and can be
moved around the site. These pieces of
equipment are typically not enclosed
due to potential fine dust explosion risk
and are therefore not vented to a control
device. This explosion risk, combined
with the portable nature of the
equipment and associated emissions
does not permit the capture and routing
of the emissions through a stack for
control. As such, their emissions are
fugitive in nature. The EPA does not
have any emission test information on
portable grain handling, unloading
stations and loading stations. We also
have identified no technically viable
emission control options for portable
equipment. We considered application
of mineral oil for dust suppression, but
determined in section A.2.b of this
preamble that application of mineral oil
was not an appropriate emission control
technique. Consequently, we propose to
determine that BSER for portable grain
handling, loading and unloading
equipment associated with TSFs is no
control. We request comment on our
proposed determination. We are also
soliciting emissions test data for these
sources, as well as information on the
types of emission controls that are
feasible and the cost of the controls.
Fixed grain handling and loading/
unloading equipment are constructed to
be stationary and directly connected to
the storage facilities for ease of
transferring grain. Fixed equipment can
also be enclosed and emissions can be
vented to a control device. Fixed
equipment at TSFs are similar to those
associated with permanent storage
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units. To control emissions from
affected facilities associated with TSFs,
we identified one regulatory option to
be equal to the subpart DD requirements
for affected facilities for permanent
storage units. These requirements
include: (1) Meeting a PM emission
limit of 0.023 g/dscm and an opacity
limit of 0 percent for process emissions;
and (2) meeting fugitive emission
standards of a 5 percent opacity limit for
truck unloading stations, and 0 percent
opacity for grain handling operations.
Loading operations from TSFs are
typically done with portable equipment,
which we propose the BSER to be no
control. No other regulatory options
were identified that are more stringent
than the subpart DD requirements. As
discussed in section A.2.b of this
preamble, we evaluated test information
submitted with the grain elevator survey
responses and determined that the
emission limit that has been
demonstrated to be achievable is the
same as the current subpart DD
standards. Controls used at grain
elevators are well-operated fabric filters
and no controls more effective than
fabric filters were identified.
We conducted a BSER analysis for
meeting the subpart DD requirements by
evaluating the costs and emission
reductions over a 5 year period to be
consistent with the economic impacts
analysis. We identified three scenarios
at grain elevators that would be affected
by adding TSFs: (1) A greenfield facility
that exceeds the subpart DDa
applicability criteria due to the capacity
of TSFs; (2) an existing facility that is
below the subpart DDa applicability
criteria, but then adds a TSF and
exceeds the criteria; and (3) an existing
facility already subject to subpart DD
(because it exceeds the subpart DD
applicability criteria) that then adds a
TSF. The additional costs associated
with these scenarios include a shed to
limit fugitives from unloading stations
to meet the applicable opacity standard,
and in certain situations, new fabric
filters to meet PM limits. In other
situations, the EPA concluded that PM
emissions from the affected facility
could be vented to an existing fabric
filter at the grain elevator. Emission
reductions were estimated based on
routing PM emissions from grain sent to
the TSF (and using truck unloading and
grain handling affected facilities) to a
fabric filter.
We estimated the capital costs to be
$1.09 million and the total annual cost
(including testing and monitoring costs)
to be $0.616 million. The emission
reductions were estimated to be 31 tons
of PM10 per year. Our analysis of BSER
is documented in the memorandum
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‘‘Evaluation of Revisions to Grain
Elevator Emission Standards.’’ We
determined that these costs and
emission reductions were reasonable
and BSER is compliant with the
proposed subpart DDa PM and opacity
limits for fixed equipment. We request
comment on our determination and
additional cost and emissions
information on these systems specific to
TSFs.
B. How did the EPA evaluate changes to
the methodology for determining
applicability of the grain elevator NSPS?
Information collected in responses to
surveys the EPA sent to grain elevators
shows that TSFs are intended for bulk
storage of grain on a temporary basis,
i.e., they are intended to handle
intermittent surges and surpluses and
are not used necessarily every year,
even though the structure may be in
place for several years. The survey
responses show that, on average, TSFs
have one turnover per year. Specifically,
they are filled one time in a year and
emptied once each year. Other types of
storage facilities (buildings, bins (not
including TSFs) and silos) have, on
average, nine turnovers a year, and
throughput a significantly higher
amount of grain in a year than TSFs.
The same amount of grain stored in
TSFs could be stored in smaller-sized
permanent storage facilities that are
turned over more frequently. Due to the
uncertainties in crop forecasts and
fluctuations in crop yields and
economics, TSFs are used rather than
constructing other types of structures
that are more costly and may not be
warranted in the future.
Emissions from affected facilities at
grain elevators are proportional to the
amount of grain throughput.
Consequently, affected facilities
associated with TSFs have significantly
less emissions than affected facilities
associated with other types of storage.
Based on the information collected in
the surveys and the EPA’s
understanding of the different uses
between TSFs and other types of storage
facilities, the EPA has concluded that
the capacity of TSFs, as an indicator of
emissions, is not a one-to-one
equivalency to the capacity of other
types of grain storage units. As a result,
the EPA analyzed the survey
information and developed a method for
calculating an adjusted TSF storage
capacity that would be equivalent to the
storage capacity of other types of grain
storage units (i.e., buildings, silos and
bins). This adjusted storage capacity for
TSFs would then be used to calculate
‘‘permanent storage capacity’’ by
summing the adjusted TSF capacity
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with the capacity for all other types of
structures.
For subpart DDa, the EPA is
proposing a method for determining the
adjusted TSF storage capacity for a
given grain elevator by: (1) Establishing
the ratio of total annual storage capacity
of all other types of storage facilities
(excluding TSFs) to the total grain
throughput for those storage facilities;
and (2) applying that ratio to the total
TSF capacity, thereby factoring down
the TSF capacity.
For example, consider a grain elevator
has 2,000,000 bushels of storage
capacity in silos and an average annual
throughput of 16,000,000 bushels
through the silos. The ratio of
permanent storage capacity to
throughput is 0.125. If a TSF is
constructed with a storage capacity of
1,000,000 bushels, the TSF capacity
would be multiplied by the 0.125 ratio
resulting in an equivalent permanent
capacity of 125,000 bushels. The total
permanent capacity of the grain elevator
would be 2,125,000 bushels.
The EPA is proposing that grain
elevators with new affected facilities use
this method to calculate ‘‘permanent
storage capacity’’ for determining
applicability of subpart DDa. The EPA is
proposing that, when historical
throughput data are available for all
storage facilities, grain elevators would
be required to use the historical data to
calculate a site-specific adjusted TSF
storage capacity, and use the following
equation to calculate ‘‘permanent
storage capacity:’’
Where:
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Tp = Maximum annual throughput of grain
for all buildings, bins (excluding TSFs)
and silos used to store grain (bushels per
year) over the previous 5 years.
Ct = Total storage capacity of all TSFs used
to store grain (bushels).
For situations where at least one grain
storage building, bin or silo did not exist
prior to the date that construction,
modification or reconstruction of the
affected facility commenced (i.e., the
grain elevator does not have historical
throughput data for the storage
facilities), the EPA is proposing that
grain elevators use a default factor to
calculate the adjusted TSF capacity. The
following equation would be used to
then calculate the ‘‘permanent storage
capacity’’:
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We request comment on this proposed
approach. Refer to the memorandum,
‘‘Determination of Permanent Storage
Capacity Equivalents for Temporary
Storage Facilities’’ in the grain elevator
docket at EPA–HQ–OAR–2010–0706 for
further details.
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C. How did the EPA evaluate the
compliance requirements in the grain
elevator NSPS?
In subpart DDa, we are proposing new
monitoring, reporting and
recordkeeping requirements and new
provisions for startup, shutdown and
malfunctions.
1. Testing and Monitoring Requirements
The EPA evaluated the monitoring
requirements currently required in
subpart DD to determine if they are
adequate for determining compliance.
Currently under subpart DD, grain
elevators are required to conduct an
initial PM and opacity performance test
but are not required to perform followon testing to demonstrate continuous
compliance. In light of our
understanding that equipment need to
be periodically maintained and checked
for operational performance to ensure
compliance with the emission
standards, the EPA concluded that
additional compliance requirements are
needed in the proposed subpart DDa
rule. In subpart DDa, the EPA is
proposing to require periodic
compliance testing for affected facilities.
We are proposing that PM performance
tests using EPA Method 5 or Method 17
be conducted every 60 months and
opacity tests using Method 9 be
conducted annually. We are proposing
that operators perform weekly visual
emissions checks on affected facilities
and maintain records of these checks,
including any corrective action taken as
a result of visible emissions. The
proposed requirements are expected to
ensure that emission control systems are
properly maintained over time, ensure
continuous compliance with standards
and improve data accessibility. For
fabric filter and baghouse control
devices, we are proposing that affected
facilities perform periodic visual
inspections of the inside of the
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baghouse or fabric filter at intervals of
6 months. Corrective action must be
taken if the baghouse is in need of repair
or replacement.
We are requesting comment on
whether to require bag leak detection
systems (BLDS) at affected facilities
controlled with fabric filters and
baghouses. Bag leak detectors are one
method that has been used in other
source categories for ensuring proper
performance of fabric filter and
baghouses. The EPA has estimated the
capital cost of BLDS to be $24,000 per
application. We are soliciting comments
on whether BLDS can be used for
affected facilities in this source
category, problems that may occur
specific to their use in this source
category and the reasonableness of the
cost for this source category.
2. Recordkeeping and Reporting
Requirements
In subpart DDa, we are proposing that
the following records be maintained:
• The total storage capacity (bushels)
for each building, bin (excluding TSFs)
and silo used to store grain.
• The storage capacity of each TSF.
• Records quantifying emissions over
the applicable standards for excess
emissions events.
• Results of 6 month baghouse and
fabric filter inspections, including any
corrective action.
• Weekly visual emissions checks
and any corrective action taken as a
result of positive visual emissions
checks.
• Results of annual opacity tests.
• The type of grain processed during
the performance test at the affected
facility.
In subpart DDa, we are proposing that
the following records be reported:
• Results of performance tests,
including Method 5, 17 and 9.
• Reports required to be submitted by
part 60 general provisions.
The storage capacities of the various
storage units are inputs to the
calculation of equivalent permanent
storage capacity, which is an input to
the calculation of equivalent permanent
storage capacity for TSFs. They are
necessary to verify compliance with the
applicability of the standard. Records
quantifying the emissions for excess
emission events provide the EPA
information on the magnitude of the
emissions release.
As discussed in section V.C.1 of this
preamble, we are proposing that grain
elevators conduct PM compliance
testing every 60 months and opacity
testing annually and conduct weekly
visual inspections of affected facilities.
We are proposing that the Method 5 (or
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Method 17) and the Method 9 test
results be reported to the EPA. Results
of the visual inspections are proposed to
be maintained on site. The type of grain
processed during performance tests
allows EPA to better characterize the
emissions measured.
Electronic Reporting Tool
Through this proposal, the EPA is
describing a process to increase the ease
and efficiency of performance test data
submittal and improve data
accessibility. Specifically, the EPA is
proposing that owners and operators of
grain elevators submit electronic copies
of required performance test reports to
the EPA’s WebFIRE database. Data will
be entered through an electronic
emissions test report structure called the
ERT. The ERT will generate an
electronic report which will be
submitted using the CEDRI. The
submitted report will be stored in both
EPA’s CDX and in the WebFIRE
database making access to data very
straightforward and easy. A description
of the ERT can be found at https://
www.epa.gov/ttn/chief/ert/
and CEDRI can be accessed through the
CDX Web site (www.epa.gov/cdx). A
description of the WebFIRE database is
available at: https://cfpub.epa.gov/
oarweb/index.cfm?action=fire.main.
The proposal to submit performance
test data electronically to the EPA
applies only to those performance tests
conducted using test methods that will
be supported by the ERT. The ERT
contains a specific electronic data entry
form for most of the commonly used
EPA reference methods. A listing of the
pollutants and test methods supported
by the ERT is available at: https://
www.epa.gov/ttn/chief/ert/.
We believe that industry will benefit
from this proposed approach to
electronic data submittal. The EPA
believes, through this approach,
industry will save time in the
performance test submittal process.
Additionally, the standardized format
that the ERT uses allows sources to
create a more complete test report
resulting in less time spent on data
backfilling if a source did not know
which data elements were required to be
submitted. Also through this proposal,
industry would only need to submit a
report once to meet the requirements of
the applicable subpart. This means that
the report would be accessible on the
WebFIRE database by any stakeholder
who requested a copy from the facility
resulting in a time saving for industry.
This also benefits industry by cutting
back on recordkeeping costs as the
performance test reports that are
submitted to the EPA using CEDRI are
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Where:
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Ct = Total storage capacity of all TSFs used
to store grain (bushels).
0.34 = Default ratio of permanent grain
storage capacity to annual throughput
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no longer required to be kept on-site.
Thus, staff time needed to coordinate
these records would be reduced.
Another benefit to industry is that
since the EPA will already have
performance test data in hand, fewer or
less substantial data collection requests
in conjunction with prospective
required technology reviews will be
needed. This would result in a decrease
in staff time needed to respond to data
collection requests.
State, local and tribal agencies will
also benefit from more streamlined and
accurate review of electronic data
submitted to them. For example, the
ERT would allow for an electronic
review process rather than a manual
data assessment; thus making review
and evaluation of the source-provided
data and calculations easier and more
efficient. In addition, the public stands
to benefit from electronic reporting of
emissions data because the electronic
data will be easier for the public to
access and it will be available shortly
after it is submitted in the system. For
example, the WebFIRE database is easily
accessible and provides a user friendly
interface for any stakeholder to find and
review any report submitted.
One major shared advantage of the
proposed submittal of performance test
data through the ERT is a standardized
method to compile and store much of
the documentation required to be
reported by this rule. The ERT clearly
states what testing information would
be required by the test method and has
the ability to house additional data
elements required by a delegated
authority. Another important proposed
benefit of submitting these data to the
EPA at the time the source test is
conducted is that it should substantially
reduce the effort involved in data
collection activities in the future.
Having these data allows the EPA to
develop improved emission factors,
make fewer information requests and
promulgate better regulations.
In addition, the EPA must have
performance test data to conduct
effective reviews of CAA sections 112
and 129 standards, as well as for many
other purposes including compliance
determinations, emission factor
development and annual emission rate
determinations. In conducting these
required reviews, the EPA has found it
ineffective and time consuming, not
only for us, but also for regulatory
agencies and source owners and
operators, to locate, collect and submit
performance test data because of varied
locations for data storage and varied
data storage methods. In recent years,
however, stack testing firms have
typically collected performance test data
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in electronic format, making it possible
to move to an electronic data submittal
system that would increase the ease and
efficiency of data submittal and improve
data accessibility.
A common complaint heard from
industry and regulators is that emission
factors are outdated or not
representative of a particular source
category. With timely receipt and
incorporation of data from performance
tests, the EPA would be able to ensure
that emission factors, when updated,
represent the most current range of
operational practices. Finally, another
benefit of the proposed data submittal to
WebFIRE electronically is that these
data would greatly improve the overall
quality of existing and new emissions
factors by supplementing the pool of
emissions test data for establishing
emissions factors
In summary, in addition to supporting
regulation development, control strategy
development and other air pollution
control activities, having an electronic
database populated with performance
test data would save industry, state,
local, tribal agencies and the EPA
significant time, money and effort while
also improving the quality of emission
inventories and, as a result, air quality
regulations.
3. Startup, Shutdown and Malfunction
Provisions
The general provisions in 40 CFR part
60 provide that emissions in excess of
the level of the applicable emissions
limit during periods of SSM shall not be
considered a violation of the applicable
emission limit unless otherwise
specified in the applicable standard (see
40 CFR 60.8(c)). In its 2008 decision in
Sierra Club v. EPA, 551 F.3d 1019 (D.C.
Cir. 2008), 130 S. Ct. 1735 (U.S. 2010),
the U.S. Court of Appeals for the District
of Columbia Circuit vacated portions of
two provisions in the EPA’s CAA
section 112 regulations governing the
emissions of HAP during periods of
SSM. Specifically, the Court vacated the
SSM exemption contained in 40 CFR
63.6(f)(1) and 40 CFR 63.6(h)(1), holding
that under section 302(k) of the CAA,
emissions standards or limitations must
be continuous in nature and that the
SSM exemption violates the CAA’s
requirement that some section 112
standards apply continuously. We are
proposing the elimination of the SSM
exemption in this rule. Consistent with
Sierra Club v. EPA, the EPA is
proposing standards in this rule that
apply at all times, including periods of
startup or shutdown. The EPA has
attempted to ensure that the provisions
we are proposing to eliminate are
inappropriate, unnecessary or
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redundant in the absence of the SSM
exemption. We are specifically seeking
comment on whether we have
successfully done so.
a. Periods of Startup and Shutdown
In proposing the standards in this
rule, the EPA has taken into account
startup and shutdown periods and does
not have any information that indicates
that emissions during startup and
shutdown are different from emissions
during steady-state operation; therefore,
the EPA proposes to apply the proposed
standards during all periods of
operation.
If you believe that the EPA’s
conclusion is incorrect or that the EPA
has failed to consider any relevant
information on this point, we encourage
you to submit comments, including test
data during periods of startup and
shutdown. In particular, we note that
the general provisions in part 60 require
facilities to keep records of the
occurrence and duration of any SSM (40
CFR 60.7(b)) and either report to the
EPA any period of excess emissions that
occurs during periods of SSM (40 CFR
60.7(c)(2)) or report that no excess
emissions occurred (40 CFR 60.7(c)(4)).
Thus, any comments that contend that
sources cannot meet the proposed
standard during startup and shutdown
periods should provide these data and
other specifics supporting their claim.
b. Periods of Malfunction
Periods of startup, normal operations
and shutdown are all predictable and
routine aspects of a source’s operations.
However, by contrast, malfunction is
defined as ‘‘any sudden, infrequent, and
not reasonably preventable failure of air
pollution control equipment, process
equipment, or a process to operate in a
normal or usual manner. Failures that
are caused in part by poor maintenance
or careless operation are not
malfunctions.’’ (40 CFR 60.2). The EPA
has determined that section 111 does
not require that emissions that occur
during periods of malfunction be
factored into development of CAA
section 111 standards. Nothing in CAA
section 111 or in case law requires that
the EPA anticipate and account for the
innumerable types of potential
malfunction events in setting emission
standards. CAA section 111 provides
that the EPA set standards of
performance which reflect the degree of
emission limitation achievable through
’’the application of the best system of
emission reduction’’ that the EPA
determines is adequately demonstrated.
A malfunction is a failure of the source
to perform in a ‘‘normal or usual
manner’’ and no statutory language
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compels EPA to consider such events in
setting standards based on the ‘‘best
system of emission reduction.’’ The
’’application of the best system of
emission reduction’’ is more
appropriately understood to include
operating units in such a way as to
avoid malfunctions.
Further, accounting for malfunctions
in setting emission standards would be
difficult, if not impossible, given the
myriad different types of malfunctions
that can occur across all sources in the
category and given the difficulties
associated with predicting or accounting
for the frequency, degree and duration
of various malfunctions that might
occur. As such, the performance of units
that are malfunctioning is not
‘‘reasonably’’ foreseeable. See, e.g.,
Sierra Club v. EPA, 167 F. 3d 658, 662
(D.C. Cir. 1999) (‘‘The EPA typically has
wide latitude in determining the extent
of data-gathering necessary to solve a
problem. We generally defer to an
agency’s decision to proceed on the
basis of imperfect scientific information,
rather than to ‘invest the resources to
conduct the perfect study.’’’). See also,
Weyerhaeuser v. Costle, 590 F.2d 1011,
1058 (D.C. Cir. 1978) (‘‘In the nature of
things, no general limit, individual
permit, or even any upset provision can
anticipate all upset situations. After a
certain point, the transgression of
regulatory limits caused by
‘uncontrollable acts of third parties,’
such as strikes, sabotage, operator
intoxication or insanity, and a variety of
other eventualities, must be a matter for
the administrative exercise of case-bycase enforcement discretion, not for
specification in advance by
regulation.’’). In addition, emissions
during a malfunction event can be
significantly higher than emissions at
any other time of source operation and
thus accounting for malfunctions could
lead to standards that are significantly
less stringent than levels that are
achieved by a well-performing nonmalfunctioning source. It is reasonable
to interpret section 111 to avoid such a
result. The EPA’s approach to
malfunctions is consistent with section
111 and is a reasonable interpretation of
the statute.
In the event that a source fails to
comply with the applicable CAA section
111 standards as a result of a
malfunction event, the EPA would
determine an appropriate response
based on, among other things, the good
faith efforts of the source to minimize
emissions during malfunction periods,
including preventative and corrective
actions, as well as root cause analyses
to ascertain and rectify excess
emissions. The EPA would also
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consider whether the source’s failure to
comply with the CAA section 111
standards was, in fact, ‘‘sudden,
infrequent, not reasonably preventable’’
and was not instead ‘‘caused in part by
poor maintenance or careless
operation.’’ 40 CFR 60.2 (definition of
malfunction).
Further, to the extent the EPA files an
enforcement action against a source for
violation of an emission standard, the
source can raise any and all defenses in
that enforcement action and the federal
district court will determine what, if
any, relief is appropriate. The same is
true for citizen enforcement actions.
Similarly, the presiding officer in an
administrative proceeding can consider
any defense raised and determine
whether administrative penalties are
appropriate.
In several prior rules, the EPA had
included an affirmative defense to civil
penalties for violations caused by
malfunctions in an effort to create a
system that incorporates some
flexibility, recognizing that there is a
tension, inherent in many types of air
regulation, between ensuring adequate
compliance and simultaneously
recognizing that despite the most
diligent of efforts, emission standards
may be violated under circumstances
entirely beyond the control of the
source. Although the EPA recognized
that its case-by-case enforcement
discretion provides flexibility in these
circumstances, it included the
affirmative defense language to provide
a more formalized approach and more
regulatory clarity. See Weyerhaeuser Co.
v. Costle, 590 F.2d 1011, 1057–58 (D.C.
Cir. 1978) (holding that an informal
case-by-case enforcement discretion
approach is adequate); but see Marathon
Oil Co. v. EPA, 564 F.2d 1253, 1272–73
(9th Cir. 1977) (requiring a more
formalized approach to consideration of
‘‘upsets beyond the control of the permit
holder.’’). Under the EPA’s regulatory
affirmative defense provisions, if a
source could demonstrate in a judicial
or administrative proceeding that it had
met the requirements of the affirmative
defense in the regulation, civil penalties
would not be assessed. Recently, the
United States Court of Appeals for the
District of Columbia Circuit vacated
such an affirmative defense in one of the
EPA’s Section 112(d) regulations. NRDC
v. EPA, No. 10–1371 (D.C. Cir. April 18,
2014) 2014 U.S. App. LEXIS 7281
(vacating affirmative defense provisions
in Section 112(d) rule establishing
emission standards for Portland cement
kilns). The court found that the EPA
lacked authority to establish an
affirmative defense for private civil suits
and held that under the CAA, the
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authority to determine civil penalty
amounts lies exclusively with the
courts, not the EPA. Specifically, the
Court found: ‘‘As the language of the
statute makes clear, the courts
determine, on a case-by-case basis,
whether civil penalties are
‘appropriate.’’’ See NRDC, 2014 U.S.
App. LEXIS 7281 at *21 (‘‘[U]nder this
statute, deciding whether penalties are
‘appropriate’ in a given private civil suit
is a job for the courts, not EPA.’’).4 In
light of NRDC, the EPA is not including
a regulatory affirmative defense
provision in this rulemaking. As
explained above, if a source is unable to
comply with emissions standards as a
result of a malfunction, the EPA may
use its case-by-case enforcement
discretion to provide flexibility, as
appropriate. Further, as the DC Circuit
recognized, in an EPA or citizen
enforcement action, the court has the
discretion to consider any defense
raised and determine whether penalties
are appropriate. Cf. NRDC, 2014 U.S.
App. LEXIS 7281 at *24. (arguments
that violations were caused by
unavoidable technology failure can be
made to the courts in future civil cases
when the issue arises). The same logic
applies to EPA administrative
enforcement actions.
D. How did the EPA evaluate additional
changes for the grain elevator NSPS?
As summarized in section IV of this
preamble, we are proposing revisions to
three provisions in subpart DD to clarify
applicability of the standards for grain
elevators under subpart DD. These
proposed revisions are intended to keep
the meaning and intent of the
definitions as originally promulgated
while making the definitions applicable
to the changes in the industry since the
last review of subpart DD in 1984. The
same clarifications are being proposed
in subpart DDa. These proposed
clarifications would apply to all affected
facilities that commence construction,
modification or reconstruction after
August 3, 1978 (i.e., all affected
facilities under both subpart DD and
proposed subpart DDa). None of these
clarifications would increase the cost of
the rule or result in a change in PM
emissions.
1. Revision to the Definition of ‘‘Grain
Unloading Station’’
We are proposing to revise the
definition of ‘‘grain unloading station’’
4 The court’s reasoning in NRDC focuses on civil
judicial actions. The Court noted that ‘‘EPA’s ability
to determine whether penalties should be assessed
for Clean Air Act violations extends only to
administrative penalties, not to civil penalties
imposed by a court.’’ Id.
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to clarify which components of the
unloading station are part of the affected
facility.
The background information
document (BID) (EP–450/2–77–001a) for
the original grain elevator NSPS does
not define each piece of equipment
included in the term ‘‘grain unloading
station’’. However, throughout the BID,
in the description of the grain elevator
emission sources and processes in
chapter 2, and in Figures 2–2 through 2–
4, and Figures 4–1 through 4–4, the
unloading process is described and
shown to terminate at a hopper. Grain
is then transported from the hopper via
a conveyor to a bucket elevator. Based
on the information in the BID, we
concluded that at the time the NSPS
was proposed and later finalized, the
standard practice of the grain elevator
industry was to have the hopper be the
ending piece of equipment at the truck,
rail, and barge/ship unloading stations.
We received information from the grain
elevator industry that since the last
review of subpart DD in 1984, some
grain unloading stations no longer use a
hopper as the end of the unloading
station, and instead use another storage
unit, or transfer grain directly onto the
grain conveyor. Industry white papers
that serve as the basis for this
conclusion can be found at Docket ID
Number EPA–HQ–OAR–2010–0706.
Because of these changes, we are
proposing to better define the outer
boundaries of a ‘‘grain unloading
station’’ where the termination point of
the unloading operation is not a hopper.
The NSPS and the BID also do not
specify the types of equipment included
in grain unloading stations, resulting in
the boundaries of the ‘‘unloading
station’’ affected facilities being unclear
to the regulated community. We
received input from the grain industry
on the types of equipment that are
included in the ‘‘grain unloading
station’’. Consequently, we are also
proposing to clarify in the definition all
the types of equipment involved in
unloading, up to the point that the grain
is transferred to either storage or to grain
handling operations. Industry white
papers that serve as the basis for this
conclusion can be found at Docket ID
Number EPA–HQ–OAR–2010–0706.
We are therefore proposing revisions
to the definition of ‘‘grain unloading
station’’ to clarify that a ‘‘grain
unloading station’’ encompasses the
portion of a grain elevator where the
grain is transferred from a truck, railcar,
barge or ship to a receiving hopper, or
to the grain handling equipment that
connects the unloading station to the
rest of the grain elevator. This definition
includes all of the equipment, support
structures and associated dust control
equipment and aspiration systems
required to operate or are otherwise
connected to the grain unloading
station. We are requesting comment on
our interpretation of the intent of the
original NSPS definition of ‘‘grain
unloading station’’ and our proposed
revisions to the definition.
2. Revision to Definition of ‘‘Grain
Loading Station’’
We are proposing to revise the
definition of ‘‘grain loading station’’ to
clarify all the types of equipment
involved in unloading, up to the point
that the grain is transferred to either
storage or to grain handling operations.
As discussed in section V.D.1 of this
preamble, the background information
document (BID) (EP–450/2–77–001a) for
the original grain elevator NSPS does
not define each piece of equipment
included in the term ‘‘grain loading
station’’. Because the NSPS and the BID
do not specify the types of equipment
included in grain unloading stations,
the boundaries of the ‘‘grain loading
station’’ affected facilities are unclear to
the regulated community. We also
received input from the grain industry
on the types of equipment that are
included in the ‘‘grain loading station’’.
Consequently, we are proposing to
clarify in the definition all the types of
equipment involved in loading. Industry
white papers that serve as the basis for
this conclusion can be found at Docket
ID Number EPA–HQ–OAR–2010–0706.
The proposed revision also maintains
consistency with the proposed revision
to the definition of ‘‘grain unloading
station’’. These changes are supported
by representatives of the grain elevator
industry in their white papers.
3. Revision to the Operating
Requirements for Barge and Ship
Unloading Stations
Current § 60.302(d)(1) requires that
the unloading leg be enclosed from the
top, including the receiving hopper, to
the center line of the bottom pulley.
However, not all barge and ship
unloading stations currently use a
hopper. More recently, new
technologies have been developed such
that a hopper is not required. We are
proposing to revise § 60.302(d)(1) to
clarify the provision for affected barge
and ship unloading stations for which
aspiration of the casing provides dust
control at the boot of the conveyor and
a receiving hopper is not used. The
proposed revision clarifies that, in such
cases, the unloading leg is required to be
enclosed from the top to the center line
of the bottom pulley and ventilation to
a control device is required to be
maintained on both sides of the leg.
VI. Summary of Cost, Environmental,
Energy and Economic Impacts of These
Proposed Standards
In setting standards, the CAA requires
us to consider emission control
approaches, taking into account the
estimated costs and emission
reductions, as well as impacts on
energy, solid waste and other effects.
A. What are the impacts for subpart
DDa?
The cost, environmental and
economic impacts presented in this
section are expressed as incremental
differences between the impacts of grain
elevators complying with the proposed
subpart DDa and the current NSPS
requirements of subpart DD. The
impacts are presented for future grain
elevators that are projected to
commence construction, reconstruction
or modification over the 5 years
following proposal of the revised NSPS.
Costs are based on 2012 dollars. The
analyses and the documents referenced
below can be found at Docket ID
Number EPA–HQ–OAR–2010–0706.
In order to estimate the incremental
impacts of the proposed subpart DDa
requirements, we first identified the
potential scenarios where grain
elevators may be constructed,
reconstructed or modified and subject to
subpart DDa. Seven different scenarios
were identified and are summarized in
Table 4 of this preamble.
TABLE 4—SCENARIOS USED TO ESTIMATE IMPACTS OF PROPOSED SUBPART DDA REQUIREMENTS
Scenario
1a .................................
1b .................................
2 ...................................
3 ...................................
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Description
Greenfield grain elevator with capacity (based on permanent storage only) > DDa cutoffs.
Greenfield grain elevator with capacity > DDa cutoffs due to TSF capacity.
Existing grain elevator with capacity < DDa cutoffs, but then adds TSF capacity and exceeds cutoffs.
Existing grain elevator with capacity < DDa cutoffs, but then adds permanent storage capacity and exceeds cutoffs.
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TABLE 4—SCENARIOS USED TO ESTIMATE IMPACTS OF PROPOSED SUBPART DDA REQUIREMENTS—Continued
Scenario
4 ...................................
5 ...................................
6 ...................................
Description
Existing grain elevator with capacity > DDa cutoffs, but then adds TSF capacity.
Existing grain elevator with capacity > DDa cutoffs, but then adds permanent storage capacity.
Existing grain elevator with capacity > DDa cutoffs, and does modification or reconstruction.
We then estimated the number of
potential grain elevators, and affected
facilities within grain elevators, that
would incur an incremental cost and
emission reduction for each scenario.
The estimates were developed by
reviewing responses to a 2009 CAA
section 114 survey and extrapolating the
results over the next 5 years. For further
detail on the methodology of these
calculations, see the memorandum,
‘‘Impacts of Grain Elevator NSPS
Review,’’ at Docket ID Number EPA–
HQ–OAR–2010–0706.
The requirements in the proposed
subpart DDa that differ from subpart DD
are a revised applicability determination
by incorporating TSF capacity, control
of affected facilities associated with
TSFs, annual opacity testing for affected
facilities, PM testing every 60 months
for affected facilities, weekly visual
inspection of affected facilities,
inspection of fabric filters and
baghouses every 6 months, new
recordkeeping requirements, reporting
in ERT, a new opacity limit for wire
screen column dryers and a new opacity
limit for barge unloading stations using
an en-masse conveyor system. These
proposed requirements would be
incurred only by affected facilities that
commence construction, modification or
reconstruction after July 9, 2014 (i.e.,
they would not be incurred by all
affected facilities at a grain elevator).
Barge unloading stations using an enmasse conveyor and wire screen column
dryers are not expected to incur a cost
or emissions impact because data
collected indicate that sources should
be able to meet the standards without
additional controls. Particulate matter
testing every 5 years for affected
facilities would occur outside of the 5year period analyzed because most
construction, reconstructions and
modifications for grain elevators are
expected to occur after the first or
second year following promulgation.
The cost for Method 5 PM testing is
contained in the memorandum,
‘‘Impacts of Grain Elevator NSPS
Review,’’ at Docket ID Number EPA–
HQ–OAR–2010–0706. Based on
information provided in the responses
to the 2009 survey, including permits,
we believe grain elevators are already
keeping the records that we are
proposing in subpart DDa, except for
those associated with visual monitoring.
The only incremental cost estimated for
subpart DDa would be for control of
affected facilities using fixed equipment
associated with TSFs, initial testing at
affected facilities that meet the subpart
DDa applicability criteria due to TSFs,
annual opacity testing at affected
facilities, weekly visual inspection of
affected facilities, inspection of fabric
filters for affected facilities every 6
months, the recordkeeping associated
with visual monitoring and inspections,
and reporting in ERT. Eighty-eight grain
elevators, with 221 affected facilities,
are projected to be subject to the NSPS
in the next 5 years, in one of the seven
scenarios, because they will construct,
reconstruct or modify an affected
facility. Table 5 summarizes the costs of
this action. Capital costs are estimated
to be $1,087,000 to comply with the
proposed requirements. We estimate
that the total increase in nationwide
annual costs for the 221 affected
facilities at 88 grain elevators is
$1,116,000 for the number of affected
facilities that are projected to be
constructed, reconstructed or modified
by the fifth year following promulgation
of subpart DDa. Recordkeeping and
reporting annual costs are estimated to
be $83,000 for the number of affected
facilities that are projected to be
constructed, reconstructed or modified
by the third year following
promulgation of subpart DDa. We
determined that the projected
compliance costs are reasonable as they
are not expected to result in a
significant market impact, whether they
are passed on to the purchaser or
absorbed by firms. Incremental
emissions reductions of PM10 for
complying with subpart DDa using a
fabric filter are estimated to be 31 tpy.
TABLE 5—SUMMARY OF THE COSTS OF THE PROPOSED SUBPART DDa FOR NEW, MODIFIED AND RECONSTRUCTED
AFFECTED SOURCES AT GRAIN ELEVATORS
Capital cost
($ thousand)
Requirement
Annual Cost a
($ thousand/yr)
PM control ....................................................................................................................................................
Emissions testing and monitoring/reporting and recordkeeping .................................................................
1,087
0
350
849
Total nationwide ...................................................................................................................................
1,087
1,116
a For
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the third year after promulgation, the associated annual cost (including annualized PM control cost and emissions testing and monitoring)
is $757,000.
In addition to reducing emissions,
there are several benefits to today’s
proposed rulemakings. The proposed
subpart DDa rule eliminates the startup,
shutdown and malfunction exemption.
The removal of SSM is meant to ensure
continuous compliance with the final
standards. The rule establishes a 5-year
repeat emissions testing requirement.
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The repeat testing requirement was
established in a way that minimizes the
costs for testing and reporting while still
providing the source and the agency the
necessary information needed to ensure
continuous compliance with the final
standards. We are adding a requirement
for electronic submittal of performance
test data. This simplifies submittal for
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affected sources and having such data
publicly available enhances
transparency and accountability through
better public access to pollution control
data.
B. What are the secondary impacts for
subpart DDa?
We do not expect any indirect or
secondary incremental air quality
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impacts associated with subpart DDa.
No additional control technologies or
operating standards are necessary to
comply with the new proposed
standards for barge unloading stations
and wire screen column dryers.
Additional solid waste impacts due to
controlling total PM emissions from
grain sent to TSFs are estimated to be
116 tpy. Energy impacts are estimated to
be negligible.
C. What are the economic impacts for
subpart DDa?
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The total costs associated with
subpart DDa’s proposed control
requirements and testing and
monitoring requirements are $1.11
million over five years for the total
number of affected facilities that are
projected to be constructed,
reconstructed or modified by the fifth
year following promulgation.
The EPA also performed a screening
analysis for impacts on all affected
small entities by comparing compliance
costs to average sales revenues. This is
known as the cost-to-revenue or cost-tosales ratio, or the ‘‘sales test.’’ The use
of a ‘‘sales test’’ for estimating small
business impacts for a rulemaking is
consistent with guidance offered by the
EPA on compliance with SBREFA and
is consistent with guidance published
by the U.S. SBA’s Office of Advocacy
that suggests that cost as a percentage of
total revenues is a metric for evaluating
cost increases on small entities in
relation to increases on large entities.
These projected compliance costs are
reasonable as they are not expected to
result in a significant market impact,
whether they are passed on to the
purchaser or absorbed by firms. The
small business screening analysis
results indicated that approximately
98% of all affected small facilities
would have a cost-to-sales ratio of less
than 1%, with a minimum cost-to-sales
ratio of less than 1%, an average costto-sales ratio of less than 1%, and a
maximum cost-to-sales ratio of 2.4%.
The small business screening analysis
results indicated that the NSPS for
Grain Elevators will not have a
significant economic impact on a
substantial number of small entities
(SISNOSE).
VII. Other Considerations
Executive Order 13563: Improving
Regulation and Regulatory Review
Executive Order 13563, Improving
Regulation and Regulatory Review,
requires federal agencies to ‘‘. . . review
existing rules that may be outmoded,
ineffective, insufficient, or excessively
burdensome, and to modify, streamline,
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expand, or repeal them in accordance
with what has been learned.’’ A
coalition representing the grain elevator
industry submitted a petition for the
EPA to review and repeal the existing
NSPS for grain elevators in 40 CFR part
60, subpart DD. In considering the
directives of the Executive Order and
the coalition petition, the EPA
conducted several analyses aimed at
determining the effectiveness of the
existing subpart DD standard,
determining whether the standard is
still relevant and determining whether
the standard was excessively
burdensome. The analyses and results
are discussed in detail in the
memorandum, ‘‘Evaluation of Grain
Elevator Emission Standards in
Response to Executive Order 13563,’’ in
the grain elevator docket at EPA–HQ–
OAR–2010–0706.
To address questions on the necessity
and value of the standard, the
effectiveness of subpart DD in reducing
emissions was evaluated. Since the
development of the original standard,
the EPA has focused PM emission
control programs on limiting direct
emissions of PM10 (the smaller size
fraction of PM) rather than total PM. As
a result, we analyzed the effectiveness
of the NSPS for controlling PM10. Three
scenarios were assessed: (1) Emissions
assuming no regulatory requirements
(no subpart DD or state rules), (2)
emissions assuming compliance with
the subpart DD standards, and (3)
emissions assuming no subpart DD, but
with state rules in place. A comparison
between these three scenarios indicates
how effective subpart DD is in
controlling PM10 and whether repeal of
the standard could potentially effect
emissions, considering state rules for
PM that are in place.
As a first step in the analyses, we
assembled a database of grain elevators
from: (1) Responses to a 2009 CAA
section 114 survey sent to grain
elevators; (2) information gathered from
state regulatory agencies and (3)
information gathered from the EPA’s
OECA and from the USDA FSA.
Uncontrolled PM10 emissions from this
population of grain elevators in the
dataset were estimated using emission
factors from EPA’s AP–42 document.
Emissions after compliance with
subpart DD were estimated based on the
typical controls that facilities use to
comply with the standards. In order to
assess whether state requirements are as
protective as subpart DD, we reviewed
the PM10 control requirements in the 12
states with the highest grain storage.
These states are Iowa, Illinois,
Minnesota, Nebraska, Kansas, Indiana,
North Dakota, South Dakota, Ohio,
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Texas, Missouri and Wisconsin. The
review evaluated how each state
implemented subpart DD and also
evaluated state regulations controlling
PM10, opacity and fugitive dust
emissions that may be applicable to
grain elevators.
We concluded that the NSPS achieves
a substantial emission reduction
(approximately 85,000 tpy) of PM10 in
these states and significantly less
emission reduction would be achieved
if subpart DD were to be rescinded and
only the requirements in state rules
were applicable. The state PM rules that
are applicable to grain elevators are in
most cases significantly less stringent
than the NSPS.
To assess whether the subpart DD
standards are still relevant, grain
production projections from the USDA
were evaluated to determine if crop
production is expected to increase in
the future and consequently increase the
demand for grain storage. The USDA
provides crop production projections
from 2010 through 2021 for corn,
sorghum, barley, oats, wheat, rice and
soybeans, which are the typical crops
stored at grain elevators. A review of the
projections shows that production of
wheat, sorghum, oats and rice is
expected to remain unchanged or
decrease between 2010 and 2015, and
between 2010 and 2021. The production
of corn, soybeans and barley is expected
to increase during these time intervals.
The increases in corn, soybeans and
barley offset the decreases in the other
grains and total production of grain is
projected to increase by 1.46 billion
bushels (7.7 percent) by 2015, and 2.79
billion bushels (14.8 percent) by 2021.
A review also was conducted to
identify if any new grain elevators have
been constructed in the last 5 years. We
found that over the past 5 years three
grain elevators with capacities greater
than 2.5 million bushels have been
constructed and would likely be subject
to subpart DD. The results of the search
show that grain elevators are continuing
to be constructed. Based on the pattern
of information in the survey responses
and other information collection, some
are replacements for facilities that were
shutdown and some are completely new
facilities. Given the high crop
production, excepting the 2012 drought
year, many units added capacity, either
as permanent or temporary storage, if a
new greenfield facility was not
constructed. It is not known how many
of these grain elevators with increased
capacity are subject to subpart DD.
While it cannot be determined how
many new grain elevators will be
constructed in the future, or whether
capacities at existing facilities will be
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increased, the projections show that
there will be a significant increase in the
demand for grain storage. Based on
activities of the previous years in the
grain elevator industry, a combination
of new elevators and increased
capacities for existing elevators is
expected.
To address whether the standard is
overly burdensome, we reviewed the
cost of complying with the subpart DD
standards. Grain elevators meet the PM
emission limit using fabric filters. Fabric
filters are also routinely used for dust
control for health and safety reasons
(e.g., prevent fugitive dust explosions);
fabric filters that are used for health and
safety will meet the NSPS requirements.
Therefore, for most affected facilities,
the specific cost that is associated only
with subpart DD is compliance testing.
Subpart DD requires only an initial
Method 5 test for PM and an initial
Method 9 test for opacity. The cost for
each initial Method 5 PM test is $12,200
and each initial Method 9 opacity test
is $2,500. Annualized over 5 years, the
costs are $3,000 and $610, respectively.
There are no monitoring, recordkeeping
and reporting requirements for subpart
DD. Based on an evaluation of these
one-time costs associated with
compliance, the EPA concluded that the
subpart DD standards do not impose an
excessive burden on grain elevators.
Based on the results of these analyses,
the EPA concluded that the subpart DD
standards are still effective, relevant and
not excessively burdensome.
VIII. Statutory and Executive Order
Reviews
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A. Executive Order 12866: Regulatory
Planning and Review and Executive
Order 13563: Improving Regulation and
Regulatory Review
This action is not a ‘‘significant
regulatory action’’ under the terms of
Executive Order 12866 (58 FR 51735,
October 4, 1993) and is therefore not
subject to review under the Executive
Orders 12866 and 13563 (76 FR 3821,
January 21, 2001).
As described in section VII., the EPA
prepared an analysis of the potential
costs and benefits associated with this
action. This analysis is contained in the
memorandum, ‘‘Estimated Impacts of
Revisions to the Grain Elevator NSPS’’
in the grain elevator docket at EPA–HQ–
OAR–2010–0706. The total cost of the
revisions to the NSPS is estimated to be
$0.22 million per year over the next 5
years, totaling $1.11 million in the fifth
year.
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B. Paperwork Reduction Act
The information collection
requirements in this proposed rule have
been submitted for approval to the OMB
under the Paperwork Reduction Act, 44
U.S.C. 3501, et seq. The ICR document
prepared by the EPA has been assigned
the EPA ICR number 2497.01 for 40 CFR
part 60, subpart DDa.
The operating, monitoring and
recordkeeping requirements in this
proposed rule would be based on the
information collection requirements in
CAA section 111, the EPA’s NSPS
General Provisions (40 CFR part 60,
subpart A), as well as state operating
permits. The recordkeeping and
reporting requirements in the General
Provisions are mandatory pursuant to
CAA section 114 (42 U.S.C. 7414). All
information other than emission data
submitted to the EPA pursuant to the
information collection requirements for
which a claim of confidentiality is made
is treated according to CAA section
114(c) and the EPA’s implementing
regulations at 40 CFR part 2, subpart B.
The annual average burden associated
with the proposed revisions to NSPS
requirements is estimated to involve
3,300 labor hours at $110,000 and
operation and maintenance costs of
$265,000. The annual average burden
for the designated administrator is
estimated to involve 810 labor hours at
$54,000. Burden is defined at 5 CFR
1320.3(b).
An agency may not conduct or
sponsor, and a person is not required to
respond to, a collection of information
unless it displays a currently valid OMB
control number. The OMB control
numbers for the EPA’s regulations in 40
CFR are listed in 40 CFR part 9.
To comment on the agency’s need for
this information, the accuracy of the
provided burden estimates and any
suggested methods for minimizing
respondent burden, the EPA has
established a public docket for this rule,
which includes this ICR, under Docket
ID Number EPA–HQ–OAR–2010–0706.
Submit any comments related to the ICR
to the EPA and OMB. See the ADDRESSES
section at the beginning of this notice
for where to submit comments to the
EPA. Send comments to OMB at the
Office of Information and Regulatory
Affairs, Office of Management and
Budget, 725 17th Street NW.,
Washington, DC 20503, Attention: Desk
Office for EPA. Since OMB is required
to make a decision concerning the ICR
between 30 and 60 days after July 9,
2014, a comment to OMB is best assured
of having its full effect if OMB receives
it by August 8, 2014. The final rule will
respond to any OMB or public
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39261
comments on the information collection
requirements contained in this proposal.
C. Regulatory Flexibility Act
The RFA generally requires an agency
to prepare a regulatory flexibility
analysis of any rule subject to notice
and comment rulemaking requirements
under the Administrative Procedures
Act or any other statute unless the
agency certifies that the proposed rule
will not have a significant economic
impact on a substantial number of small
entities. Small entities include small
businesses, small organizations and
small government jurisdictions.
For purposes of assessing the impacts
of today’s proposed rule on small
entities, small entity is defined as: (1) A
small business as defined by the SBA’s
regulations at 13 CFR 121.201; (2) a
small governmental jurisdiction that is a
government of a city, county, town,
school district or special district with a
population of less than 50,000; and (3)
a small organization that is any not-forprofit enterprise which is independently
owned and operated and is not
dominant in its field.
After considering the economic
impacts of today’s proposed rule on
small entities, I certify that this action
will not have a significant economic
impact on a substantial number of small
entities. The small entities directly
regulated by this proposed rule are
small grain elevators, cooperative
elevators and small grain processors. We
have determined that 2 percent of all
affected small grain elevators, or two
facilities, may experience an impact in
total revenue of 2 percent.
Although the proposed rule will not
have a significant economic impact on
a substantial number of small entities,
the EPA nonetheless has tried to reduce
the impact of this rule on small entities
by minimizing testing, monitoring,
recordkeeping and reporting
requirements to be only those essential
to assuring compliance with the NSPS.
D. Unfunded Mandates Reform Act
This rule does not contain a federal
mandate that may result in expenditures
of $100 million or more for state, local
and tribal governments, in the aggregate,
or the private sector in any 1 year.
While there are hundreds of grain
elevators in use, the new testing,
monitoring, recordkeeping and
reporting requirements of subpart DDa
apply only to new affected facilities that
commence construction on or after July
9, 2014. The EPA projects that only 88
grain elevators will be subject to the
new requirements, and based on the
burden estimate, believes the costs to be
minimal. Thus, this rule is not subject
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to the requirements of sections 202 or
205 of UMRA.
This rule is also not subject to the
requirements of section 203 of UMRA
because it contains no regulatory
requirements that might significantly or
uniquely affect small governments.
Grain elevators are not operated by
government entities.
H. Executive Order 13211: Actions That
Significantly Affect Energy Supply,
Distribution or Use
E. Executive Order 13132: Federalism
I. National Technology Transfer and
Advancement Act
This action does not have federalism
implications. It will not have substantial
direct effects on the states, on the
relationship between the national
government and the states, or on the
distribution of power and
responsibilities among the various
levels of government, as specified in
Executive Order 13132. This proposed
action will not impose substantial direct
compliance costs on state or local
governments and will not preempt state
law. Thus, Executive Order 13132 does
not apply to this action.
In the spirit of Executive Order 13132,
and consistent with EPA policy to
promote communications between the
EPA and state and local governments,
the EPA specifically solicits comment
on this proposed action from state and
local officials.
F. Executive Order 13175: Consultation
and Coordination With Indian Tribal
Governments
This action does not have tribal
implications, as specified in Executive
Order 13175, (65 FR 67249; November
9, 2000). The EPA is not aware of any
grain elevators owned or operated by
Indian tribal governments. Thus,
Executive Order 13175 does not apply
to this action.
The EPA specifically solicits
comments from tribal officials on any
potential impact on tribes from this
proposed action.
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G. Executive Order 13045: Protection of
Children From Environmental Health
Risks and Safety Risks
The EPA interprets Executive Order
13045 (62 F.R. 19885, April 22, 1997) as
applying to those regulatory actions that
concern health or safety risks, such that
the analysis required under section 5–
501 of the Executive Order has the
potential to influence the regulation.
This action is not subject to Executive
Order 13045 because it is based solely
on an analysis of the degree of emission
reduction that is achievable through the
application of the best system of
emissions reduction, as provided in
CAA section 111.
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This action is not a ‘‘significant
energy action’’ as defined in Executive
Order 13211 (66 FR 28355 (May 22,
2001)), because it is not a significant
regulatory action under Executive Order
12866.
Section 12(d) of the NTTAA of 1995,
Public Law No. 104–113 (15 U.S.C. 272
note) directs the EPA to use (voluntary
consensus standards) VCS in its
regulatory activities unless to do so
would be inconsistent with applicable
law or otherwise impractical. VCS are
technical standards (e.g., materials
specifications, test methods, sampling
procedures and business practices) that
are developed or adopted by VCS
bodies. The NTTAA directs the EPA to
provide Congress, through OMB,
explanations when the agency decides
not to use available and applicable VCS.
This proposed rulemaking involves
technical standards. We conducted
searches for Performance Standards for
Grain Elevators (40 CFR part 60,
subparts DD and DDa) through the
enhanced National Standards Service
Network database managed by the
ANSI. We also contacted VCS
organizations and accessed and
searched their databases. Searches were
conducted for EPA Methods 5 and 9 of
40 CFR part 60, Appendix A. During the
search, if the title or abstract (if
provided) of the VCS described
technical sampling and analytical
procedures that are similar to the EPA’s
reference method, we considered it as a
potential equivalent method. All
potential standards were reviewed to
determine the practicality of the VCS for
this rule. This review requires
significant method validation data
which meets the requirements of EPA
Method 301 for accepting alternative
methods or scientific, engineering and
policy equivalence to procedures in
EPA reference methods. We may
reconsider determinations of
impracticality when additional
information is available for particular
VCS.
One VCS was identified as an
acceptable alternative to EPA test
methods for the purpose of this rule.
The VCS ASTM D7520–09, ‘‘Standard
Test Method for Determining the
Opacity of a Plume in the Outdoor
Ambient Atmosphere’’ is an acceptable
alternative to Method 9 if operated
under specific conditions, documented
in the memorandum, ‘‘Voluntary
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Consensus Standard Results for
Performance Standards for Grain
Elevators (40 CFR Part 60, Subparts DD
and DDa)’’, in the grain elevator docket
in EPA–HQ–OAR–2010–0706. The
search identified five VCS that were
potentially applicable for this rule in
lieu of EPA reference methods. After
reviewing the available standards, EPA
determined that five candidate VCS
(ASME B133.9–1994 (2001), ISO
9096:1992 (2003), ANSI/ASME PTC–
38–1980 (1985), ASTM D3685/D3685M–
98 (2005), CAN/CSA Z223.1–M1977)
identified for measuring emissions of
pollutants or their surrogates subject to
emission standards in the rule would
not be practical due to lack of
equivalency, documentation, validation
data and other important technical and
policy considerations. The EPA
welcomes comments on this aspect of
the proposed rulemaking and
specifically invites the public to identify
potentially-applicable VCS and to
explain why such standards should be
used in this regulation.
J. Executive Order 12898: Federal
Actions To Address Environmental
Justice in Minority Populations and
Low-Income Populations
Executive Order 12898 (59 FR 7629,
February 16, 1994) establishes federal
executive policy on EJ. Its main
provision directs federal agencies, to the
greatest extent practicable and
permitted by law, to make EJ part of
their mission by identifying and
addressing, as appropriate,
disproportionately high and adverse
human health or environmental effects
of their programs, policies and activities
on minority populations and lowincome populations in the United
States.
The EPA has concluded that it is not
feasible to determine whether there
would be disproportionately high and
adverse human health or environmental
effects on minority, low income or
indigenous populations from the
proposal of this rule because it is
unknown where new facilities will be
located and the EPA does not have
specific location information for sources
that would be affected by this NSPS.
The agency is seeking comment on the
location of sources covered by the
proposed standards and on the potential
impacts of this rule on minority, low
income and indigenous populations.
The additional information that will be
collected from the increase in testing
requirements is expected to better
inform the agency of the emissions
associated with this source category and
their significance, and will ensure better
compliance with the proposed rule, and
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thus will result in the proposed rule
being more protective of human health.
List of Subjects in 40 CFR Part 60
Environmental protection,
Administrative practice and procedure,
Air pollution control, Intergovernmental
relations, Reporting and recordkeeping
requirements.
Dated: June 27, 2014.
Gina McCarthy,
Administrator.
For the reasons stated in the
preamble, title 40, chapter I, of the Code
of Federal Regulations is proposed to be
amended as follows:
PART 60—[AMENDED]
1. The authority citation for part 60
continues to read as follows:
■
Authority: 42 U.S.C. 7401, et seq.
Subpart DD—[AMENDED]
2. Section 60.300 is amended by
revising paragraph (b) to read as follows:
■
§ 60.300 Applicability and designation of
affected facility.
*
*
*
*
*
(b) Any facility under paragraph (a) of
this section which commences
construction, modification, or
reconstruction after August 3, 1978, and
on or before July 9, 2014, is subject to
the requirements of this part.
■ 3. Section 60.301 is amended by
revising paragraphs (j) and (k) to read as
follows:
§ 60.301
Definitions.
mstockstill on DSK4VPTVN1PROD with PROPOSALS3
*
*
*
*
*
(j) Grain unloading station means that
portion of a grain elevator where the
grain is transferred from a truck, railcar,
barge, or ship to a receiving hopper or
to the grain handling equipment that
connects the unloading station to the
rest of the grain elevator. A grain
unloading station includes all of the
equipment, support structures, and
associated dust control equipment and
aspiration systems required to operate
or otherwise connected to the grain
unloading station.
(k) Grain loading station means that
portion of a grain elevator where the
grain is transferred from the elevator to
a truck, railcar, barge, or ship. A grain
loading station includes all of the
equipment, support structures, and
associated dust control equipment and
aspiration systems required to operate
or otherwise connected to the grain
loading station.
*
*
*
*
*
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4. Section 60.302 is amended by
revising paragraph (d)(1) to read as
follows:
■
§ 60.302
Standard for particulate matter.
*
*
*
*
*
(d) * * *
(1) The unloading leg shall be
enclosed from the top (including the
receiving hopper) to the center line of
the bottom pulley and ventilation to a
control device shall be maintained on
both sides of the leg and the grain
receiving hopper. Where aspiration of
the casing provides dust control at the
boot of the conveyor and a receiving
hopper is not used, the unloading leg
must be enclosed from the top to the
center line of the bottom pulley and
ventilation to a control device must be
maintained on both sides of the leg.
*
*
*
*
*
■ 5. Add Subpart DDa, consisting of
60.300a through 60.307a, to part 60 to
read as follows:
Subpart DDa—Standards of Performance
for Grain Elevators for Which Construction,
Reconstruction, or Modification
Commenced After July 9, 2014
Sec.
60.300a Applicability and designation of
affected facility.
60.301a Definitions.
60.302a Standard for particulate matter.
60.303a Test methods and procedures.
60.304a Monitoring requirements.
60.305a Recordkeeping requirements.
60.306a Reporting requirements.
60.307a Modifications.
Subpart DDa—Standards of
Performance for Grain Elevators for
Which Construction, Reconstruction,
or Modification Commenced After July
9, 2014
§ 60.300a Applicability and designation of
affected facility.
(a) The provisions of this subpart
apply to each affected facility at any
grain terminal elevator or any grain
storage elevator, except as provided
under § 60.304a(b). The affected
facilities are each truck unloading
station, truck loading station, barge and
ship unloading station, barge and ship
loading station, railcar loading station,
railcar unloading station, grain dryer,
and all grain handling operations.
(b) Any facility under paragraph (a) of
this section that commences
construction, modification, or
reconstruction after July 9, 2014 is
subject to the requirements of this part.
§ 60.301a
Definitions.
As used in this subpart, all terms not
defined herein have the meaning given
them in the Clean Air Act and in
subpart A of this part.
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(a) Capture system means all of the
equipment, such as sheds, hoods, ducts,
fans, dampers, etc., used to collect
particulate matter generated by an
affected facility at a grain elevator.
(b) Column dryer means any
equipment used to reduce the moisture
content of grain in which the grain
flows from the top to the bottom in one
or more continuous packed columns
between two perforated metal sheets.
(c) En-masse drag conveyor means a
device that uses paddles or flights
mounted on a chain to remove grain
from a barge or ship.
(d) Fugitive emission means the
particulate matter which is not collected
by a capture system and is released
directly into the atmosphere from an
affected facility at a grain elevator.
(e) Grain means corn, wheat,
sorghum, rice, rye, oats, barley, and
soybeans.
(f) Grain elevator means any plant or
installation at which grain is unloaded,
handled, cleaned, dried, stored, or
loaded.
(g) Grain handling operations include
bucket elevators or legs (excluding legs
used to unload barges or ships), scale
hoppers and surge bins (garners), turn
heads, scalpers, cleaners, trippers, and
the headhouse and other such
structures.
(h) Grain loading station means that
portion of a grain elevator where the
grain is transferred from the elevator to
a truck, railcar, barge, or ship. A grain
loading station includes all of the
equipment, support structures, and
associated dust control equipment and
aspiration systems required to operate
or otherwise connected to the grain
loading station.
(i) Grain storage elevator means any
grain elevator located at any wheat flour
mill, wet corn mill, dry corn mill
(human consumption), rice mill, or
soybean oil extraction plant which has
a permanent grain storage capacity of
35,200 m3 (ca. 1 million bushels).
(j) Grain terminal elevator means any
grain elevator which has a permanent
storage capacity of more than 88,100 m3
(ca. 2.5 million U.S. bushels), except
those located at animal food
manufacturers, pet food manufacturers,
cereal manufacturers, breweries, and
livestock feedlots.
(k) Grain unloading station means
that portion of a grain elevator where
the grain is transferred from a truck,
railcar, barge, or ship to a receiving
hopper or to the grain handling
equipment that connects the unloading
station to the rest of the grain elevator.
A grain unloading station includes all of
the equipment, support structures, and
associated dust control equipment and
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aspiration systems required to operate
or otherwise connected to the grain
unloading station.
(l) Permanent storage capacity means
the grain storage capacity calculated as
specified in either paragraph (l)(1) or
(l)(2) of this section, as applicable.
(1) Grain throughput and grain
storage capacity are known. If all of the
grain storage buildings, bins and silos
associated with the grain elevator
existed prior to the date of construction,
modification, or reconstruction of the
affected facility, then use Equation 1 of
this subpart to calculate permanent
storage capacity.
Where:
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Tp = Maximum annual throughput of grain
for all buildings, bins (excluding TSFs)
and silos used to store grain (bushels per
year) over the previous 5 years.
Ct = Total storage capacity of all temporary
storage facilities used to store grain
(bushels).
(2) Grain throughput and grain
storage capacity are not known. If any
one of the grain storage buildings, bins
or silos associated with the grain
elevator did not exist prior to the date
of construction, modification, or
reconstruction of the affected facility,
then use Equation 2 of this subpart to
calculate permanent storage capacity.
Ctp = Cp + (0.34 * Ct) (Eq. 2)
mstockstill on DSK4VPTVN1PROD with PROPOSALS3
Where:
Ctp = Total permanent storage capacity of all
buildings, bins (including TSFs) and
silos used to store grain (bushels).
Cp = Total storage capacity of all buildings,
bins (excluding TSFs) and silos used to
store grain (bushels).
Ct = Total storage capacity of all temporary
storage facilities used to store grain
(bushels).
0.34 = Default ratio of permanent grain
storage capacity to annual throughput.
(m) Portable equipment include (but
are not limited to) portable augers,
portable conveyors and front-end
loaders that are not fixed at any one spot
and can be moved around the site.
(n) Process emission means the
particulate matter which is collected by
a capture system.
(o) Rack dryer means any equipment
used to reduce the moisture content of
grain in which the grain flows from the
top to the bottom in a cascading flow
around rows of baffles (racks).
(p) Railcar means railroad hopper car
or boxcar.
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(q) Temporary storage facility, or TSF,
means any grain storage bin that:
(1) Uses an asphalt, concrete, or other
comparable base material;
(2) Uses rigid, self-supporting
sidewalls;
(3) Provides adequate aeration; and
(4) Provides an acceptable covering
(e.g., tarp).
(r) Unloading leg means a device
which includes a bucket-type elevator
which is used to remove grain from a
barge or ship.
(s) Wire screen column dryer means
any equipment used to reduce the
moisture content of grain in which the
grain flows from the top to the bottom
in one or more continuous packed
columns between two woven wire
screens.
§ 60.302a
Standard for particulate matter.
(a) On and after the date of
completing the initial performance test
required in § 60.8, no owner or operator
subject to the provisions of this subpart
shall cause to be discharged into the
atmosphere any gases which exhibit:
(1) Greater than 0 percent opacity
from any column dryer with column
plate perforation exceeding 2.4 mm
diameter (ca. 0.094 inch).
(2) Greater than 0 percent opacity
from any rack dryer in which exhaust
gases pass through a screen filter coarser
than 50 mesh.
(3) Greater than 10 percent opacity
from any wire screen column dryer.
(b) On and after the date of
completing the initial performance test
required in § 60.8, no owner or operator
subject to the provisions of this subpart
shall cause to be discharged into the
atmosphere from any affected facility
except a grain dryer, or grain handling,
loading, or unloading affected facilities
at a TSF using portable equipment, any
process emission which:
(1) Contains particulate matter in
excess of 0.023 g/dscm (ca. 0.01 gr/dscf).
(2) Exhibits greater than 0 percent
opacity.
(c) On and after the date of
completing the initial performance test
required in § 60.8, no owner or operator
subject to the provisions of this subpart
shall cause to be discharged into the
atmosphere any fugitive emission from:
(1) Any individual truck unloading
station, railcar unloading station, or
railcar loading station, which exhibits
greater than 5 percent opacity.
(2) Any grain handling operation
which exhibits greater than 0 percent
opacity.
(3) Any truck loading station which
exhibits greater than 10 percent opacity.
(4) Any barge or ship loading station
which exhibits greater than 20 percent
opacity.
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Sfmt 4702
(d) The owner or operator of any barge
or ship unloading station must meet the
requirements specified in paragraph
(d)(1), (2), or (3) of this section.
(1) Barge or ship unloading operations
using an unloading leg must operate as
specified in paragraphs (d)(1)(i) and (ii)
of this section.
(i) The unloading leg must be
enclosed from the top (including the
receiving hopper) to the center line of
the bottom pulley and ventilation to a
control device must be maintained on
both sides of the leg and the grain
receiving hopper. Where aspiration of
the casing provides dust control at the
boot of the conveyor and a receiving
hopper is not used, the unloading leg
must be enclosed from the top to the
center line of the bottom pulley and
ventilation to a control device must be
maintained on both sides of the leg.
(ii) The total rate of air ventilated
must be at least 32.1 actual cubic meters
per cubic meter of grain handling
capacity (ca. 40 ft3/bu).
(2) On and after the date of
completing the initial performance test
required in § 60.8, visible emissions
from a barge or ship unloading station
using an en-masse drag conveyor must
not exceed 10 percent opacity.
(3) For barge or ship unloading
stations not using an unloading leg or an
en-masse drag conveyor, the owner or
operator must use other methods of
emission control demonstrated to the
Administrator’s satisfaction to reduce
emissions of particulate matter to the
same level or less.
(e) These standards apply at all times.
§ 60.303a
Test methods and procedures.
(a) In conducting the performance
tests required in § 60.8, the owner or
operator must use as reference methods
and procedures the test methods in
appendix A of this part or other
methods and procedures as specified in
this section, except as provided in
§ 60.8(b). Acceptable alternative
methods and procedures are given in
paragraph (c) of this section.
(b) The owner or operator must
determine compliance with the
particulate matter and opacity standards
in § 60.302a as follows:
(1) Method 5 at 40 CFR part 60,
appendix A–3 must be used to
determine the particulate matter
concentration and the volumetric flow
rate of the effluent gas. The sampling
time and sample volume for each run
must be at least 60 minutes and 1.70
dscm (60 dscf). The probe and filter
holder must be operated without
heaters.
(2) Method 2 at 40 CFR part 60,
appendix A–1 must be used to
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determine the ventilation volumetric
flow rate.
(3) Method 9 at 40 CFR part 60,
appendix A–4 and the procedures in
§ 60.11 must be used to determine
opacity.
(c) The owner or operator may use the
following as alternatives to the reference
methods and procedures specified in
this section:
(1) For Method 5 at 40 CFR part 60,
appendix A–3, Method 17 at 40 CFR
part 60, appendix A–6 may be used.
(d) Periodic performance tests must be
conducted as specified in paragraphs
(d)(1) and (2) of this section.
(1) Method 9 at 40 CFR part 60,
appendix A–4 testing for opacity must
be performed annually. The first
performance test must be conducted no
later than 12 months after the initial
performance test required in § 60.8 of
this part. Subsequent performance tests
must be conducted at intervals no
longer than 12 months following the
previous periodic performance test.
(2) Method 5 at 40 CFR part 60,
appendix A–3 testing for particulate
matter concentration must be conducted
no later than 60 months after the initial
performance test required in § 60.8 of
this part. Subsequent performance tests
must be conducted at intervals no
longer than 60 months following the
previous periodic performance test. The
periodic performance test results must
be submitted according to § 60.306a.
The performance test must be
conducted while processing grains that
will result in the highest PM emissions.
§ 60.304a
Monitoring requirements.
(a) You must conduct weekly visual
emissions checks for each affected
facility and take corrective action for
positive visual emissions checks.
(b) You must conduct inspections of
fabric filters and baghouses at each
affected facility no later than 6 months
after the initial performance test
required in § 60.8 of this part.
Subsequent inspections must be
conducted at intervals no longer than 6
months following the previous
inspection.
mstockstill on DSK4VPTVN1PROD with PROPOSALS3
§ 60.305a
Recordkeeping requirements.
You must maintain the records
specified in subpart A of this part and
the records specified in paragraphs (a)
through (f) of this section.
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(a) Total storage capacity and annual
throughput of grain (bushels) for each
building, bin (excluding TSFs), and silo
used to store grain.
(b) Total storage capacity for each
TSF.
(c) The date, time and duration of
each event that causes an affected
source to fail to meet an applicable
standard; the record must list the
affected source or equipment, an
estimate of the volume of each regulated
pollutant emitted over the standard for
which the source failed to meet a
standard, and a description of the
method used to estimate the emissions.
(d) Results of 6 month baghouse and
fabric filter inspections, including any
corrective action taken.
(e) Weekly visual emissions checks
and any corrective action taken as a
result of positive visual emissions
checks.
(f) Results of 12 month opacity tests.
§ 60.306a
Reporting Requirements.
(a) Within 60 days after the date of
completing each performance test
(defined in § 60.8) as required by this
subpart and § 60.8, you must submit the
results of the performance tests, and
include the type of grain processed at
the affected facility for which the
performance test is being conducted,
required by this subpart to the EPA by
the following steps. You must use the
EPA’s Electronic Reporting Tool (ERT)
(see https://www.epa.gov/ttn/chief/ert/
index.html) to document performance
test data. You must submit the file
package generated by ERT through the
EPA’s Compliance and Emissions Data
Reporting Interface (CEDRI), which can
be accessed by logging in to the EPA’s
Central Data Exchange (CDX) (https://
cdx.epa.gov/). Only data collected using
test methods supported by the ERT as
listed on the ERT Web site are subject
to the requirement to submit the
performance test data electronically.
Owners or operators who claim that
some of the information being submitted
for performance tests is confidential
business information (CBI) must submit
a complete ERT file including
information claimed to be CBI on a
compact disk, flash drive, or other
commonly used electronic storage
media to the EPA. The electronic media
must be clearly marked as CBI and
mailed to U.S. EPA/OAPQS/CORE CBI
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39265
Office, Attention: WebFIRE
Administrator, MD C404–02, 4930 Old
Page Rd., Durham, NC 27703. The same
ERT file with the CBI omitted must be
submitted to the EPA via CDX as
described earlier in this paragraph. At
the discretion of the delegated authority,
you must also submit these reports,
including the confidential business
information, to the delegated authority
in the format specified by the delegated
authority. For any performance test
conducted using test methods that are
not listed on the ERT Web site, the
owner or operator shall submit the
results of the performance test to the
Administrator at the appropriate
address listed in § 60.4.
(b) Within 60 days after the date of
completing each Method 9 opacity test
required in this subpart and § 60.11, you
must submit the results of the opacity
tests to the Administrator at the
appropriate address as shown in 40 CFR
60.4.
(c) The date, time and duration of
each event that causes an affected
facility to fail to meet a standard; the
record must list the affected facility or
equipment, an estimate of the volume of
each regulated pollutant emitted over
the standard for which the source failed
to meet a standard, and a description of
the method used to estimate the
emissions.
§ 60.307a
Modifications.
(a) The factor 6.5 must be used in
place of ‘‘annual asset guidelines repair
allowance percentage,’’ to determine
whether a capital expenditure as
defined by § 60.2 has been made to an
existing facility.
(b) The following physical changes or
changes in the method of operation are
not by themselves considered to be a
modification of any existing facility:
(1) The addition of gravity loadout
spouts to existing grain storage or grain
transfer bins.
(2) The installation of automatic grain
weighing scales.
(3) Replacement of motor and drive
units driving existing grain handling
equipment.
(4) The installation of permanent
storage capacity with no increase in
hourly grain handling capacity.
[FR Doc. 2014–15868 Filed 7–8–14; 8:45 am]
BILLING CODE 6560–50–P
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Agencies
[Federal Register Volume 79, Number 131 (Wednesday, July 9, 2014)]
[Proposed Rules]
[Pages 39241-39265]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-15868]
[[Page 39241]]
Vol. 79
Wednesday,
No. 131
July 9, 2014
Part V
Environmental Protection Agency
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40 CFR Part 60
Standards of Performance for Grain Elevators; Proposed Rule
Federal Register / Vol. 79 , No. 131 / Wednesday, July 9, 2014 /
Proposed Rules
[[Page 39242]]
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ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 60
[EPA-HQ-OAR-2010-0706; FRL-9912-76-OAR]
RIN 2060-AP06
Standards of Performance for Grain Elevators
AGENCY: Environmental Protection Agency.
ACTION: Proposed rule.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is proposing
amendments to the Standards of Performance for Grain Elevators as a
result of the 8-year review of the new source performance standards
required by the Clean Air Act. We are proposing to clarify certain
provisions in the existing subpart DD. The EPA is also proposing a new
subpart DDa for grain elevators, which would apply to affected
facilities that commence construction, modification or reconstruction
after July 9, 2014 and includes the proposed clarifications for subpart
DD and several new provisions. In response to Executive Order 13563,
Improving Regulation and Regulatory Review, the EPA conducted an
analysis of subpart DD. In considering the directives of the Executive
Order, the EPA conducted several analyses to determine the
effectiveness of subpart DD, to determine whether subpart DD is still
relevant, and to determine whether subpart DD is excessively
burdensome. Based on the results of these analyses, the EPA concluded
that subpart DD is still effective, relevant and not excessively
burdensome.
DATES: Comments. Comments must be received on or before October 7,
2014. Under the Paperwork Reduction Act, comments on the information
collection provisions are best assured of having full effect if the
Office of Management and Budget receives a copy of your comments on or
before August 8, 2014.
Public Hearing. The EPA will hold a public hearing on this proposed
rule if requested. Requests for a hearing must be made by July 24,
2014. Contact Ms. Virginia Hunt via email (hunt.virginia@epa.gov) or
phone (919-541-0832) by July 24, 2014 to request a public hearing. If a
hearing is requested, the EPA will announce the details, including
specific dates, times, addresses and contact information for the
hearing, in a separate Federal Register notice.
ADDRESSES: Submit your comments, identified by Docket ID Number EPA-HQ-
OAR-2010-0706, by one of the following methods:
Federal eRulemaking Portal: https://www.regulations.gov: Follow the
online instructions for submitting comments.
Email: A-and-R-Docket@epa.gov, Include docket ID Number EPA-HQ-OAR-
2010-0706 in the subject line of the message.
Fax: (202) 566-9744, Attention Docket ID Number EPA-HQ-OAR-2010-
0706.
Mail: Environmental Protection Agency, EPA Docket Center (EPA/DC),
Mail Code 28221T, Attention Docket ID Number EPA-HQ-OAR-2010-0706, 1200
Pennsylvania Avenue NW., Washington, DC 20460. Please include a total
of two copies. In addition, please mail a copy of your comments on the
information collection provisions to the Office of Information and
Regulatory Affairs, Office of Management and Budget (OMB), Attn: Desk
Officer for EPA, 725 17th Street NW., Washington, DC 20503.
Hand/Courier Delivery: EPA Docket Center, Room 3334, EPA WJC West
Building, 1301 Constitution Ave. NW., Washington, DC 20004, Attention
Docket ID Number EPA-HQ-OAR-2010-0706. Such deliveries are only
accepted during the Docket's normal hours of operation and special
arrangements should be made for deliveries of boxed information.
Instructions: Direct your comments to Docket ID Number EPA-HQ-OAR-
2010-0706. The EPA's policy is that all comments received will be
included in the public docket without change and may be made available
online at https://www.regulations.gov, including any personal
information provided, unless the comment includes information claimed
to be confidential business information (CBI) or other information
whose disclosure is restricted by statute.
Do not submit information that you consider to be CBI or otherwise
protected through https://www.regulations.gov or email. Send or deliver
information identified as CBI to only the mail or hand/courier delivery
address listed above, attention: Docket ID Number EPA-HQ-OAR-2010-0706.
The https://www.regulations.gov Web site is an ``anonymous access''
system, which means the EPA will not know your identity or contact
information unless you provide it in the body of your comment. If you
send an email comment directly to the EPA without going through https://www.regulations.gov, your email address will be automatically captured
and included as part of the comment that is placed in the public docket
and made available on the Internet. If you submit an electronic
comment, the EPA recommends that you include your name and other
contact information in the body of your comment and with any disk or
CD-ROM you submit. If the EPA cannot read your comment due to technical
difficulties and cannot contact you for clarification, the EPA may not
be able to consider your comment. Electronic files should avoid the use
of special characters, any form of encryption and be free of any
defects or viruses. For additional information about the EPA's public
docket, visit the EPA Docket Center homepage at: https://www.epa.gov/dockets.
Docket. The docket number for the proposed amendments to the grain
elevator new source performance standards (40 CFR part 60, subparts DD
and DDa) is Docket ID Number EPA-HQ-OAR-2010-0706. All documents in the
docket are listed in the https://www.regulations.gov index. Although
listed in the index, some information is not publicly available, e.g.,
CBI or other information whose disclosure is restricted by statute.
Certain other material, such as copyrighted material, will be publicly
available only in hard copy. Publicly available docket materials are
available either electronically in https://www.regulations.gov or in
hard copy at the Air Docket, EPA/DC, EPA West, Room 3334, 1301
Constitution Ave. NW., Washington, DC. The EPA docket facility is open
from 8:30 a.m. to 4:30 p.m., Monday through Friday, excluding legal
holidays. The telephone number for the Public Reading Room is (202)
566-1744, and the telephone number for the Air Docket is (202) 566-
1742.
FOR FURTHER INFORMATION CONTACT: For information concerning the
proposed amendments, contact Mr. Bill Schrock, Natural Resources Group,
Sector Policies and Programs Division (E143-03), Research Triangle
Park, North Carolina 27711; telephone number (919) 541-5032; fax number
(919) 541-3470; email address: schrock.bill@epa.gov.
SUPPLEMENTARY INFORMATION:
World Wide Web. In addition to being available in the docket, an
electronic copy of the proposed amendments is available on the
Technology Transfer Network (TTN) Web site. Following signature, the
EPA will post a copy of the amendments at https://www.epa.gov/ttn/atw/eparules.html. The TTN provides information and technology exchange in
various areas of air pollution control.
Acronyms and Abbreviations. The following acronyms and
abbreviations are used in this document:
[[Page 39243]]
ANSI American National Standards Institute
ASTM American Society for Testing and Materials
BACT Best available control technology
BDT Best demonstrated technology
BLDS Bag leak detection systems
BSER Best system of emission reduction
CAA Clean Air Act
CBI Confidential business information
CEDRI Compliance and Emissions Data Reporting Interface
CFR Code of Federal Regulation
CDX Central Data Exchange
EJ Environmental justice
ERT Electronic Reporting Tool
FSA Farm Service Agency
g/dscm Grams per dry standard cubic meter
gr/dscf Grains per dry standard cubic foot
gr/dscfm Grains per dry standard cubic foot per minute
HAP Hazardous air pollutants
ICR Information Collection Request
kg Kilogram
LAER Lowest achievable emission rate
mg Milligram
mm Millimeter
NAICS North American Industry Classification System
NSPS New source performance standard
NTTAA National Technology Transfer and Advancement Act
OECA Office of Enforcement and Compliance Assurance
OMB Office of Management and Budget
PM Particulate matter
RACT Reasonably available control technology
RBLC RACT/BACT/LAER Clearinghouse
RFA Regulatory Flexibility Act
SBA Small Business Administration
SBREFA Small Business Regulatory Enforcement Fairness Act
SISNOSE Significant Economic Impact on a Substantial Number of Small
Entities
SSM Startup, shutdown and malfunction
TSF Temporary storage facility
tpy Tons per year
TTN Technology Transfer Network
UMRA Unfunded Mandates Reform Act
USDA United States Department of Agriculture
VCS Voluntary consensus standards
Organization of This Document. The following outline is provided to
aid in locating information in this preamble.
I. Executive Summary
A. Purpose of Regulatory Action
B. Summary of Major Amendments
C. Summary of Costs and Benefits
II. General Information
A. Does this action apply to me?
B. What should I consider as I prepare my comments?
III. Background Information
A. What is the statutory authority for these proposed revisions?
B. What is the regulatory history for grain elevators?
IV. Summary of Proposed Amendments
A. What source category is being regulated?
B. What pollutants are emitted from these sources?
C. What are the proposed standards?
V. Rationale for Proposed Amendments
A. How did the EPA conduct the BSER analysis?
B. How did the EPA evaluate changes to the methodology for
determining applicability of the grain elevator NSPS?
C. How did the EPA evaluate the compliance requirements in the
grain elevator NSPS?
D. How did the EPA evaluate additional changes for the grain
elevator NSPS?
VI. Summary of Cost, Environmental, Energy and Economic Impacts of
These Proposed Standards
A. What are the impacts for subpart DDa?
B. What are the secondary impacts for subpart DDa?
C. What are the economic impacts for subpart DDa?
VII. Other Considerations
Executive Order 13563: Improving Regulation and Regulatory
Review
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and
Executive Order 13563: Improving Regulation and Regulatory Review
B. Paperwork Reduction Act
C. Regulatory Flexibility Act
D. Unfunded Mandates Reform Act
E. Executive Order 13132: Federalism
F. Executive Order 13175: Consultation and Coordination With
Indian Tribal Governments
G. Executive Order 13045: Protection of Children From
Environmental Health Risks and Safety Risks
H. Executive Order 13211: Actions That Significantly Affect
Energy Supply, Distribution or Use
I. National Technology Transfer and Advancement Act
J. Executive Order 12898: Federal Actions To Address
Environmental Justice in Minority Populations and Low-Income
Populations
A redline version of the regulatory language that incorporates the
proposed changes in this action is available in the docket for this
action (Docket ID No. EPA-HQ-OAR-2010-0706)
I. Executive Summary
A. Purpose of Regulatory Action
New source performance standards implement CAA section 111(b) and
are issued for categories of sources that EPA has listed because they
cause, or contribute significantly to, air pollution, that may
reasonably be anticipated to endanger public health or welfare. The
primary purpose of the NSPS is to attain and maintain ambient air
quality by ensuring application of the best system of emission
reduction (BSER) that has been adequately demonstrated, taking into
consideration the cost of achieving such emission reductions, and any
non-air quality health and environmental impact and energy
requirements. Section 111(b)(1)(B) of the CAA requires the EPA to
review and, if appropriate, revise existing NSPS at least every 8
years. The NSPS for grain elevators (40 CFR part 60, subpart DD) were
promulgated in 1978 and last reviewed in 1984. As part of the review,
the EPA is required to consider what degree of emission limitation is
achievable through the application of the BSER, which (taking into
account the cost of achieving such reduction and any nonair quality
health and environmental impact and energy requirements) the
Administrator determines has been adequately demonstrated. The EPA also
considers the emission limitations and reductions that have been
achieved in practice.
In addition to conducting the NSPS review, the EPA is evaluating
the start-up, shutdown and malfunction (SSM) provisions in the rule in
light of the D.C. Circuit Court of Appeals decision in Sierra Club v.
EPA, 551 F.3d 1019 (D.C. Cir. 2008), which held that the SSM exemption
in the General Provisions in 40 CFR part 63 violated the CAA's
requirement that some standards apply continuously. In the Sierra Club
case, the D.C. Circuit vacated the SSM exemption provisions in the
General Provisions of 40 CFR part 63 for non-opacity and opacity
standards. The court explained that under section 302(k) of the CAA,
emissions standards or limitations must be continuous in nature. The
court then held that the SSM exemption violates the CAA's requirement
that some section 112 standards apply continuously. In light of the
court's reasoning, all rule provisions must be carefully examined to
determine whether they provide for periods when no emission standard
applies. The EPA believes that even though the Court in Sierra Club v.
EPA was considering a challenge to a section 112 NESHAP standard, the
Court's reasoning applies equally to CAA section 111 (NSPS) and section
129 rules. The EPA's general approach to SSM periods has been used
consistently in CAA section 111, section 112 and section 129 rulemaking
actions, since the D.C. Circuit's decision in Sierra Club. See, e.g.,
New Source Performance Standards Review for Nitric Acid Plants, Final
Rule, 77 FR 48433 (August 14, 2012); New Source Performance Standards
for New Stationary Sources and Emission Guidelines for Existing
Sources; Commercial and Industrial Solid Waste Incineration Units,
Final rule, 76 FR 15704 (March 21, 2011); Oil and Natural Gas Sector:
New Source Performance Standards and National Emission Standards for
Hazardous Air Pollutants Reviews; Final rules, 77 FR 49490 (August 16,
2012).
To address the NSPS review, SSM exemptions and other changes, the
EPA
[[Page 39244]]
is proposing a new subpart DDa for grain elevators, which would apply
to affected facilities that commence construction, modification or
reconstruction after July 9, 2014. The affected facilities at grain
elevators under the existing subpart DD and the proposed subpart DDa
are each new, modified or reconstructed truck unloading station, truck
loading station, barge and ship unloading station, barge and ship
loading station, railcar loading station, railcar unloading station,
grain dryer and all grain handling operations. The EPA is also
proposing amendments to subpart DD that will apply to facilities
subject to DD to clarify certain definitions and provisions. The EPA is
also proposing testing, monitoring, recordkeeping and reporting
requirements for subpart DDa that are in some ways different from what
is required under subpart DD. Where feasible, the EPA considered ways
to reduce the testing, monitoring, recordkeeping, and reporting burden,
while making the proposed requirements less ambiguous and more
straightforward for determining compliance. The proposed subpart DDa
requirements reflect what well-controlled sources are doing within the
grain elevator industry since the last review in 1984.
This rulemaking also responds to Executive Order 13563, Improving
Regulation and Regulatory Review, which directs federal agencies to ``.
. . review existing rules that may be outmoded, ineffective,
insufficient, or excessively burdensome, and to modify, streamline,
expand, or repeal them in accordance with what has been learned.'' It
also responds to a petition submitted by a coalition representing the
grain elevator industry that, citing the Executive Order, requests the
EPA to review and repeal subpart DD. In considering the directives of
the Executive Order, the EPA conducted several analyses aimed at
determining the effectiveness of subpart DD, determining whether
subpart DD is still relevant and determining whether subpart DD is
excessively burdensome. Based on the results of these analyses, the EPA
concluded that subpart DD is still effective, relevant and not
excessively burdensome but we are proposing some amendments to clarify
certain provisions.
B. Summary of Major Amendments
Based on the results of the NSPS review, the EPA is proposing the
following:
1. Proposed Clarifications to Subpart DD
We are proposing amendments to subpart DD to clarify the definition
of grain unloading station and grain loading station, and to clarify
enclosure requirements for barge or ship unloading operations.
2. Proposed New Requirements Contained in Subpart DDa
We are proposing a new subpart DDa that will include the standards
of performance and other provisions in subpart DD, as clarified in this
proposal which reflect current industry operations, as well as the
following additional new standards and provisions based on our review
of available information:
An additional method for determining applicability that
includes the storage capacity of temporary storage facilities (TSFs).
Ten percent opacity standards for barge or ship unloading
stations not using an unloading leg and for column dryers using a wire
screen.
Particulate Matter (PM) and opacity standards for affected
facilities associated with TSFs consistent with those associated with
permanent storage units.
Particulate Matter performance tests conducted every 60
months, opacity tests conducted annually, and weekly visual inspections
for affected facilities, and visual inspections of fabric filters every
6 months.
Records for the new applicability calculation method,
excess emissions events, fabric filter inspections, opacity tests,
weekly visual inspections and PM tests, and the type of grain processed
during performance tests.
Requirement to submit electronic copies of performance
tests reports to the EPA using the EPA's electronic reporting tool
(ERT).
New definitions for ``permanent storage capacity,''
``temporary storage facility,'' ``wire screen column dryer,'' and ``en-
masse drag conveyor.''
We are also proposing that the PM standards are applicable at all
times.
C. Summary of Costs and Benefits
Table 1 summarizes the costs and benefits of this action. See
section VI of this preamble for further discussion.
Table 1--Summary of the Costs and Benefits of the Proposed Subpart DDa for New, Modified and Reconstructed
Affected Sources at Grain Elevators
----------------------------------------------------------------------------------------------------------------
Emission
Requirement Capital cost Annual cost ($ reductions Net benefit
($ thousand) thousand/yr) \a\ (tons PM10/yr)
----------------------------------------------------------------------------------------------------------------
PM control................................ 1,087 350 31 N/A \b\
Emissions testing and monitoring/reporting 0 849 0 N/A \b\
and recordkeeping........................
---------------------------------------------------------------------
Total nationwide...................... 1,087 1,199 31 N/A \b\
----------------------------------------------------------------------------------------------------------------
\a\ Reporting and recordkeeping costs are in the third year following promulgation. PM control, testing and
monitoring costs are in the fifth year after promulgation. For the third year after promulgation, the
associated PM capital cost is $888,000, and annual cost (including annualized PM control cost and emissions
testing and monitoring) is $757,000.
\b\ Under Executive Order 12866, this rulemaking is not an ``economically significant regulatory action''
because it is not likely to have an annual effect on the economy of $100 million or more. Therefore, we have
not conducted a Regulatory Impact Analysis (RIA) for this rulemaking or a benefits analysis. The proposed
requirements of the New Source Performance Standards (NSPS) for Grain Elevators (Subpart DDa) are anticipated
to reduce emissions by 31 tons of PM10 each year starting in 2018. While we expect that these PM10 emissions
reductions will result in improvements in air quality and reduce health effects associated with exposure to
air pollution resulting from these emissions, we have not quantified or monetized the benefits of reducing
these emissions for this rulemaking. This does not imply that there are no benefits associated with these
emission reductions.
[[Page 39245]]
II. General Information
A. Does this action apply to me?
Categories and entities potentially regulated by this proposed rule
include those listed in Table 2 of this preamble.
Table 2--Examples of Affected Entities by Category
------------------------------------------------------------------------
NAICS \a\ Examples of potentially
Category code regulated entities
------------------------------------------------------------------------
Industry........................ 49313....... Grain elevators
(storage).
Industry........................ 424510...... Grain elevators
(merchants,
wholesalers).
------------------------------------------------------------------------
\a\ North American Industry Classification System.
This table is not intended to be exhaustive but rather provides a
guide for readers regarding entities likely to be regulated by the
proposed amendments. To determine whether your facility would be
regulated by the proposed amendments, you should carefully examine the
applicability criteria in 40 CFR 60.300 and 40 CFR 60.300a. If you have
any questions regarding the applicability of the proposed amendments to
a particular entity, contact the person listed in the preceding FOR
FURTHER INFORMATION CONTACT section.
B. What should I consider as I prepare my comments?
Submitting CBI. Do not submit information containing CBI to the EPA
through https://www.regulations.gov or email. Clearly mark the part or
all of the information that you claim to be CBI. For CBI information on
a disk or CD-ROM that you mail to the EPA, mark the outside of the disk
or CD-ROM as CBI and then identify electronically within the disk or
CD-ROM the specific information that is claimed as CBI. In addition to
one complete version of the comments that includes information claimed
as CBI, you must submit a copy of the comments that does not contain
the information claimed as CBI for inclusion in the public docket. If
you submit a CD-ROM or disk that does not contain CBI, mark the outside
of the disk or CD-ROM clearly that it does not contain CBI. Information
not marked as CBI will be included in the public docket and the EPA's
electronic public docket without prior notice. Information marked as
CBI will not be disclosed except in accordance with procedures set
forth in 40 Code of Federal Regulations (CFR) part 2. Send or deliver
information identified as CBI only to the following address: Roberto
Morales, OAQPS Document Control Officer (C404-02), OAQPS, U.S.
Environmental Protection Agency, Research Triangle Park, North Carolina
27711, Attention Docket ID Number EPA-HQ-OAR-2010-0706.
If you have any questions about CBI or the procedures for claiming
CBI, please consult the person identified in the FOR FURTHER
INFORMATION CONTACT section.
III. Background Information
A. What is the statutory authority for these proposed revisions?
NSPS implement CAA section 111, which requires that each NSPS
reflect the degree of emission limitation achievable through the
application of the BSER which (taking into consideration the cost of
achieving such emission reductions, any nonair quality health and
environmental impact and energy requirements) the Administrator
determines has been adequately demonstrated. This level of control is
referred to as BSER and has been referred to in the past as ``best
demonstrated technology'' or BDT. In assessing whether a standard is
achievable, the EPA must account for routine operating variability
associated with performance of the system on whose performance the
standard is based. See National Lime Ass'n v. EPA, 627 F. 2d 416, 431-
33 (D.C. Cir. 1980).
We are also proposing in this rulemaking that existing affected
facilities that are modified or reconstructed would be subject to this
proposed rule. Under CAA section 111(a)(4), ``modification'' means any
physical change in, or change in the method of operation of, a
stationary source which increases the amount of any air pollutant
emitted by such source or which results in the emission of any air
pollutant not previously emitted. Changes to an existing facility that
do not result in an increase in the emission rate are not considered
modifications (40 CFR 60.14).
Rebuilt emission units would become subject to the proposed
standards under the reconstruction provisions, regardless of changes in
emission rate. Reconstruction means the replacement of components of an
existing facility such that: (1) the fixed capital cost of the new
components exceeds 50 percent of the fixed capital cost that would be
required to construct a comparable entirely new facility; and (2) it is
technologically and economically feasible to meet the applicable
standards (40 CFR 60.15).
Section 111(b)(1)(B) of the CAA requires the EPA to periodically
review and revise the standards of performance, as necessary, to
reflect improvements in methods for reducing emissions. The NSPS are
directly enforceable federal regulations issued for categories of
sources which cause, or contribute significantly to, air pollution
which may reasonably be anticipated to endanger public health or
welfare. Since 1970, the NSPS have been successful in achieving long-
term emissions reductions in numerous industries by assuring that cost-
effective controls are installed on new, reconstructed or modified
sources.
B. What is the regulatory history for grain elevators?
In 1978, the EPA promulgated ``Standards of Performance for Grain
Elevators'' (40 CFR part 60, subpart DD) (August 3, 1978, 43 FR 34347).
Since then, we have conducted one review of the standards, which
promulgated minor revisions to clarify certain provisions (March 27,
1984, 49 FR 11750).
The current subpart DD applies to affected facilities at any grain
storage elevators or grain terminal elevators storing corn, wheat,
sorghum, rice, rye, oats, barley and soybeans which are constructed,
reconstructed or modified after August 3, 1978. On August 7, 1977
Congress amended the Clean Air Act with a provision that exempts
country grain elevators with less than 2.5 million bushels of grain
storage capacity from standards developed under section 111 of the Act.
A ``grain storage elevator'' means any grain elevator
[[Page 39246]]
located at any wheat flour mill, wet corn mill, dry corn mill (human
consumption), rice mill or soybean oil extraction plant with permanent
storage capacity of at least one million bushels. 40 CFR 60.301(f). A
``grain terminal elevator'' means any grain elevator with permanent
storage capacity over 2.5 million bushels, except those located at
animal food manufacturers, pet food manufacturers, cereal
manufacturers, breweries and livestock feedlots. 40 CFR 60.301(c). A
``grain elevator'' means any plant or installation at which grain is
unloaded, handled, cleaned, dried, stored or loaded. 40 CFR 60.301(b).
``Permanent storage capacity'' means grain storage capacity which is
inside a building, bin or silo. 40 CFR 60.301(d).
The affected facilities at grain elevators are each truck unloading
station, truck loading station, barge and ship unloading station, barge
and ship loading station, railcar loading station, railcar unloading
station, grain dryer and all grain handling operations. 40 CFR 60.300.
The current NSPS, as amended under the 1984 review, include the
following emission limits and work practice standards:
----------------------------------------------------------------------------------------------------------------
Requirement (40 CFR
Type of emissions Affected facility Type of standard 60.302)
----------------------------------------------------------------------------------------------------------------
Process emissions.................. Truck unloading station, PM limit.............. 0.01 gr/dscf.
truck loading station,
barge and ship unloading
station, barge and ship
loading station, railcar
loading station, railcar
unloading station, and all
grain handling operations.
Opacity limit......... 0%.
Grain dryer................ Opacity limit and 0% opacity for column
equipment dryers equipped with
specification. column plate
perforations
exceeding 0.094
inches, and rack
dryers equipped with
screen filter coarser
than 50 mesh.
Fugitive........................... Truck loading.............. Opacity limit......... 10%
Truck unloading, railcar Opacity limit......... 5%.
loading, railcar unloading.
Barge/ship loading......... Opacity limit......... 20%.
Barge/ship unloading....... Equipment Marine leg enclosed
specification. from top to bottom of
leg, w/ventilation
flow rate of both leg
and receiving hopper
of 40 ft\3\ per
bushel of grain
unloaded.
----------------------------------------------------------------------------------------------------------------
Initial compliance with the PM and opacity emission limits in the
current NSPS (subpart DD) is demonstrated by conducting initial
performance tests. Subpart DD does not contain any continuous
compliance requirements.
IV. Summary of Proposed Amendments
A. What source category is being regulated?
Today's proposed standards would apply to affected facilities at
any grain storage elevators or grain terminal elevators storing corn,
wheat, sorghum, rice, rye, oats, barley and soybeans which are
constructed, reconstructed or modified after July 9, 2014. We are also
proposing clarifications that would apply to affected facilities at any
grain storage elevator or grain terminal elevator storing corn, wheat,
sorghum, rice, rye, oats, barley and soybeans which are constructed,
reconstructed or modified after August 3, 1978. The affected facilities
at grain elevators are each truck unloading station, truck loading
station, barge and ship unloading station, barge and ship loading
station, railcar loading station, railcar unloading station, grain
dryer and all grain handling operations. Neither the proposed standards
nor the clarifications to the existing standards are changing the rules
for currently affected facilities, however the proposed standards will
cover a new type of barge unloader and column dryer not contemplated by
the existing standards.
B. What pollutants are emitted from these sources?
The primary pollutant emitted and the only pollutant regulated by
the grain elevator NSPS is PM. Particle pollution can cause serious
health problems. The size of particles is directly linked to their
potential for causing health problems. EPA's national and regional
rules to reduce emissions of pollutants that form particle pollution
will help state and local governments meet the Agency's national air
quality standards. Particulate matter is emitted from grain as it is
conveyed from one affected facility to another, unloaded or loaded onto
transport vessels and during the drying process. Opacity is regulated
to ensure proper operation and maintenance of the PM controls and to
control fugitive emissions.
The PM concentration limits are based on filterable PM measured by
EPA Method 5. Filterable PM consists of those particles directly
emitted by a source as a solid or liquid at the stack (or similar
release conditions) and captured on the filter of a stack test train. A
fraction of the PM emitted from grain elevator affected facilities is
PM with an aerodynamic diameter less than or equal to 2.5 micrometers
(PM2.5). The EPA is not proposing separate standards for
PM2.5 in this action because the available emissions test
data for PM2.5 are limited and not adequate for setting
standards.
The PM concentration limits in today's proposed NSPS review are
based on filterable PM measured by EPA Method 5 because the majority of
PM emissions data available are Method 5 data. Emissions of condensable
PM, which is PM that is not directly emitted but is formed in the
atmosphere, are measured using EPA Method 202. These emissions can be
added as the ``back half'' to a Method 5 sampling train. However, the
EPA is not proposing separate standards for condensable PM because
available emissions test data for condensable PM are limited and not
adequate for setting standards.
C. What are the proposed standards?
The EPA is proposing the following actions regarding the NSPS for
grain elevators. As summarized in section IV.C.1 of this preamble, we
are proposing clarifications to specific
[[Page 39247]]
requirements in subpart DD. As summarized in section IV.C.2 of this
preamble, we are also proposing a new subpart DDa which would only be
applicable to affected facilities that commence construction,
modification or reconstruction after July 9, 2014.
1. Clarifications to Subpart DD
We are proposing clarifications to three provisions in subpart DD.
These proposed clarifications are summarized in Table 3 of this
preamble, which presents both the current provision in subpart DD and a
description of the proposed clarifications. EPA's rationale for these
proposed changes is provided in section V.D. of this preamble. These
proposed revisions are intended to keep the meaning and intent of the
definitions as originally promulgated while making sure the definitions
encompass the changes in the industry since the last review of subpart
DD in 1984.
Table 3--Summary of Proposed Amendments to Subpart DD for Affected
Facilities That Have Commenced Construction, Modification, or
Reconstruction After August 3, 1978
------------------------------------------------------------------------
Proposed revision to subpart DD
for affected facilities that
Current subpart DD provision (subpart have commenced construction,
DD citation) modification, or reconstruction
after August 3, 1978
------------------------------------------------------------------------
``Grain unloading station'' is defined ``Grain unloading station'' is
to be that portion of a grain elevator that portion of a grain
where the grain is transferred from a elevator where the grain is
truck, railcar, barge or ship to a transferred from a truck,
receiving hopper (Sec. 60.301(j)). railcar, barge or ship to a
receiving hopper or to the
grain handling equipment that
connects the unloading station
to the rest of the grain
elevator, including all of the
equipment, support structures
and associated dust control
equipment and aspiration
systems connected to or
required to operate the grain
unloading station.
``Grain loading station'' is defined to ``Grain loading station'' is
mean that portion of a grain elevator that portion of a grain
where the grain is transferred from elevator where the grain is
the elevator to a truck, railcar, transferred from the elevator
barge or ship.( Sec. 60.301(k)). to a truck, railcar, barge or
ship, including all of the
equipment, support structures
and associated dust control
equipment and aspiration
systems connected to or
required to operate the grain
loading station.
For affected barge or ship unloading For affected barge or ship
stations, the unloading leg is unloading stations, the
required to be enclosed from the top requirements in Sec. 60.302
(including the receiving hopper) to (d)(1) remain the same except
the center line of the bottom pulley that a new provision is
and ventilation to a control device is proposed to be added to
required to be maintained on both clarify that where aspiration
sides of the leg and the grain of the casing provides dust
receiving hopper. (Sec. 60.302 control at the boot of the
(d)(1)). conveyor and a receiving
hopper is not used, the
unloading leg is required to
be enclosed from the top to
the center line of the bottom
pulley, and ventilation to a
control device is required to
be maintained on both sides of
the leg.
------------------------------------------------------------------------
The proposed clarifications are applicable to all affected
facilities that commenced construction, modification or reconstruction
after August 3, 1978.
2. Proposal of Subpart DDa
We are proposing a new subpart DDa for affected facilities that
commence construction, modification, or reconstruction after July 9,
2014. Subpart DDa includes the standards in subpart DD, including the
clarifications discussed in Table 3 of this preamble for subpart DD,
and new requirements for affected facilities. The proposed new
requirements are summarized below. EPA's rationale for these proposed
changes is provided in sections V.A through V.D. of this preamble. The
new requirements include a new definition of permanent storage capacity
that accounts for storage capacity from TSFs; other new definitions;
emission standards for two new subcategories; and testing, monitoring,
reporting and recordkeeping requirements. We are also proposing a
requirement in subpart DDa that all emission standards in subpart DDa
apply at all times, including periods of SSM.
Definitions
We are proposing the following definitions:
``Permanent storage capacity'' is proposed to be the grain storage
capacity calculated using proposed Equations 1 or 2, as applicable.
This proposed definition revises the method used to determine
applicability by providing a new method to calculate ``permanent
storage capacity'' using TSF capacity and the grain storage capacity of
buildings, other types of bins and silos. Equation 1 is proposed for
grain elevators where the grain storage capacity and historical grain
throughput for all their grain storage buildings, bins and silos are
known.
[GRAPHIC] [TIFF OMITTED] TP09JY14.005
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Tp = Maximum annual throughput of grain for all
buildings, bins (excluding TSFs) and silos used to store grain
(bushels per year) over the previous 5 years.
Ct = Total storage capacity of all TSFs used to store
grain (bushels).
Equation 2 is proposed for grain elevators where the grain storage
capacity and historical grain throughput for all grain storage
buildings, bins or silos are not known. Equation 2 would be used at
grain elevators that had at least one storage building, bin, or silo
that did not exist prior to the date of construction, modification or
reconstruction of the affected facility.
Ctp = Cp + (0.34 * Ct) (Eq. 2)
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Ct = Total storage capacity of all TSFs used to store
grain (bushels).
0.34 = Default ratio of permanent grain storage capacity to annual
throughput
``Grain unloading station'' is proposed as specified in Table 3 of
this preamble.
``Grain loading station'' is proposed as specified in Table 3 of
this preamble.
``Temporary storage facility'' or ``TSF'' is proposed to be defined
as any grain storage bin that: (1) Uses an asphalt, concrete or other
improved base material; (2) uses rigid, self-supporting
[[Page 39248]]
sidewalls; (3) provides aeration; and (4) provides a covering or tarp.
``Wire screen column dryer'' is proposed to be defined to be any
equipment used to reduce the moisture content of grain in which the
grain flows from the top to the bottom in one or more continuous packed
columns between two woven wire screens or between a combination of
perforated metal sheets and wire screens.
``En-masse drag conveyor'' is proposed to mean a device that uses
paddles or flights mounted on a chain to remove grain from a barge or
ship.
``Portable equipment'' is proposed to mean equipment that includes
(but is not limited to) portable augers, portable conveyors and front-
end loaders that are not fixed at any one spot and can be moved around
the site.
PM Standards
We are proposing the following actions regarding the PM standards:
Maintain the subpart DD standards for ``rack dryers'' and
``column dryers'' and add a provision that ``wire screen column
dryers'' are prohibited from discharging into the atmosphere any gases
that exhibit greater than 10-percent opacity.
Clarify the requirements for barge and ship unloading
stations using an unloading leg as specified in Table 3 of this
preamble.
Add an opacity limit of 10 percent for all affected
facilities at barge and ship unloading stations that unload grain using
en-masse drag conveyors.
Require that requests for an equivalency determination for
alternative controls for barge unloading stations apply only to barge
unloading stations that do not use an unloading leg or en-masse drag
conveyor.
Add a requirement that unloading facilities and grain
handling operations at TSFs meet the subpart DD requirements for PM
(0.01 gr/dscf) and opacity (5 percent for truck unloading and 0 percent
for grain handling) if portable equipment is not used.
Add a requirement that the standards of subpart DDa apply
at all times including periods of SSM.
Test Methods and Procedures
We are proposing the following actions to test methods and
procedures:
Annual opacity testing be conducted for each applicable
opacity limit for each affected facility (using Method 9).
PM testing be conducted every 60 months for each
applicable PM limit for each affected facility (using Method 5 or 17).
Reporting Requirements
We are proposing that, within 60 days of each performance test, the
results of the performance test be submitted electronically to the EPA
using the Compliance and Emissions Data Reporting Interface (CEDRI)
that is accessed through the EPA's CDX (https://cdx.epa.gov/).
Performance test data would be required to be submitted in the file
format generated through use of the EPA's ERT (see https://www.epa.gov/ttn/chief/ert/). This requirement only applies to the EPA
test methods that are ERT-compatible. These methods are listed on the
ERT Web site.
Startup, Shutdown and Malfunction Requirements
The General Provisions in 40 CFR part 60 provide that emissions in
excess of the level of the applicable emission limit during periods of
SSM shall not be considered a violation of the applicable emission
limit unless otherwise specified in the applicable standard. See 40 CFR
60.8(c). The General Provisions, however, may be amended for individual
subparts. Here, the EPA is proposing standards in subpart DDa that
apply at all times as specified in the proposed Sec. 60.302a(e). This
is discussed further in section V.C.3, and with respect to specific
standards in various sections below.
Monitoring Requirements
We are proposing the following new monitoring requirements:
Fabric filter/baghouse inspections every 6 months.
Weekly visible emissions checks of affected facilities.
Recordkeeping Requirements
We are proposing the following new records:
Total storage capacity (bushels) for each building, bin
(excluding TSFs), and silo used to store grain.
Storage capacity for each TSF.
Calculations documenting the emissions quantification for
excess emission events.
Results of fabric filter/baghouse inspections and any
corrective action taken maintained on-site.
Results of weekly visible emission checks, including any
corrective action taken. Records maintained on site for a minimum of 36
months.
Results of the annual opacity tests.
The type of grain processed during performance tests at
the affected facility.
V. Rationale for Proposed Amendments
CAA section 111(a)(1) requires that standards of performance for
new sources reflect the ``. . . degree of emission limitation
achievable through the application of the best system of emission
reduction which (taking into account the cost of achieving such
reduction, and any nonair quality health and environmental impacts and
energy requirements) the Administrator determines has been adequately
demonstrated.''
Section 111(b)(1)(B) of the CAA requires the EPA to review and
revise, if appropriate, NSPS standards. Accordingly, we conducted the
following evaluations as part of our review of subpart DD:
We conducted a BSER analysis for the grain elevator source
category.
We evaluated the method for determining applicability
under subpart DD.
We evaluated whether any changes are needed to the subpart
DD compliance requirements.
We evaluated subpart DD for any provisions that need
clarification.
We are proposing minor revisions to subpart DD that would apply
retrospectively to all facilities that currently are subject to subpart
DD. We are also proposing a new subpart DDa that would apply to
affected facilities that commence construction, modification or
reconstruction after July 9, 2014. The proposed requirements in subpart
DDa include the clarifications we are proposing to subpart DD as well
as some substantive new requirements. Our decision to propose revisions
to subpart DD and propose a new subpart DDa is explained in detail in
sections V.A through D of this preamble.
A. How did the EPA conduct the BSER analysis?
A performance standard reflects the degree of emission limitation
achievable through the application of the BSER that the EPA determines
has been adequately demonstrated, taking into consideration costs,
nonair quality health and environmental impacts and energy
requirements.
We conducted the BSER review by first assessing changes that have
occurred to the grain elevator source category since the last review of
the NSPS in 1984. We then identified currently used, new and emerging
control systems and assessed whether they represent advances in
emission reduction techniques compared to the control techniques used
to comply with the existing NSPS. For each new or emerging control
option identified, we then evaluated emission reductions, costs, energy
requirements and non-air quality impacts. The results of these
considerations are presented in section V.A.1 of this preamble.
[[Page 39249]]
1. Evaluation of Grain Elevator Source Category for Significant Changes
to Emission Sources
The EPA gathered information from various sources to identify
significant changes that have occurred to the grain elevator source
category since the last NSPS review. We reviewed several sources of
information, including responses from an industry survey, information
in the RACT/BACT/LAER Clearinghouse (RBLC), requirements in state rules
and additional information collected from the grain elevator industry.
Sections V.A.1.a through V.A.1.d of this preamble describe our review
of each source of information and section V.A.1.e of this preamble
presents the results of the EPA's evaluation of these sources including
any significant changes identified.
a. CAA Section 114 Information Collection Request
To characterize the current state of emissions, practices,
operations and controls in the industry, we conducted a CAA section 114
ICR in 2009 for grain elevator operations. The survey was addressed to
facilities with any grain elevator that would constitute a ``grain
terminal elevator'' or a ``grain storage elevator'' (as defined in 40
CFR 60.301). To gather general background information about the
industry, respondents were required to submit information for
facilities based on storage type, grain(s) handled and the EPA region.
Survey responses were collected from 121 grain elevators. The survey
responses provided information on grain elevator capacity, grain
elevator throughputs for three successive years, the use of temporary
storage facilities, barge unloading operations, dryer design, general
information on facility characteristics and control devices and work
practices used to reduce PM emissions from various sources. The survey
responses and database developed from the response information are in
the grain elevator docket at EPA-HQ-OAR-2010-0706.
b. Review of the RACT/BACT/LAER Clearinghouse
The EPA established the RBLC as a repository of information on air
pollution control technologies required by state air pollution control
programs (including past RACT, BACT and LAER decisions). Reasonably
Available Control Technology is required on existing sources in areas
that are not meeting national ambient air quality standards (i.e., non-
attainment areas). Under the New Source Review (NSR) program, BACT is
required on new or modified major sources in attainment areas and LAER
is required on new or modified major sources in non-attainment areas.
We reviewed the RBLC to identify any new control technologies that have
been used at grain elevators since the last review of the rule. Results
of the RBLC review are discussed in the memorandum, ``Evaluation of the
Revisions to Grain Elevator Emission Standards'' in the grain elevator
docket at EPA-HQ-OAR-2010-0706.
c. Review of State Regulations
In order to assess whether state regulations provide more stringent
emission limits or additional controls than subpart DD, we conducted a
review of the regulations from the 12 states with the most grain
storage capacity and the largest number of grain elevators in
operation. The 12 states are: Iowa, Illinois, Minnesota, Nebraska,
Kansas, Indiana, North Dakota, South Dakota, Ohio, Texas, Missouri and
Wisconsin. We reviewed each state's grain elevator standards and
evaluated other state regulations controlling PM, opacity and fugitive
dust emissions that may be applicable to grain elevators. The review of
state rules is presented in the memorandum, ''Evaluation of Grain
Elevator Emission Standards in Response to Executive Order 13563'' in
the grain elevator docket at EPA-HQ-OAR-2010-0706.
d. Other Data Gathering Activities
The EPA conducted several meetings with a coalition representing
grain elevators owners and operators. Members of the coalition provided
information on current practices and provided technical presentations
to the EPA. The technical presentations and coalition submittals are
contained in the grain elevator docket at EPA-HQ-OAR-2010-0706.
e. Results of Evaluations
Based on our review of the state rules, we identified no
requirements more stringent than those in subpart DD. Our review of the
RBLC did not identify any control techniques that are different from
the control techniques used by grain elevators to comply with the
subpart DD standards. Our review of the survey responses and
information gathered at meetings resulted in identifying: (1) Emissions
test reports and one control technique that we determined not to be
BSER for affected facilities as explained below, and (2) several new
emission sources since subpart DD was last reviewed in 1984. Section
V.A.e.2 discusses our evaluation of new information collected for
existing affected facilities. Section V.A.e.3 discusses our evaluation
of the new emission sources. Both evaluations are documented in the
memorandum, ``Evaluation of the Revisions to Grain Elevator Emission
Standards'' in the grain elevator docket at EPA-HQ-OAR-2010-0706.
2. BSER Evaluation for Subpart DD Affected Facilities
Subpart DD regulates the following affected facilities: grain
dryers, grain handling, grain loading stations (trucks, railcars and
barges/ships) and grain unloading stations (trucks, railcars and
barges/ships). Subpart DD requires affected facilities, except grain
dryers, to meet a PM emission limit of 0.01 gr/dscfm for process
emissions (i.e., non-fugitive emissions). All affected facilities are
also required to meet opacity limits, specific to each affected
facility, to control fugitive dust emissions. As discussed earlier, we
did not identify any more stringent state requirements or more advanced
emission control technology from the RBLC for these affected
facilities.
Some of the grain elevators responding to the 2009 CAA section 114
survey also provided emissions test reports and permit information. We
evaluated the PM emissions test reports to determine whether the PM
emission limits in subpart DD were reflective of emissions from well-
controlled facilities. The survey responses, permit information and
information collected from a literature search provided information on
application of mineral oil as a dust suppression technique to reduce
fugitive PM emissions. We conducted a BSER analysis for fugitive
emissions considering the application of mineral oil to grain.
The results of the BSER analysis showed that for fugitive sources,
the limited information available did not indicate any advances in
emission control techniques that support changing the current NSPS
requirements, including the application of mineral oil. An emission
limit developed using the emissions data collected with the survey
responses resulted in an achievable limit that is the same as the limit
in subpart DD. Our detailed review is discussed in V.A.2.a and V.A.2.b
of this preamble.
No other emission control technologies or work practices have been
identified for reducing emissions from affected facilities at grain
storage or grain terminal elevators. Based on these results, consistent
with our obligations under CAA section 111(b), we propose that the
control techniques and resultant emission reductions on
[[Page 39250]]
which the current NSPS is based still represent BSER.
a. Review of PM Emission Limit
We conducted a BSER analysis to determine if we should propose a
different PM emission limit for newly constructed, modified, and
reconstructed affected facilities at grain elevators. Subpart DD
requires process emissions from affected facilities (e.g., truck
unloading stations, grain handling operations, etc., but excluding
grain dryers) to meet a PM emission limit of 0.01 grains per dry
standard cubic foot (gr/dscf). Grain elevators typically meet the
standard using fabric filters.
The EPA estimates between 340 and 920 grain elevators could be
subject to Subpart DD. In 2009, EPA sent CAA section 114 surveys to 120
grain elevators to characterize the industry and obtain data on PM
emission control techniques and associated emissions. Respondents to
the survey provided PM emission test reports from 15 grain elevators,
which represent only approximately 1.6 percent to 4 percent of the
grain elevators potentially subject to subpart DD. We first evaluated
the test reports to determine whether sufficient information existed to
propose revisions to the PM emission limit. The 15 grain elevators who
submitted test reports for PM emissions controlled with fabric filters
submitted those reports for the following affected facilities: (1) 7
railcar unloading stations; (2) 4 truck unloading stations; (3) 3 grain
handling operations; and (4) 2 barge unloading stations. The survey
results indicated that a typical grain elevator has on average 2 truck
unloading stations, 4 grain handling operations, 1 barge unloading
station, and 1 railcar unloading station. Information provided in the
survey responses also indicated that approximately 75 percent of
railcar unloading stations, truck unloading stations, barge unloading
stations, and grain handling operations are subject to subpart DD.
Applying the typical counts to the estimated range of grain elevators
that could be subject to subpart DD, and accounting for the fraction
that could be subject to subpart DD, the number of affected facilities
potentially subject to subpart DD is between 2,200 and 6,200. Comparing
these numbers to the number of tests reports collected, we estimated
that the facilities submitting PM emission test reports account for
only approximately 0.3 percent to 0.7 percent of the population of
railcar unloading stations, truck unloading stations, grain handling
operations, and barge unloading stations at grain elevators that could
be subject to subpart DD. Additionally, the test reports do not include
any tests conducted at barge/ship loading stations, railcar loading
stations, or truck loading stations.
We further evaluated the PM emission levels from the available test
reports, measured as an average of three test runs, which ranged from
0.01 to 0.00002 gr/dscf. It appears the wide variation in PM emissions
is due to the different affected facilities that were tested, other
operational considerations (i.e., speed of the process) and grain
characteristics. EPA had previously concluded that the amount of dust
emitted during processing of grain in the various affected facilities
depends on the type of grain being handled, the quality of the grain,
and the moisture content of the grain.\1\ The emission test information
gathered for the 1978 subpart DD proposal \2\ indicates that the type
of grain processed affects the PM emissions, with one to two orders of
magnitude difference in PM emissions between affected facilities
processing soybeans and corn (higher emissions) than those processing
wheat and milo. The PM emission limit in the grain elevator NSPS covers
eight different grains. However, it does not appear that the emission
tests for the 15 grain elevators cover all the 8 grains. Many of the
test reports do not indicate the grain type being processed during the
test.
---------------------------------------------------------------------------
\1\ Compilation of Air Pollution Emission Factors. Chapter 9.9.1
Grain Elevators and Processes.
\2\ 1978 BID, Chapter 5.
---------------------------------------------------------------------------
In considering the limited data and the limitations of the data, we
concluded that the PM emission test reports do not sufficiently
characterize the performance of fabric filters controlling PM from the
full range of affected facilities subject to subpart DD. Accordingly,
we have determined that there is insufficient available information to
support proposed revisions to the PM emission limits. We are therefore
proposing to maintain the PM limit at 0.01 gr/dscf.
We believe the limited number of test reports submitted is due to
the current subpart DD only requiring one initial emission test of an
affected facility. As discussed in Section V.C.1 of this preamble, EPA
believes that additional testing is needed to ensure compliance with
the emission limit. We are therefore proposing, in subpart DDa, to
require repeat testing of affected facilities every five years. Not
only will these tests help the sources determine compliance with the
standards, they will provide a more robust set of information for when
this rule is next reviewed. We estimate that by the next 8 year review
of subpart DDa, initial PM emission tests may be conducted on as many
as 300 affected facilities and repeat testing may be conducted on as
many as 120 affected facilities, providing approximately 420 PM
emission tests to evaluate for determining whether to revise the PM
limit. We are also proposing that the emission tests be conducted while
processing the highest PM emitting grains to establish PM emissions for
all operating scenarios that are expected to occur. We are also
proposing to require records of the grain type processed during the
testing.
b. Application of Mineral Oil
A few permits submitted with responses to the CAA section 114
surveys indicate that some grain elevators use mineral oil as a
fugitive dust suppression technique. Mineral oil application is
primarily used to reduce the possibility of a grain elevator explosion
caused by dust.
The EPA has previously studied the application of mineral oil at
grain elevators, noting that there were several potential benefits,
such as reduced dust disposal cost, less grain weight loss, as well as
improved safety in the working environment.\3\ However, compared to
currently used technology for controlling process emissions, i.e.,
fabric filters, the study indicated that oil application systems were
not as effective as fabric filters in reducing PM. The EPA also
concluded that the emission tests conducted were inadequate for the
purpose of determining emissions and developing emission factors
because they were pilot studies or controlled tests. Therefore, mineral
oil application as a replacement for existing controls has not been
demonstrated to be a feasible control option. We do not have
information on the appropriateness or effectiveness of using mineral
oil in combination with existing technologies, such as fabric filters.
---------------------------------------------------------------------------
\3\ Oil Suppression of Particulate Matter at Grain Elevators.
U.S. Environmental Protection Agency. EPA-453/R-94-049. July 1994.
---------------------------------------------------------------------------
The subpart DD fugitive emission standards require meeting a 0
percent opacity limit for grain handling operations and require
opacities ranging from 5 to 20 percent for loading and unloading
stations. We do not have information on how mineral oil application
would affect the fugitive opacity limits, e.g., whether the opacity
levels would decrease to 0 percent, stay the same or result in another
limit. Additionally, portable grain handling equipment, such as
portable augers,
[[Page 39251]]
portable conveyors and front-end loaders are often used at grain
elevators. We do not have information on whether mineral oil
application is feasible or would reduce emissions at facilities that
use portable grain loading equipment to reduce fugitive emissions. The
size and design of these systems may affect both their ability and the
time necessary to mix mineral oil thoroughly with grain to be an
effective dust suppression technique.
The EPA mineral oil study also noted that there are concerns
regarding the effect the oil has on grain quality, and consequently,
its price. The EPA study indicates that mills and distilleries are
concerned about the long-term effects of oil on grain. For some grains,
the use of mineral oil may be more problematic, such as for wheat in
the milling process. In addition, grain exported to other countries may
be required to meet hydrocarbon levels and grain not meeting those
levels may be considered contaminated. For example, the European
Union's code of practices states that any detection of a level of
mineral oil above 300 mg/kg is considered to be contaminated by mineral
oil. Therefore, mineral oil application might not be economically
feasible for all grains and may result in product quality and
contamination concerns.
EPA has only limited information on the effectiveness and cost of
mineral oil application, and no test information. We have concluded
that mineral oil application as a dust suppression technique for
limiting emissions from fugitive sources has not been demonstrated.
Therefore, we are not proposing a requirement to use mineral oil. We
are requesting additional information on the effectiveness of mineral
oil in combination with existing controls and when applied at fugitive
sources regulated by the NSPS, particularly those associated with
portable grain handling equipment. We are also soliciting information
on the capital and operating cost of mineral oil application systems
and any problems in grain quality associated with using mineral oil.
3. BSER Evaluation for New or Significantly Changed Emission Sources
Our review of the survey responses and presentations by
representatives of the grain elevator industry identified the following
three significant changes that have occurred to grain elevators since
the last review of subpart DD in 1984:
Use of new barge unloading technologies (e.g., en-masse
drag conveyors).
Use of wire screen column dryers.
Use of TSFs.
We evaluated each of the changes to determine if they result in new
emission sources, and, if so, whether existing subpart DD requirements
represent BSER. To assess BSER, we: (1) Identified available control
measures applicable to each emission source; and (2) evaluated these
measures to determine emission reductions achieved, associated costs,
nonair environmental impacts, energy impacts and any limitations to
their application. The evaluation is presented in sections V.A.3.a
through V.A.3.c of this preamble. The BSER analysis is documented in
the memorandum, ``Evaluation of the Revisions to Grain Elevator
Emission Standards'' in the grain elevator docket at EPA-HQ-OAR-2010-
0706.
a. New Unloading Operation Emission Sources at Barges--En-Masse Drag
Conveyors
Barge unloading stations are an affected facility regulated by
subpart DD. Subpart DD standards for barge and ship unloading were
established for a specific type of unloading mechanism, referred to as
either a marine leg or bucket elevator. Under subpart DD, process
emissions caused by unloading using a marine leg/bucket elevator must
be controlled by enclosing the marine leg/bucket elevator from the top
to the bottom of the leg. Emissions must be vented to a control device
using a ventilation flow rate of 40 ft\3\ per bushel of grain unloaded
for both the marine leg/bucket elevator and receiving hopper. Subpart
DD also provides for an equivalency determination in situations where
it is not possible to meet the design standards. Since the EPA's last
review of subpart DD, several new barge unloading mechanisms have been
developed and used, at least one of which does not utilize a bucket
elevator or marine leg, and, as such, cannot use the design standards.
Some barge unloading stations currently use en-masse drag
conveyors, which were not in use the last time we reviewed subpart DD.
En-masse drag conveyors operate under a different principle than bucket
elevators or marine legs. En-masse drag conveyors are plug-flow drag
conveyors that are designed to operate vertically. The conveyor uses
paddles or flights mounted on a chain to move grain. The side of the
conveyor where the grain is being transferred is filled with grain.
This type of unloader is significantly different than a bucket
unloading leg which has open space between each bucket and can
therefore be enclosed and ventilated to a control device. Therefore,
dust aspiration to meet the design ventilation requirement of 40 ft\3\
per bushel of grain is not feasible for en-masse drag conveyors because
there is no headspace for air passage to the grain inlet at the base of
the conveyor. Additionally, the normal mode of operation is to bury the
conveyor inlet into the grain being unloaded, which eliminates the need
for dust aspiration at this point. These types of unloaders are
becoming more common as they are more efficient than the bucket
unloaders--both in the movement of more grain in less time and also
requiring fewer personnel for the operation. Particulate emissions are
controlled by the design of the unloader (burying inlet in grain)
without an add-on emission control system. This newer unloading system
was developed for a variety of reasons, including faster unloading
rates, higher capacity unloading, cost savings and other site-specific
reasons.
Section 111 of the CAA makes an allowance for the EPA to
subcategorize source categories based on differences in size, type and
class. An en-masse drag conveyor is a different type of barge unloading
system than the marine leg or bucket elevator due to the differences in
the unloading mechanism. As such, en-masse drag conveyors constitute a
new subcategory of barge unloading system. All emissions from barge
unloading using an en-masse drag conveyor are fugitive in nature
because they cannot be captured and ventilated to a control device.
Some barges have a small opening where the en-masse drag conveyor
enters and those openings can be covered around the en-masse loader,
thereby limiting fugitive emissions. Other barges have a large opening
where a bulldozer is lowered into the barge to move grain toward the
unloader. This type of application of the en-masse drag conveyor does
not allow openings to be covered, due to safety requirements. No other
technologies or techniques have been identified to control fugitive
emissions from barge unloading.
The EPA collected test results from two one-hour method 9 tests for
opacity conducted at one en-masse system (loading into the barges with
larger openings) to demonstrate equivalency with the current standards,
per the requirements in 60.302(d)(3) of subpart DD. Method 9 requires
that opacity readings be recorded to the nearest 5 percent at 15-second
intervals. Opacity is determined as an average of 24 consecutive
observations, i.e., a set of observations. The average opacity levels
during the highest set of observations of each test were 8.75 and 9.79
percent. Because method 9 opacity
[[Page 39252]]
measurements are taken in increments of 5 percent, a limit based on the
opacity tests must be rounded to the nearest multiple of five. For the
tests reviewed, the resulting emission limit is 10 percent opacity. The
EPA did not receive any information regarding whether there would be
any cost associated with meeting the limit (other than testing and
recordkeeping and reporting), or receive any information regarding
whether there would be any emission reductions. However, a comparison
between the opacity limit calculated and the data collected from the
en-masse conveyor show that the 10 percent opacity limit can be met by
affected facilities using the en-masse conveyor system to unload barges
without additional control, resulting in no cost or emission impacts
for meeting the opacity limit. Additionally, we do not expect there to
be any non-air quality health and environmental impacts associated with
the limit, nor any changes in energy usage or emissions of any other
pollutant.
Based on our evaluation, we are proposing a new subcategory for
barge unloading stations--barge unloading stations with an en-masse
drag conveyor. Based on these results, consistent with our obligations
under CAA section 111(b), we are proposing that the 10 percent opacity
limit represents BSER for en-masse drag conveyors used to unload grain
from barges. We are also proposing that such systems be required to
meet an opacity limit of 10 percent at all times.
We expect that en-masse drag conveyor systems that have a small
opening could achieve a lower level of opacity if the opening was
covered; however, we do not have sufficient data to establish a
different opacity limit for these systems. We do not have information
on the effectiveness of the cover, costs of the cover, procedures for
using the cover or if there are operational or health issues that may
occur if the opening is covered. We are requesting additional
information to evaluate this control option.
Subpart DD contains provisions that allow for alternative methods
of control for barge unloading stations instead of meeting the
requirements for unloading legs. We are also proposing similar
provisions for subpart DDa. We are proposing that affected barge
unloading stations not using an unloading leg or an en-masse drag
conveyor may use other methods of emission control that are
demonstrated to the Administrator's satisfaction to reduce emissions of
PM to the same level or less than the standards for barge unloaders
using marine legs or en-mass drag conveyors.
The EPA requests comment on all aspects of the BSER determination
for barge unloading using an en-masse drag conveyor. We also request
comment on whether there are other types of barge unloading systems
that should be considered for subcategorization. If so, the EPA
requests information on control technologies that may be used on the
unloading system, costs, emission reductions associated with the
control and emissions test information for them. The EPA also requests
information on technologies or practices that may be used to control
emissions from barge unloading using an en-masse conveyor system and
additional opacity tests conducted at en-masse conveyor systems.
b. New Wire Screen Column Dryers
Grain dryers are an affected facility under subpart DD. The subpart
DD emission limits for dryers were established for two types of grain
dryers used at grain elevators: rack dryers and column dryers. Grain
column dryers are defined as equipment used for drying the grain in
which the grain flows by gravity from the top of the dryer to the
bottom in one or more packed columns between two perforated metal
sheets. Subpart DD requires that PM emissions from grain dryers be
reduced by meeting an opacity limit of 0 percent if a column dryer uses
column plate perforations exceeding 0.094 inches, or if a rack dryer
passes exhaust gases through a screen filter coarser than 50 mesh.
In its review of the grain elevator industry, the EPA found that an
additional type of column grain dryer not addressed in subpart DD is
now being used. Most rice dryers currently use column dryers with woven
wire mesh screens in place of, or in addition to, perforated plates
because perforated plates damage the rice kernel, are less efficient
for rice drying and are not durable. All the wire mesh column dryers
reported in response to the ICR except one are used for drying rice.
The wire screens also allow for air transport from the dryer while
entrapping PM from the rice. Information provided by one company drying
rice shows that of the 126 dryers they operate, 115 are column dryers;
115 of all the dryers (column and rack) use a wire screen of 24 mesh
size, and 9 use a 50 mesh size for controlling PM emissions (50 mesh is
a smaller screen size than 24 mesh). The 50 mesh screens are being
replaced over time because of maintenance and plugging problems.
After an evaluation of the differences in size, type and class of
column dryers, per CAA section 111, the EPA is proposing that wire
screen column dryers constitute a new subcategory of grain dryers
because they are a different type of dryer to which subpart DD does not
apply.
Emissions from grain dryers are fugitive in nature. It is not
possible to fully enclose grain dryers and vent PM emissions to a
control device because of the large size of the dryer, the way that PM
is emitted (through the side walls of the dryer rather than from a
stack or vent), and because the dryer needs sufficient air flow to work
properly and an enclosure would restrict the airflow. Therefore, there
are no add-on controls that can be applied to control PM emissions from
these dryers. The PM emitted is a function of the size of the openings
on the dryer sidewalls. Larger openings emit more PM. The current
industry practice is to use wire screens of 24 mesh size to reduce the
size of the openings, resulting in reducing PM emissions.
The BSER for rice dryers is to use a wire screen size of 24 mesh,
as it reduces PM emissions and also allows proper operation of the
dryer. We identified no regulatory options that are more stringent and
are technically viable. Higher mesh sizes (e.g., 50, 100) are available
that would have smaller openings, resulting in even more emissions
reductions. However, information from one rice facility indicates that
the 50 mesh screens cause plugging problems and choke the airflow of
the dryers and require substantial maintenance to clean. The EPA also
determined, during the development of subpart DD in 1978, that the
higher sizes, such as 100 mesh screens, would restrict air flow and
result in more plugging of the openings such that there would be an
unreasonable cost impact due to the need to clean the screens
frequently, reduced drying performance and additional energy
requirements. Those determinations are still true today.
The EPA collected opacity information for four column dryers with
24 mesh wire screens for drying rice. The opacity data for these dryers
consist of one run of 30 minutes of observation for each dryer. The
average opacities for the four dryers ranged from 1.13 to 8.38 percent,
with the average opacities for the highest period of observation
ranging from 5 to 10 percent. After rounding to the nearest increment
of 5 percent, the corresponding opacity limit based on the data from
the four rice dryers is 10 percent. Based on the information collected,
this level is achievable by all wire screen column dryers using 24
mesh.
Because this limit is achievable by the wire screen column dryers
that
[[Page 39253]]
provided information, and these dryers would be similar or the same as
future dryers constructed (i.e., wire screen column dryers using 24
mesh), we estimated there to be no cost or emission impacts from
meeting a 10 percent opacity limit (other than testing, recordkeeping
and reporting costs). The addition of wire screen of 24 mesh to column
dryers is an equipment design feature that reduces PM instead of a
separate add-on control device where emissions are vented. The wire
screens would not generate secondary pollutant emissions or result in
increased energy use. Therefore, the EPA estimated no nonair quality
health and environmental impacts associated with the limit nor any
changes in energy usage or emissions of any other pollutant.
Based on this evaluation, we are proposing a new subcategory of
wire screen column dryers in subpart DDa with an opacity limit of 10
percent for this subcategory. Based on these results, consistent with
our obligations under CAA section 111(b), we propose that an opacity
limit of 10 percent represents BSER for wire screen column dryers and
are proposing standards for wire screen column dryers in subpart DDa.
We have information from one Method 9 test conducted during filling
and emptying operations for one wire screen column dryer drying rice.
The average opacity for one run of 30 minutes was 15.6 percent, with
the average opacity for the highest period of observation during the
run at 28.75 percent. We are soliciting additional emissions test
information and descriptions for emptying and filling activities to
fully understand this process and set, if appropriate, a standard of
performance.
We request comment on all aspects of the BSER analysis for wire
screen column dryers. We also request additional emission test
information for this subcategory of grain dryer.
c. Temporary Storage Facilities
Subpart DD does not regulate grain storage units (buildings, bins,
silos). Instead, subpart DD regulates each affected facility (e.g.,
loading and unloading stations, grain dryers, grain handling
operations) at any grain terminal elevator or any grain storage
elevator. Under subpart DD, grain terminal elevators and grain storage
elevators are defined in part by their permanent grain storage
capacity. ``Grain terminal elevator'' means any grain elevator that has
a permanent storage capacity of more than 2.5 million bushels
(excluding elevators located at animal food manufacturers, pet food
manufacturers, cereal manufacturers, breweries and livestock feedlots).
``Grain storage elevator'' means any grain elevator located at any
wheat flour mill, wet corn mill, dry corn mill used for human
consumption, rice mill or soybean extraction plant that has a permanent
grain storage capacity of 1 million bushels.
Temporary storage facilities have been used by the grain elevator
industry since the early 1990s. They are intended for bulk storage of
grain on a temporary basis, i.e., they are intended to handle
intermittent surges and surpluses and are not used necessarily every
year. Under the U.S. Warehouse Act, TSFs are licensed and are defined
by the following criteria:
Use of asphalt, concrete or other approved base material.
Use of rigid self-supporting sidewalls.
Use of aeration.
Use of an acceptable covering (e.g., tarp).
In 2007, the EPA received a letter from the National Grain and Feed
Association requesting clarification about whether a TSF would
constitute ``permanent storage capacity'' as defined in subpart DD for
the purpose of determining applicability under subpart DD. On November
21, 2007, the EPA issued a letter indicating that TSFs should be
included in ``permanent storage capacity'' when determining the
applicability of subpart DD. The EPA conducted additional reviews of
TSFs and decided that changes to the definition of ``permanent storage
capacity'' were more appropriately made as part of this NSPS review.
Consequently, the EPA issued letters in July 2014 to the National Grain
and Feed Association and the National Oilseed Processors Association,
rescinding the November 21, 2007, letter. These letters can be found at
Docket ID Number EPA-HQ-OAR-2010-0706.
Information collected in responses to surveys the EPA sent to grain
elevators, gathered at site visits, and at industry meetings indicate
that while grain stored in TSFs is kept on a temporary basis, the TSF
structures are generally in place on a long-term basis and not
dismantled, and may be used for multiple crops. Considering the length
of time the structure is in place, the TSF structure then serves the
same purpose as a permanent structure, even though the materials of
construction and storage times are different. Therefore, we are
proposing that the definition of ``permanent storage capacity'' include
TSF capacity. However, we recognize that emissions from TSFs are
significantly different than emissions from permanent structures due to
the differences in grain throughputs. Therefore, we are also proposing
a methodology to prorate the TSF storage capacity for the applicability
determination. Our discussion of this methodology is provided in
section V.B of this preamble.
We also evaluated BSER for affected facilities associated with
TSFs. Information from site visits and survey responses indicate that
only truck unloading and loading stations and grain handling operations
are used at TSFs. Based on the survey responses and information
provided by the industry, we determined that there are two types of
grain handling and loading/unloading operations associated with TSFs:
(1) Those associated with portable grain handling and loading/unloading
equipment; and (2) those associated with fixed grain handling and
loading/unloading equipment.
Portable grain handling/loading/unloading equipment include (but
are not limited to) portable augers, portable conveyors and front-end
loaders that are not fixed at any one spot and can be moved around the
site. These pieces of equipment are typically not enclosed due to
potential fine dust explosion risk and are therefore not vented to a
control device. This explosion risk, combined with the portable nature
of the equipment and associated emissions does not permit the capture
and routing of the emissions through a stack for control. As such,
their emissions are fugitive in nature. The EPA does not have any
emission test information on portable grain handling, unloading
stations and loading stations. We also have identified no technically
viable emission control options for portable equipment. We considered
application of mineral oil for dust suppression, but determined in
section A.2.b of this preamble that application of mineral oil was not
an appropriate emission control technique. Consequently, we propose to
determine that BSER for portable grain handling, loading and unloading
equipment associated with TSFs is no control. We request comment on our
proposed determination. We are also soliciting emissions test data for
these sources, as well as information on the types of emission controls
that are feasible and the cost of the controls.
Fixed grain handling and loading/unloading equipment are
constructed to be stationary and directly connected to the storage
facilities for ease of transferring grain. Fixed equipment can also be
enclosed and emissions can be vented to a control device. Fixed
equipment at TSFs are similar to those associated with permanent
storage
[[Page 39254]]
units. To control emissions from affected facilities associated with
TSFs, we identified one regulatory option to be equal to the subpart DD
requirements for affected facilities for permanent storage units. These
requirements include: (1) Meeting a PM emission limit of 0.023 g/dscm
and an opacity limit of 0 percent for process emissions; and (2)
meeting fugitive emission standards of a 5 percent opacity limit for
truck unloading stations, and 0 percent opacity for grain handling
operations. Loading operations from TSFs are typically done with
portable equipment, which we propose the BSER to be no control. No
other regulatory options were identified that are more stringent than
the subpart DD requirements. As discussed in section A.2.b of this
preamble, we evaluated test information submitted with the grain
elevator survey responses and determined that the emission limit that
has been demonstrated to be achievable is the same as the current
subpart DD standards. Controls used at grain elevators are well-
operated fabric filters and no controls more effective than fabric
filters were identified.
We conducted a BSER analysis for meeting the subpart DD
requirements by evaluating the costs and emission reductions over a 5
year period to be consistent with the economic impacts analysis. We
identified three scenarios at grain elevators that would be affected by
adding TSFs: (1) A greenfield facility that exceeds the subpart DDa
applicability criteria due to the capacity of TSFs; (2) an existing
facility that is below the subpart DDa applicability criteria, but then
adds a TSF and exceeds the criteria; and (3) an existing facility
already subject to subpart DD (because it exceeds the subpart DD
applicability criteria) that then adds a TSF. The additional costs
associated with these scenarios include a shed to limit fugitives from
unloading stations to meet the applicable opacity standard, and in
certain situations, new fabric filters to meet PM limits. In other
situations, the EPA concluded that PM emissions from the affected
facility could be vented to an existing fabric filter at the grain
elevator. Emission reductions were estimated based on routing PM
emissions from grain sent to the TSF (and using truck unloading and
grain handling affected facilities) to a fabric filter.
We estimated the capital costs to be $1.09 million and the total
annual cost (including testing and monitoring costs) to be $0.616
million. The emission reductions were estimated to be 31 tons of
PM10 per year. Our analysis of BSER is documented in the
memorandum ``Evaluation of Revisions to Grain Elevator Emission
Standards.'' We determined that these costs and emission reductions
were reasonable and BSER is compliant with the proposed subpart DDa PM
and opacity limits for fixed equipment. We request comment on our
determination and additional cost and emissions information on these
systems specific to TSFs.
B. How did the EPA evaluate changes to the methodology for determining
applicability of the grain elevator NSPS?
Information collected in responses to surveys the EPA sent to grain
elevators shows that TSFs are intended for bulk storage of grain on a
temporary basis, i.e., they are intended to handle intermittent surges
and surpluses and are not used necessarily every year, even though the
structure may be in place for several years. The survey responses show
that, on average, TSFs have one turnover per year. Specifically, they
are filled one time in a year and emptied once each year. Other types
of storage facilities (buildings, bins (not including TSFs) and silos)
have, on average, nine turnovers a year, and throughput a significantly
higher amount of grain in a year than TSFs. The same amount of grain
stored in TSFs could be stored in smaller-sized permanent storage
facilities that are turned over more frequently. Due to the
uncertainties in crop forecasts and fluctuations in crop yields and
economics, TSFs are used rather than constructing other types of
structures that are more costly and may not be warranted in the future.
Emissions from affected facilities at grain elevators are
proportional to the amount of grain throughput. Consequently, affected
facilities associated with TSFs have significantly less emissions than
affected facilities associated with other types of storage.
Based on the information collected in the surveys and the EPA's
understanding of the different uses between TSFs and other types of
storage facilities, the EPA has concluded that the capacity of TSFs, as
an indicator of emissions, is not a one-to-one equivalency to the
capacity of other types of grain storage units. As a result, the EPA
analyzed the survey information and developed a method for calculating
an adjusted TSF storage capacity that would be equivalent to the
storage capacity of other types of grain storage units (i.e.,
buildings, silos and bins). This adjusted storage capacity for TSFs
would then be used to calculate ``permanent storage capacity'' by
summing the adjusted TSF capacity with the capacity for all other types
of structures.
For subpart DDa, the EPA is proposing a method for determining the
adjusted TSF storage capacity for a given grain elevator by: (1)
Establishing the ratio of total annual storage capacity of all other
types of storage facilities (excluding TSFs) to the total grain
throughput for those storage facilities; and (2) applying that ratio to
the total TSF capacity, thereby factoring down the TSF capacity.
For example, consider a grain elevator has 2,000,000 bushels of
storage capacity in silos and an average annual throughput of
16,000,000 bushels through the silos. The ratio of permanent storage
capacity to throughput is 0.125. If a TSF is constructed with a storage
capacity of 1,000,000 bushels, the TSF capacity would be multiplied by
the 0.125 ratio resulting in an equivalent permanent capacity of
125,000 bushels. The total permanent capacity of the grain elevator
would be 2,125,000 bushels.
The EPA is proposing that grain elevators with new affected
facilities use this method to calculate ``permanent storage capacity''
for determining applicability of subpart DDa. The EPA is proposing
that, when historical throughput data are available for all storage
facilities, grain elevators would be required to use the historical
data to calculate a site-specific adjusted TSF storage capacity, and
use the following equation to calculate ``permanent storage capacity:''
[GRAPHIC] [TIFF OMITTED] TP09JY14.006
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Tp = Maximum annual throughput of grain for all
buildings, bins (excluding TSFs) and silos used to store grain
(bushels per year) over the previous 5 years.
Ct = Total storage capacity of all TSFs used to store
grain (bushels).
For situations where at least one grain storage building, bin or
silo did not exist prior to the date that construction, modification or
reconstruction of the affected facility commenced (i.e., the grain
elevator does not have historical throughput data for the storage
facilities), the EPA is proposing that grain elevators use a default
factor to calculate the adjusted TSF capacity. The following equation
would be used to then calculate the ``permanent storage capacity'':
[[Page 39255]]
[GRAPHIC] [TIFF OMITTED] TP09JY14.007
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Ct = Total storage capacity of all TSFs used to store
grain (bushels).
0.34 = Default ratio of permanent grain storage capacity to annual
throughput
We request comment on this proposed approach. Refer to the
memorandum, ``Determination of Permanent Storage Capacity Equivalents
for Temporary Storage Facilities'' in the grain elevator docket at EPA-
HQ-OAR-2010-0706 for further details.
C. How did the EPA evaluate the compliance requirements in the grain
elevator NSPS?
In subpart DDa, we are proposing new monitoring, reporting and
recordkeeping requirements and new provisions for startup, shutdown and
malfunctions.
1. Testing and Monitoring Requirements
The EPA evaluated the monitoring requirements currently required in
subpart DD to determine if they are adequate for determining
compliance. Currently under subpart DD, grain elevators are required to
conduct an initial PM and opacity performance test but are not required
to perform follow-on testing to demonstrate continuous compliance. In
light of our understanding that equipment need to be periodically
maintained and checked for operational performance to ensure compliance
with the emission standards, the EPA concluded that additional
compliance requirements are needed in the proposed subpart DDa rule. In
subpart DDa, the EPA is proposing to require periodic compliance
testing for affected facilities. We are proposing that PM performance
tests using EPA Method 5 or Method 17 be conducted every 60 months and
opacity tests using Method 9 be conducted annually. We are proposing
that operators perform weekly visual emissions checks on affected
facilities and maintain records of these checks, including any
corrective action taken as a result of visible emissions. The proposed
requirements are expected to ensure that emission control systems are
properly maintained over time, ensure continuous compliance with
standards and improve data accessibility. For fabric filter and
baghouse control devices, we are proposing that affected facilities
perform periodic visual inspections of the inside of the baghouse or
fabric filter at intervals of 6 months. Corrective action must be taken
if the baghouse is in need of repair or replacement.
We are requesting comment on whether to require bag leak detection
systems (BLDS) at affected facilities controlled with fabric filters
and baghouses. Bag leak detectors are one method that has been used in
other source categories for ensuring proper performance of fabric
filter and baghouses. The EPA has estimated the capital cost of BLDS to
be $24,000 per application. We are soliciting comments on whether BLDS
can be used for affected facilities in this source category, problems
that may occur specific to their use in this source category and the
reasonableness of the cost for this source category.
2. Recordkeeping and Reporting Requirements
In subpart DDa, we are proposing that the following records be
maintained:
The total storage capacity (bushels) for each building,
bin (excluding TSFs) and silo used to store grain.
The storage capacity of each TSF.
Records quantifying emissions over the applicable
standards for excess emissions events.
Results of 6 month baghouse and fabric filter inspections,
including any corrective action.
Weekly visual emissions checks and any corrective action
taken as a result of positive visual emissions checks.
Results of annual opacity tests.
The type of grain processed during the performance test at
the affected facility.
In subpart DDa, we are proposing that the following records be
reported:
Results of performance tests, including Method 5, 17 and
9.
Reports required to be submitted by part 60 general
provisions.
The storage capacities of the various storage units are inputs to
the calculation of equivalent permanent storage capacity, which is an
input to the calculation of equivalent permanent storage capacity for
TSFs. They are necessary to verify compliance with the applicability of
the standard. Records quantifying the emissions for excess emission
events provide the EPA information on the magnitude of the emissions
release.
As discussed in section V.C.1 of this preamble, we are proposing
that grain elevators conduct PM compliance testing every 60 months and
opacity testing annually and conduct weekly visual inspections of
affected facilities. We are proposing that the Method 5 (or Method 17)
and the Method 9 test results be reported to the EPA. Results of the
visual inspections are proposed to be maintained on site. The type of
grain processed during performance tests allows EPA to better
characterize the emissions measured.
Electronic Reporting Tool
Through this proposal, the EPA is describing a process to increase
the ease and efficiency of performance test data submittal and improve
data accessibility. Specifically, the EPA is proposing that owners and
operators of grain elevators submit electronic copies of required
performance test reports to the EPA's WebFIRE database. Data will be
entered through an electronic emissions test report structure called
the ERT. The ERT will generate an electronic report which will be
submitted using the CEDRI. The submitted report will be stored in both
EPA's CDX and in the WebFIRE database making access to data very
straightforward and easy. A description of the ERT can be found at
https://www.epa.gov/ttn/chief/ert/ and CEDRI can be accessed
through the CDX Web site (www.epa.gov/cdx). A description of the
WebFIRE database is available at: https://cfpub.epa.gov/oarweb/index.cfm?action=fire.main.
The proposal to submit performance test data electronically to the
EPA applies only to those performance tests conducted using test
methods that will be supported by the ERT. The ERT contains a specific
electronic data entry form for most of the commonly used EPA reference
methods. A listing of the pollutants and test methods supported by the
ERT is available at: https://www.epa.gov/ttn/chief/ert/.
We believe that industry will benefit from this proposed approach
to electronic data submittal. The EPA believes, through this approach,
industry will save time in the performance test submittal process.
Additionally, the standardized format that the ERT uses allows sources
to create a more complete test report resulting in less time spent on
data backfilling if a source did not know which data elements were
required to be submitted. Also through this proposal, industry would
only need to submit a report once to meet the requirements of the
applicable subpart. This means that the report would be accessible on
the WebFIRE database by any stakeholder who requested a copy from the
facility resulting in a time saving for industry. This also benefits
industry by cutting back on recordkeeping costs as the performance test
reports that are submitted to the EPA using CEDRI are
[[Page 39256]]
no longer required to be kept on-site. Thus, staff time needed to
coordinate these records would be reduced.
Another benefit to industry is that since the EPA will already have
performance test data in hand, fewer or less substantial data
collection requests in conjunction with prospective required technology
reviews will be needed. This would result in a decrease in staff time
needed to respond to data collection requests.
State, local and tribal agencies will also benefit from more
streamlined and accurate review of electronic data submitted to them.
For example, the ERT would allow for an electronic review process
rather than a manual data assessment; thus making review and evaluation
of the source-provided data and calculations easier and more efficient.
In addition, the public stands to benefit from electronic reporting of
emissions data because the electronic data will be easier for the
public to access and it will be available shortly after it is submitted
in the system. For example, the WebFIRE database is easily accessible
and provides a user friendly interface for any stakeholder to find and
review any report submitted.
One major shared advantage of the proposed submittal of performance
test data through the ERT is a standardized method to compile and store
much of the documentation required to be reported by this rule. The ERT
clearly states what testing information would be required by the test
method and has the ability to house additional data elements required
by a delegated authority. Another important proposed benefit of
submitting these data to the EPA at the time the source test is
conducted is that it should substantially reduce the effort involved in
data collection activities in the future. Having these data allows the
EPA to develop improved emission factors, make fewer information
requests and promulgate better regulations.
In addition, the EPA must have performance test data to conduct
effective reviews of CAA sections 112 and 129 standards, as well as for
many other purposes including compliance determinations, emission
factor development and annual emission rate determinations. In
conducting these required reviews, the EPA has found it ineffective and
time consuming, not only for us, but also for regulatory agencies and
source owners and operators, to locate, collect and submit performance
test data because of varied locations for data storage and varied data
storage methods. In recent years, however, stack testing firms have
typically collected performance test data in electronic format, making
it possible to move to an electronic data submittal system that would
increase the ease and efficiency of data submittal and improve data
accessibility.
A common complaint heard from industry and regulators is that
emission factors are outdated or not representative of a particular
source category. With timely receipt and incorporation of data from
performance tests, the EPA would be able to ensure that emission
factors, when updated, represent the most current range of operational
practices. Finally, another benefit of the proposed data submittal to
WebFIRE electronically is that these data would greatly improve the
overall quality of existing and new emissions factors by supplementing
the pool of emissions test data for establishing emissions factors
In summary, in addition to supporting regulation development,
control strategy development and other air pollution control
activities, having an electronic database populated with performance
test data would save industry, state, local, tribal agencies and the
EPA significant time, money and effort while also improving the quality
of emission inventories and, as a result, air quality regulations.
3. Startup, Shutdown and Malfunction Provisions
The general provisions in 40 CFR part 60 provide that emissions in
excess of the level of the applicable emissions limit during periods of
SSM shall not be considered a violation of the applicable emission
limit unless otherwise specified in the applicable standard (see 40 CFR
60.8(c)). In its 2008 decision in Sierra Club v. EPA, 551 F.3d 1019
(D.C. Cir. 2008), 130 S. Ct. 1735 (U.S. 2010), the U.S. Court of
Appeals for the District of Columbia Circuit vacated portions of two
provisions in the EPA's CAA section 112 regulations governing the
emissions of HAP during periods of SSM. Specifically, the Court vacated
the SSM exemption contained in 40 CFR 63.6(f)(1) and 40 CFR 63.6(h)(1),
holding that under section 302(k) of the CAA, emissions standards or
limitations must be continuous in nature and that the SSM exemption
violates the CAA's requirement that some section 112 standards apply
continuously. We are proposing the elimination of the SSM exemption in
this rule. Consistent with Sierra Club v. EPA, the EPA is proposing
standards in this rule that apply at all times, including periods of
startup or shutdown. The EPA has attempted to ensure that the
provisions we are proposing to eliminate are inappropriate, unnecessary
or redundant in the absence of the SSM exemption. We are specifically
seeking comment on whether we have successfully done so.
a. Periods of Startup and Shutdown
In proposing the standards in this rule, the EPA has taken into
account startup and shutdown periods and does not have any information
that indicates that emissions during startup and shutdown are different
from emissions during steady-state operation; therefore, the EPA
proposes to apply the proposed standards during all periods of
operation.
If you believe that the EPA's conclusion is incorrect or that the
EPA has failed to consider any relevant information on this point, we
encourage you to submit comments, including test data during periods of
startup and shutdown. In particular, we note that the general
provisions in part 60 require facilities to keep records of the
occurrence and duration of any SSM (40 CFR 60.7(b)) and either report
to the EPA any period of excess emissions that occurs during periods of
SSM (40 CFR 60.7(c)(2)) or report that no excess emissions occurred (40
CFR 60.7(c)(4)). Thus, any comments that contend that sources cannot
meet the proposed standard during startup and shutdown periods should
provide these data and other specifics supporting their claim.
b. Periods of Malfunction
Periods of startup, normal operations and shutdown are all
predictable and routine aspects of a source's operations. However, by
contrast, malfunction is defined as ``any sudden, infrequent, and not
reasonably preventable failure of air pollution control equipment,
process equipment, or a process to operate in a normal or usual manner.
Failures that are caused in part by poor maintenance or careless
operation are not malfunctions.'' (40 CFR 60.2). The EPA has determined
that section 111 does not require that emissions that occur during
periods of malfunction be factored into development of CAA section 111
standards. Nothing in CAA section 111 or in case law requires that the
EPA anticipate and account for the innumerable types of potential
malfunction events in setting emission standards. CAA section 111
provides that the EPA set standards of performance which reflect the
degree of emission limitation achievable through ''the application of
the best system of emission reduction'' that the EPA determines is
adequately demonstrated. A malfunction is a failure of the source to
perform in a ``normal or usual manner'' and no statutory language
[[Page 39257]]
compels EPA to consider such events in setting standards based on the
``best system of emission reduction.'' The ''application of the best
system of emission reduction'' is more appropriately understood to
include operating units in such a way as to avoid malfunctions.
Further, accounting for malfunctions in setting emission standards
would be difficult, if not impossible, given the myriad different types
of malfunctions that can occur across all sources in the category and
given the difficulties associated with predicting or accounting for the
frequency, degree and duration of various malfunctions that might
occur. As such, the performance of units that are malfunctioning is not
``reasonably'' foreseeable. See, e.g., Sierra Club v. EPA, 167 F. 3d
658, 662 (D.C. Cir. 1999) (``The EPA typically has wide latitude in
determining the extent of data-gathering necessary to solve a problem.
We generally defer to an agency's decision to proceed on the basis of
imperfect scientific information, rather than to `invest the resources
to conduct the perfect study.'''). See also, Weyerhaeuser v. Costle,
590 F.2d 1011, 1058 (D.C. Cir. 1978) (``In the nature of things, no
general limit, individual permit, or even any upset provision can
anticipate all upset situations. After a certain point, the
transgression of regulatory limits caused by `uncontrollable acts of
third parties,' such as strikes, sabotage, operator intoxication or
insanity, and a variety of other eventualities, must be a matter for
the administrative exercise of case-by-case enforcement discretion, not
for specification in advance by regulation.''). In addition, emissions
during a malfunction event can be significantly higher than emissions
at any other time of source operation and thus accounting for
malfunctions could lead to standards that are significantly less
stringent than levels that are achieved by a well-performing non-
malfunctioning source. It is reasonable to interpret section 111 to
avoid such a result. The EPA's approach to malfunctions is consistent
with section 111 and is a reasonable interpretation of the statute.
In the event that a source fails to comply with the applicable CAA
section 111 standards as a result of a malfunction event, the EPA would
determine an appropriate response based on, among other things, the
good faith efforts of the source to minimize emissions during
malfunction periods, including preventative and corrective actions, as
well as root cause analyses to ascertain and rectify excess emissions.
The EPA would also consider whether the source's failure to comply with
the CAA section 111 standards was, in fact, ``sudden, infrequent, not
reasonably preventable'' and was not instead ``caused in part by poor
maintenance or careless operation.'' 40 CFR 60.2 (definition of
malfunction).
Further, to the extent the EPA files an enforcement action against
a source for violation of an emission standard, the source can raise
any and all defenses in that enforcement action and the federal
district court will determine what, if any, relief is appropriate. The
same is true for citizen enforcement actions. Similarly, the presiding
officer in an administrative proceeding can consider any defense raised
and determine whether administrative penalties are appropriate.
In several prior rules, the EPA had included an affirmative defense
to civil penalties for violations caused by malfunctions in an effort
to create a system that incorporates some flexibility, recognizing that
there is a tension, inherent in many types of air regulation, between
ensuring adequate compliance and simultaneously recognizing that
despite the most diligent of efforts, emission standards may be
violated under circumstances entirely beyond the control of the source.
Although the EPA recognized that its case-by-case enforcement
discretion provides flexibility in these circumstances, it included the
affirmative defense language to provide a more formalized approach and
more regulatory clarity. See Weyerhaeuser Co. v. Costle, 590 F.2d 1011,
1057-58 (D.C. Cir. 1978) (holding that an informal case-by-case
enforcement discretion approach is adequate); but see Marathon Oil Co.
v. EPA, 564 F.2d 1253, 1272-73 (9th Cir. 1977) (requiring a more
formalized approach to consideration of ``upsets beyond the control of
the permit holder.''). Under the EPA's regulatory affirmative defense
provisions, if a source could demonstrate in a judicial or
administrative proceeding that it had met the requirements of the
affirmative defense in the regulation, civil penalties would not be
assessed. Recently, the United States Court of Appeals for the District
of Columbia Circuit vacated such an affirmative defense in one of the
EPA's Section 112(d) regulations. NRDC v. EPA, No. 10-1371 (D.C. Cir.
April 18, 2014) 2014 U.S. App. LEXIS 7281 (vacating affirmative defense
provisions in Section 112(d) rule establishing emission standards for
Portland cement kilns). The court found that the EPA lacked authority
to establish an affirmative defense for private civil suits and held
that under the CAA, the authority to determine civil penalty amounts
lies exclusively with the courts, not the EPA. Specifically, the Court
found: ``As the language of the statute makes clear, the courts
determine, on a case-by-case basis, whether civil penalties are
`appropriate.''' See NRDC, 2014 U.S. App. LEXIS 7281 at *21 (``[U]nder
this statute, deciding whether penalties are `appropriate' in a given
private civil suit is a job for the courts, not EPA.'').\4\ In light of
NRDC, the EPA is not including a regulatory affirmative defense
provision in this rulemaking. As explained above, if a source is unable
to comply with emissions standards as a result of a malfunction, the
EPA may use its case-by-case enforcement discretion to provide
flexibility, as appropriate. Further, as the DC Circuit recognized, in
an EPA or citizen enforcement action, the court has the discretion to
consider any defense raised and determine whether penalties are
appropriate. Cf. NRDC, 2014 U.S. App. LEXIS 7281 at *24. (arguments
that violations were caused by unavoidable technology failure can be
made to the courts in future civil cases when the issue arises). The
same logic applies to EPA administrative enforcement actions.
---------------------------------------------------------------------------
\4\ The court's reasoning in NRDC focuses on civil judicial
actions. The Court noted that ``EPA's ability to determine whether
penalties should be assessed for Clean Air Act violations extends
only to administrative penalties, not to civil penalties imposed by
a court.'' Id.
---------------------------------------------------------------------------
D. How did the EPA evaluate additional changes for the grain elevator
NSPS?
As summarized in section IV of this preamble, we are proposing
revisions to three provisions in subpart DD to clarify applicability of
the standards for grain elevators under subpart DD. These proposed
revisions are intended to keep the meaning and intent of the
definitions as originally promulgated while making the definitions
applicable to the changes in the industry since the last review of
subpart DD in 1984. The same clarifications are being proposed in
subpart DDa. These proposed clarifications would apply to all affected
facilities that commence construction, modification or reconstruction
after August 3, 1978 (i.e., all affected facilities under both subpart
DD and proposed subpart DDa). None of these clarifications would
increase the cost of the rule or result in a change in PM emissions.
1. Revision to the Definition of ``Grain Unloading Station''
We are proposing to revise the definition of ``grain unloading
station''
[[Page 39258]]
to clarify which components of the unloading station are part of the
affected facility.
The background information document (BID) (EP-450/2-77-001a) for
the original grain elevator NSPS does not define each piece of
equipment included in the term ``grain unloading station''. However,
throughout the BID, in the description of the grain elevator emission
sources and processes in chapter 2, and in Figures 2-2 through 2-4, and
Figures 4-1 through 4-4, the unloading process is described and shown
to terminate at a hopper. Grain is then transported from the hopper via
a conveyor to a bucket elevator. Based on the information in the BID,
we concluded that at the time the NSPS was proposed and later
finalized, the standard practice of the grain elevator industry was to
have the hopper be the ending piece of equipment at the truck, rail,
and barge/ship unloading stations. We received information from the
grain elevator industry that since the last review of subpart DD in
1984, some grain unloading stations no longer use a hopper as the end
of the unloading station, and instead use another storage unit, or
transfer grain directly onto the grain conveyor. Industry white papers
that serve as the basis for this conclusion can be found at Docket ID
Number EPA-HQ-OAR-2010-0706. Because of these changes, we are proposing
to better define the outer boundaries of a ``grain unloading station''
where the termination point of the unloading operation is not a hopper.
The NSPS and the BID also do not specify the types of equipment
included in grain unloading stations, resulting in the boundaries of
the ``unloading station'' affected facilities being unclear to the
regulated community. We received input from the grain industry on the
types of equipment that are included in the ``grain unloading
station''. Consequently, we are also proposing to clarify in the
definition all the types of equipment involved in unloading, up to the
point that the grain is transferred to either storage or to grain
handling operations. Industry white papers that serve as the basis for
this conclusion can be found at Docket ID Number EPA-HQ-OAR-2010-0706.
We are therefore proposing revisions to the definition of ``grain
unloading station'' to clarify that a ``grain unloading station''
encompasses the portion of a grain elevator where the grain is
transferred from a truck, railcar, barge or ship to a receiving hopper,
or to the grain handling equipment that connects the unloading station
to the rest of the grain elevator. This definition includes all of the
equipment, support structures and associated dust control equipment and
aspiration systems required to operate or are otherwise connected to
the grain unloading station. We are requesting comment on our
interpretation of the intent of the original NSPS definition of ``grain
unloading station'' and our proposed revisions to the definition.
2. Revision to Definition of ``Grain Loading Station''
We are proposing to revise the definition of ``grain loading
station'' to clarify all the types of equipment involved in unloading,
up to the point that the grain is transferred to either storage or to
grain handling operations. As discussed in section V.D.1 of this
preamble, the background information document (BID) (EP-450/2-77-001a)
for the original grain elevator NSPS does not define each piece of
equipment included in the term ``grain loading station''. Because the
NSPS and the BID do not specify the types of equipment included in
grain unloading stations, the boundaries of the ``grain loading
station'' affected facilities are unclear to the regulated community.
We also received input from the grain industry on the types of
equipment that are included in the ``grain loading station''.
Consequently, we are proposing to clarify in the definition all the
types of equipment involved in loading. Industry white papers that
serve as the basis for this conclusion can be found at Docket ID Number
EPA-HQ-OAR-2010-0706. The proposed revision also maintains consistency
with the proposed revision to the definition of ``grain unloading
station''. These changes are supported by representatives of the grain
elevator industry in their white papers.
3. Revision to the Operating Requirements for Barge and Ship Unloading
Stations
Current Sec. 60.302(d)(1) requires that the unloading leg be
enclosed from the top, including the receiving hopper, to the center
line of the bottom pulley. However, not all barge and ship unloading
stations currently use a hopper. More recently, new technologies have
been developed such that a hopper is not required. We are proposing to
revise Sec. 60.302(d)(1) to clarify the provision for affected barge
and ship unloading stations for which aspiration of the casing provides
dust control at the boot of the conveyor and a receiving hopper is not
used. The proposed revision clarifies that, in such cases, the
unloading leg is required to be enclosed from the top to the center
line of the bottom pulley and ventilation to a control device is
required to be maintained on both sides of the leg.
VI. Summary of Cost, Environmental, Energy and Economic Impacts of
These Proposed Standards
In setting standards, the CAA requires us to consider emission
control approaches, taking into account the estimated costs and
emission reductions, as well as impacts on energy, solid waste and
other effects.
A. What are the impacts for subpart DDa?
The cost, environmental and economic impacts presented in this
section are expressed as incremental differences between the impacts of
grain elevators complying with the proposed subpart DDa and the current
NSPS requirements of subpart DD. The impacts are presented for future
grain elevators that are projected to commence construction,
reconstruction or modification over the 5 years following proposal of
the revised NSPS. Costs are based on 2012 dollars. The analyses and the
documents referenced below can be found at Docket ID Number EPA-HQ-OAR-
2010-0706.
In order to estimate the incremental impacts of the proposed
subpart DDa requirements, we first identified the potential scenarios
where grain elevators may be constructed, reconstructed or modified and
subject to subpart DDa. Seven different scenarios were identified and
are summarized in Table 4 of this preamble.
Table 4--Scenarios Used To Estimate Impacts of Proposed Subpart DDa
Requirements
------------------------------------------------------------------------
Scenario Description
------------------------------------------------------------------------
1a................................ Greenfield grain elevator with
capacity (based on permanent
storage only) > DDa cutoffs.
1b................................ Greenfield grain elevator with
capacity > DDa cutoffs due to TSF
capacity.
2................................. Existing grain elevator with
capacity < DDa cutoffs, but then
adds TSF capacity and exceeds
cutoffs.
3................................. Existing grain elevator with
capacity < DDa cutoffs, but then
adds permanent storage capacity and
exceeds cutoffs.
[[Page 39259]]
4................................. Existing grain elevator with
capacity > DDa cutoffs, but then
adds TSF capacity.
5................................. Existing grain elevator with
capacity > DDa cutoffs, but then
adds permanent storage capacity.
6................................. Existing grain elevator with
capacity > DDa cutoffs, and does
modification or reconstruction.
------------------------------------------------------------------------
We then estimated the number of potential grain elevators, and
affected facilities within grain elevators, that would incur an
incremental cost and emission reduction for each scenario. The
estimates were developed by reviewing responses to a 2009 CAA section
114 survey and extrapolating the results over the next 5 years. For
further detail on the methodology of these calculations, see the
memorandum, ``Impacts of Grain Elevator NSPS Review,'' at Docket ID
Number EPA-HQ-OAR-2010-0706.
The requirements in the proposed subpart DDa that differ from
subpart DD are a revised applicability determination by incorporating
TSF capacity, control of affected facilities associated with TSFs,
annual opacity testing for affected facilities, PM testing every 60
months for affected facilities, weekly visual inspection of affected
facilities, inspection of fabric filters and baghouses every 6 months,
new recordkeeping requirements, reporting in ERT, a new opacity limit
for wire screen column dryers and a new opacity limit for barge
unloading stations using an en-masse conveyor system. These proposed
requirements would be incurred only by affected facilities that
commence construction, modification or reconstruction after July 9,
2014 (i.e., they would not be incurred by all affected facilities at a
grain elevator). Barge unloading stations using an en-masse conveyor
and wire screen column dryers are not expected to incur a cost or
emissions impact because data collected indicate that sources should be
able to meet the standards without additional controls. Particulate
matter testing every 5 years for affected facilities would occur
outside of the 5-year period analyzed because most construction,
reconstructions and modifications for grain elevators are expected to
occur after the first or second year following promulgation. The cost
for Method 5 PM testing is contained in the memorandum, ``Impacts of
Grain Elevator NSPS Review,'' at Docket ID Number EPA-HQ-OAR-2010-0706.
Based on information provided in the responses to the 2009 survey,
including permits, we believe grain elevators are already keeping the
records that we are proposing in subpart DDa, except for those
associated with visual monitoring. The only incremental cost estimated
for subpart DDa would be for control of affected facilities using fixed
equipment associated with TSFs, initial testing at affected facilities
that meet the subpart DDa applicability criteria due to TSFs, annual
opacity testing at affected facilities, weekly visual inspection of
affected facilities, inspection of fabric filters for affected
facilities every 6 months, the recordkeeping associated with visual
monitoring and inspections, and reporting in ERT. Eighty-eight grain
elevators, with 221 affected facilities, are projected to be subject to
the NSPS in the next 5 years, in one of the seven scenarios, because
they will construct, reconstruct or modify an affected facility. Table
5 summarizes the costs of this action. Capital costs are estimated to
be $1,087,000 to comply with the proposed requirements. We estimate
that the total increase in nationwide annual costs for the 221 affected
facilities at 88 grain elevators is $1,116,000 for the number of
affected facilities that are projected to be constructed, reconstructed
or modified by the fifth year following promulgation of subpart DDa.
Recordkeeping and reporting annual costs are estimated to be $83,000
for the number of affected facilities that are projected to be
constructed, reconstructed or modified by the third year following
promulgation of subpart DDa. We determined that the projected
compliance costs are reasonable as they are not expected to result in a
significant market impact, whether they are passed on to the purchaser
or absorbed by firms. Incremental emissions reductions of
PM10 for complying with subpart DDa using a fabric filter
are estimated to be 31 tpy.
Table 5--Summary of the Costs of the Proposed Subpart DDa for New,
Modified and Reconstructed Affected Sources at Grain Elevators
------------------------------------------------------------------------
Capital cost ($ Annual Cost \a\
Requirement thousand) ($ thousand/yr)
------------------------------------------------------------------------
PM control........................ 1,087 350
Emissions testing and monitoring/ 0 849
reporting and recordkeeping......
-------------------------------------
Total nationwide.............. 1,087 1,116
------------------------------------------------------------------------
\a\ For the third year after promulgation, the associated annual cost
(including annualized PM control cost and emissions testing and
monitoring) is $757,000.
In addition to reducing emissions, there are several benefits to
today's proposed rulemakings. The proposed subpart DDa rule eliminates
the startup, shutdown and malfunction exemption. The removal of SSM is
meant to ensure continuous compliance with the final standards. The
rule establishes a 5-year repeat emissions testing requirement. The
repeat testing requirement was established in a way that minimizes the
costs for testing and reporting while still providing the source and
the agency the necessary information needed to ensure continuous
compliance with the final standards. We are adding a requirement for
electronic submittal of performance test data. This simplifies
submittal for affected sources and having such data publicly available
enhances transparency and accountability through better public access
to pollution control data.
B. What are the secondary impacts for subpart DDa?
We do not expect any indirect or secondary incremental air quality
[[Page 39260]]
impacts associated with subpart DDa. No additional control technologies
or operating standards are necessary to comply with the new proposed
standards for barge unloading stations and wire screen column dryers.
Additional solid waste impacts due to controlling total PM emissions
from grain sent to TSFs are estimated to be 116 tpy. Energy impacts are
estimated to be negligible.
C. What are the economic impacts for subpart DDa?
The total costs associated with subpart DDa's proposed control
requirements and testing and monitoring requirements are $1.11 million
over five years for the total number of affected facilities that are
projected to be constructed, reconstructed or modified by the fifth
year following promulgation.
The EPA also performed a screening analysis for impacts on all
affected small entities by comparing compliance costs to average sales
revenues. This is known as the cost-to-revenue or cost-to-sales ratio,
or the ``sales test.'' The use of a ``sales test'' for estimating small
business impacts for a rulemaking is consistent with guidance offered
by the EPA on compliance with SBREFA and is consistent with guidance
published by the U.S. SBA's Office of Advocacy that suggests that cost
as a percentage of total revenues is a metric for evaluating cost
increases on small entities in relation to increases on large entities.
These projected compliance costs are reasonable as they are not
expected to result in a significant market impact, whether they are
passed on to the purchaser or absorbed by firms. The small business
screening analysis results indicated that approximately 98% of all
affected small facilities would have a cost-to-sales ratio of less than
1%, with a minimum cost-to-sales ratio of less than 1%, an average
cost-to-sales ratio of less than 1%, and a maximum cost-to-sales ratio
of 2.4%. The small business screening analysis results indicated that
the NSPS for Grain Elevators will not have a significant economic
impact on a substantial number of small entities (SISNOSE).
VII. Other Considerations
Executive Order 13563: Improving Regulation and Regulatory Review
Executive Order 13563, Improving Regulation and Regulatory Review,
requires federal agencies to ``. . . review existing rules that may be
outmoded, ineffective, insufficient, or excessively burdensome, and to
modify, streamline, expand, or repeal them in accordance with what has
been learned.'' A coalition representing the grain elevator industry
submitted a petition for the EPA to review and repeal the existing NSPS
for grain elevators in 40 CFR part 60, subpart DD. In considering the
directives of the Executive Order and the coalition petition, the EPA
conducted several analyses aimed at determining the effectiveness of
the existing subpart DD standard, determining whether the standard is
still relevant and determining whether the standard was excessively
burdensome. The analyses and results are discussed in detail in the
memorandum, ``Evaluation of Grain Elevator Emission Standards in
Response to Executive Order 13563,'' in the grain elevator docket at
EPA-HQ-OAR-2010-0706.
To address questions on the necessity and value of the standard,
the effectiveness of subpart DD in reducing emissions was evaluated.
Since the development of the original standard, the EPA has focused PM
emission control programs on limiting direct emissions of
PM10 (the smaller size fraction of PM) rather than total PM.
As a result, we analyzed the effectiveness of the NSPS for controlling
PM10. Three scenarios were assessed: (1) Emissions assuming
no regulatory requirements (no subpart DD or state rules), (2)
emissions assuming compliance with the subpart DD standards, and (3)
emissions assuming no subpart DD, but with state rules in place. A
comparison between these three scenarios indicates how effective
subpart DD is in controlling PM10 and whether repeal of the
standard could potentially effect emissions, considering state rules
for PM that are in place.
As a first step in the analyses, we assembled a database of grain
elevators from: (1) Responses to a 2009 CAA section 114 survey sent to
grain elevators; (2) information gathered from state regulatory
agencies and (3) information gathered from the EPA's OECA and from the
USDA FSA. Uncontrolled PM10 emissions from this population
of grain elevators in the dataset were estimated using emission factors
from EPA's AP-42 document. Emissions after compliance with subpart DD
were estimated based on the typical controls that facilities use to
comply with the standards. In order to assess whether state
requirements are as protective as subpart DD, we reviewed the
PM10 control requirements in the 12 states with the highest
grain storage. These states are Iowa, Illinois, Minnesota, Nebraska,
Kansas, Indiana, North Dakota, South Dakota, Ohio, Texas, Missouri and
Wisconsin. The review evaluated how each state implemented subpart DD
and also evaluated state regulations controlling PM10,
opacity and fugitive dust emissions that may be applicable to grain
elevators.
We concluded that the NSPS achieves a substantial emission
reduction (approximately 85,000 tpy) of PM10 in these states
and significantly less emission reduction would be achieved if subpart
DD were to be rescinded and only the requirements in state rules were
applicable. The state PM rules that are applicable to grain elevators
are in most cases significantly less stringent than the NSPS.
To assess whether the subpart DD standards are still relevant,
grain production projections from the USDA were evaluated to determine
if crop production is expected to increase in the future and
consequently increase the demand for grain storage. The USDA provides
crop production projections from 2010 through 2021 for corn, sorghum,
barley, oats, wheat, rice and soybeans, which are the typical crops
stored at grain elevators. A review of the projections shows that
production of wheat, sorghum, oats and rice is expected to remain
unchanged or decrease between 2010 and 2015, and between 2010 and 2021.
The production of corn, soybeans and barley is expected to increase
during these time intervals. The increases in corn, soybeans and barley
offset the decreases in the other grains and total production of grain
is projected to increase by 1.46 billion bushels (7.7 percent) by 2015,
and 2.79 billion bushels (14.8 percent) by 2021.
A review also was conducted to identify if any new grain elevators
have been constructed in the last 5 years. We found that over the past
5 years three grain elevators with capacities greater than 2.5 million
bushels have been constructed and would likely be subject to subpart
DD. The results of the search show that grain elevators are continuing
to be constructed. Based on the pattern of information in the survey
responses and other information collection, some are replacements for
facilities that were shutdown and some are completely new facilities.
Given the high crop production, excepting the 2012 drought year, many
units added capacity, either as permanent or temporary storage, if a
new greenfield facility was not constructed. It is not known how many
of these grain elevators with increased capacity are subject to subpart
DD. While it cannot be determined how many new grain elevators will be
constructed in the future, or whether capacities at existing facilities
will be
[[Page 39261]]
increased, the projections show that there will be a significant
increase in the demand for grain storage. Based on activities of the
previous years in the grain elevator industry, a combination of new
elevators and increased capacities for existing elevators is expected.
To address whether the standard is overly burdensome, we reviewed
the cost of complying with the subpart DD standards. Grain elevators
meet the PM emission limit using fabric filters. Fabric filters are
also routinely used for dust control for health and safety reasons
(e.g., prevent fugitive dust explosions); fabric filters that are used
for health and safety will meet the NSPS requirements. Therefore, for
most affected facilities, the specific cost that is associated only
with subpart DD is compliance testing. Subpart DD requires only an
initial Method 5 test for PM and an initial Method 9 test for opacity.
The cost for each initial Method 5 PM test is $12,200 and each initial
Method 9 opacity test is $2,500. Annualized over 5 years, the costs are
$3,000 and $610, respectively. There are no monitoring, recordkeeping
and reporting requirements for subpart DD. Based on an evaluation of
these one-time costs associated with compliance, the EPA concluded that
the subpart DD standards do not impose an excessive burden on grain
elevators.
Based on the results of these analyses, the EPA concluded that the
subpart DD standards are still effective, relevant and not excessively
burdensome.
VIII. Statutory and Executive Order Reviews
A. Executive Order 12866: Regulatory Planning and Review and Executive
Order 13563: Improving Regulation and Regulatory Review
This action is not a ``significant regulatory action'' under the
terms of Executive Order 12866 (58 FR 51735, October 4, 1993) and is
therefore not subject to review under the Executive Orders 12866 and
13563 (76 FR 3821, January 21, 2001).
As described in section VII., the EPA prepared an analysis of the
potential costs and benefits associated with this action. This analysis
is contained in the memorandum, ``Estimated Impacts of Revisions to the
Grain Elevator NSPS'' in the grain elevator docket at EPA-HQ-OAR-2010-
0706. The total cost of the revisions to the NSPS is estimated to be
$0.22 million per year over the next 5 years, totaling $1.11 million in
the fifth year.
B. Paperwork Reduction Act
The information collection requirements in this proposed rule have
been submitted for approval to the OMB under the Paperwork Reduction
Act, 44 U.S.C. 3501, et seq. The ICR document prepared by the EPA has
been assigned the EPA ICR number 2497.01 for 40 CFR part 60, subpart
DDa.
The operating, monitoring and recordkeeping requirements in this
proposed rule would be based on the information collection requirements
in CAA section 111, the EPA's NSPS General Provisions (40 CFR part 60,
subpart A), as well as state operating permits. The recordkeeping and
reporting requirements in the General Provisions are mandatory pursuant
to CAA section 114 (42 U.S.C. 7414). All information other than
emission data submitted to the EPA pursuant to the information
collection requirements for which a claim of confidentiality is made is
treated according to CAA section 114(c) and the EPA's implementing
regulations at 40 CFR part 2, subpart B.
The annual average burden associated with the proposed revisions to
NSPS requirements is estimated to involve 3,300 labor hours at $110,000
and operation and maintenance costs of $265,000. The annual average
burden for the designated administrator is estimated to involve 810
labor hours at $54,000. Burden is defined at 5 CFR 1320.3(b).
An agency may not conduct or sponsor, and a person is not required
to respond to, a collection of information unless it displays a
currently valid OMB control number. The OMB control numbers for the
EPA's regulations in 40 CFR are listed in 40 CFR part 9.
To comment on the agency's need for this information, the accuracy
of the provided burden estimates and any suggested methods for
minimizing respondent burden, the EPA has established a public docket
for this rule, which includes this ICR, under Docket ID Number EPA-HQ-
OAR-2010-0706. Submit any comments related to the ICR to the EPA and
OMB. See the ADDRESSES section at the beginning of this notice for
where to submit comments to the EPA. Send comments to OMB at the Office
of Information and Regulatory Affairs, Office of Management and Budget,
725 17th Street NW., Washington, DC 20503, Attention: Desk Office for
EPA. Since OMB is required to make a decision concerning the ICR
between 30 and 60 days after July 9, 2014, a comment to OMB is best
assured of having its full effect if OMB receives it by August 8, 2014.
The final rule will respond to any OMB or public comments on the
information collection requirements contained in this proposal.
C. Regulatory Flexibility Act
The RFA generally requires an agency to prepare a regulatory
flexibility analysis of any rule subject to notice and comment
rulemaking requirements under the Administrative Procedures Act or any
other statute unless the agency certifies that the proposed rule will
not have a significant economic impact on a substantial number of small
entities. Small entities include small businesses, small organizations
and small government jurisdictions.
For purposes of assessing the impacts of today's proposed rule on
small entities, small entity is defined as: (1) A small business as
defined by the SBA's regulations at 13 CFR 121.201; (2) a small
governmental jurisdiction that is a government of a city, county, town,
school district or special district with a population of less than
50,000; and (3) a small organization that is any not-for-profit
enterprise which is independently owned and operated and is not
dominant in its field.
After considering the economic impacts of today's proposed rule on
small entities, I certify that this action will not have a significant
economic impact on a substantial number of small entities. The small
entities directly regulated by this proposed rule are small grain
elevators, cooperative elevators and small grain processors. We have
determined that 2 percent of all affected small grain elevators, or two
facilities, may experience an impact in total revenue of 2 percent.
Although the proposed rule will not have a significant economic
impact on a substantial number of small entities, the EPA nonetheless
has tried to reduce the impact of this rule on small entities by
minimizing testing, monitoring, recordkeeping and reporting
requirements to be only those essential to assuring compliance with the
NSPS.
D. Unfunded Mandates Reform Act
This rule does not contain a federal mandate that may result in
expenditures of $100 million or more for state, local and tribal
governments, in the aggregate, or the private sector in any 1 year.
While there are hundreds of grain elevators in use, the new testing,
monitoring, recordkeeping and reporting requirements of subpart DDa
apply only to new affected facilities that commence construction on or
after July 9, 2014. The EPA projects that only 88 grain elevators will
be subject to the new requirements, and based on the burden estimate,
believes the costs to be minimal. Thus, this rule is not subject
[[Page 39262]]
to the requirements of sections 202 or 205 of UMRA.
This rule is also not subject to the requirements of section 203 of
UMRA because it contains no regulatory requirements that might
significantly or uniquely affect small governments. Grain elevators are
not operated by government entities.
E. Executive Order 13132: Federalism
This action does not have federalism implications. It will not have
substantial direct effects on the states, on the relationship between
the national government and the states, or on the distribution of power
and responsibilities among the various levels of government, as
specified in Executive Order 13132. This proposed action will not
impose substantial direct compliance costs on state or local
governments and will not preempt state law. Thus, Executive Order 13132
does not apply to this action.
In the spirit of Executive Order 13132, and consistent with EPA
policy to promote communications between the EPA and state and local
governments, the EPA specifically solicits comment on this proposed
action from state and local officials.
F. Executive Order 13175: Consultation and Coordination With Indian
Tribal Governments
This action does not have tribal implications, as specified in
Executive Order 13175, (65 FR 67249; November 9, 2000). The EPA is not
aware of any grain elevators owned or operated by Indian tribal
governments. Thus, Executive Order 13175 does not apply to this action.
The EPA specifically solicits comments from tribal officials on any
potential impact on tribes from this proposed action.
G. Executive Order 13045: Protection of Children From Environmental
Health Risks and Safety Risks
The EPA interprets Executive Order 13045 (62 F.R. 19885, April 22,
1997) as applying to those regulatory actions that concern health or
safety risks, such that the analysis required under section 5-501 of
the Executive Order has the potential to influence the regulation. This
action is not subject to Executive Order 13045 because it is based
solely on an analysis of the degree of emission reduction that is
achievable through the application of the best system of emissions
reduction, as provided in CAA section 111.
H. Executive Order 13211: Actions That Significantly Affect Energy
Supply, Distribution or Use
This action is not a ``significant energy action'' as defined in
Executive Order 13211 (66 FR 28355 (May 22, 2001)), because it is not a
significant regulatory action under Executive Order 12866.
I. National Technology Transfer and Advancement Act
Section 12(d) of the NTTAA of 1995, Public Law No. 104-113 (15
U.S.C. 272 note) directs the EPA to use (voluntary consensus standards)
VCS in its regulatory activities unless to do so would be inconsistent
with applicable law or otherwise impractical. VCS are technical
standards (e.g., materials specifications, test methods, sampling
procedures and business practices) that are developed or adopted by VCS
bodies. The NTTAA directs the EPA to provide Congress, through OMB,
explanations when the agency decides not to use available and
applicable VCS.
This proposed rulemaking involves technical standards. We conducted
searches for Performance Standards for Grain Elevators (40 CFR part 60,
subparts DD and DDa) through the enhanced National Standards Service
Network database managed by the ANSI. We also contacted VCS
organizations and accessed and searched their databases. Searches were
conducted for EPA Methods 5 and 9 of 40 CFR part 60, Appendix A. During
the search, if the title or abstract (if provided) of the VCS described
technical sampling and analytical procedures that are similar to the
EPA's reference method, we considered it as a potential equivalent
method. All potential standards were reviewed to determine the
practicality of the VCS for this rule. This review requires significant
method validation data which meets the requirements of EPA Method 301
for accepting alternative methods or scientific, engineering and policy
equivalence to procedures in EPA reference methods. We may reconsider
determinations of impracticality when additional information is
available for particular VCS.
One VCS was identified as an acceptable alternative to EPA test
methods for the purpose of this rule. The VCS ASTM D7520-09, ``Standard
Test Method for Determining the Opacity of a Plume in the Outdoor
Ambient Atmosphere'' is an acceptable alternative to Method 9 if
operated under specific conditions, documented in the memorandum,
``Voluntary Consensus Standard Results for Performance Standards for
Grain Elevators (40 CFR Part 60, Subparts DD and DDa)'', in the grain
elevator docket in EPA-HQ-OAR-2010-0706. The search identified five VCS
that were potentially applicable for this rule in lieu of EPA reference
methods. After reviewing the available standards, EPA determined that
five candidate VCS (ASME B133.9-1994 (2001), ISO 9096:1992 (2003),
ANSI/ASME PTC-38-1980 (1985), ASTM D3685/D3685M-98 (2005), CAN/CSA
Z223.1-M1977) identified for measuring emissions of pollutants or their
surrogates subject to emission standards in the rule would not be
practical due to lack of equivalency, documentation, validation data
and other important technical and policy considerations. The EPA
welcomes comments on this aspect of the proposed rulemaking and
specifically invites the public to identify potentially-applicable VCS
and to explain why such standards should be used in this regulation.
J. Executive Order 12898: Federal Actions To Address Environmental
Justice in Minority Populations and Low-Income Populations
Executive Order 12898 (59 FR 7629, February 16, 1994) establishes
federal executive policy on EJ. Its main provision directs federal
agencies, to the greatest extent practicable and permitted by law, to
make EJ part of their mission by identifying and addressing, as
appropriate, disproportionately high and adverse human health or
environmental effects of their programs, policies and activities on
minority populations and low-income populations in the United States.
The EPA has concluded that it is not feasible to determine whether
there would be disproportionately high and adverse human health or
environmental effects on minority, low income or indigenous populations
from the proposal of this rule because it is unknown where new
facilities will be located and the EPA does not have specific location
information for sources that would be affected by this NSPS. The agency
is seeking comment on the location of sources covered by the proposed
standards and on the potential impacts of this rule on minority, low
income and indigenous populations. The additional information that will
be collected from the increase in testing requirements is expected to
better inform the agency of the emissions associated with this source
category and their significance, and will ensure better compliance with
the proposed rule, and
[[Page 39263]]
thus will result in the proposed rule being more protective of human
health.
List of Subjects in 40 CFR Part 60
Environmental protection, Administrative practice and procedure,
Air pollution control, Intergovernmental relations, Reporting and
recordkeeping requirements.
Dated: June 27, 2014.
Gina McCarthy,
Administrator.
For the reasons stated in the preamble, title 40, chapter I, of the
Code of Federal Regulations is proposed to be amended as follows:
PART 60--[AMENDED]
0
1. The authority citation for part 60 continues to read as follows:
Authority: 42 U.S.C. 7401, et seq.
Subpart DD--[AMENDED]
0
2. Section 60.300 is amended by revising paragraph (b) to read as
follows:
Sec. 60.300 Applicability and designation of affected facility.
* * * * *
(b) Any facility under paragraph (a) of this section which
commences construction, modification, or reconstruction after August 3,
1978, and on or before July 9, 2014, is subject to the requirements of
this part.
0
3. Section 60.301 is amended by revising paragraphs (j) and (k) to read
as follows:
Sec. 60.301 Definitions.
* * * * *
(j) Grain unloading station means that portion of a grain elevator
where the grain is transferred from a truck, railcar, barge, or ship to
a receiving hopper or to the grain handling equipment that connects the
unloading station to the rest of the grain elevator. A grain unloading
station includes all of the equipment, support structures, and
associated dust control equipment and aspiration systems required to
operate or otherwise connected to the grain unloading station.
(k) Grain loading station means that portion of a grain elevator
where the grain is transferred from the elevator to a truck, railcar,
barge, or ship. A grain loading station includes all of the equipment,
support structures, and associated dust control equipment and
aspiration systems required to operate or otherwise connected to the
grain loading station.
* * * * *
0
4. Section 60.302 is amended by revising paragraph (d)(1) to read as
follows:
Sec. 60.302 Standard for particulate matter.
* * * * *
(d) * * *
(1) The unloading leg shall be enclosed from the top (including the
receiving hopper) to the center line of the bottom pulley and
ventilation to a control device shall be maintained on both sides of
the leg and the grain receiving hopper. Where aspiration of the casing
provides dust control at the boot of the conveyor and a receiving
hopper is not used, the unloading leg must be enclosed from the top to
the center line of the bottom pulley and ventilation to a control
device must be maintained on both sides of the leg.
* * * * *
0
5. Add Subpart DDa, consisting of 60.300a through 60.307a, to part 60
to read as follows:
Subpart DDa--Standards of Performance for Grain Elevators for Which
Construction, Reconstruction, or Modification Commenced After July 9,
2014
Sec.
60.300a Applicability and designation of affected facility.
60.301a Definitions.
60.302a Standard for particulate matter.
60.303a Test methods and procedures.
60.304a Monitoring requirements.
60.305a Recordkeeping requirements.
60.306a Reporting requirements.
60.307a Modifications.
Subpart DDa--Standards of Performance for Grain Elevators for Which
Construction, Reconstruction, or Modification Commenced After July
9, 2014
Sec. 60.300a Applicability and designation of affected facility.
(a) The provisions of this subpart apply to each affected facility
at any grain terminal elevator or any grain storage elevator, except as
provided under Sec. 60.304a(b). The affected facilities are each truck
unloading station, truck loading station, barge and ship unloading
station, barge and ship loading station, railcar loading station,
railcar unloading station, grain dryer, and all grain handling
operations.
(b) Any facility under paragraph (a) of this section that commences
construction, modification, or reconstruction after July 9, 2014 is
subject to the requirements of this part.
Sec. 60.301a Definitions.
As used in this subpart, all terms not defined herein have the
meaning given them in the Clean Air Act and in subpart A of this part.
(a) Capture system means all of the equipment, such as sheds,
hoods, ducts, fans, dampers, etc., used to collect particulate matter
generated by an affected facility at a grain elevator.
(b) Column dryer means any equipment used to reduce the moisture
content of grain in which the grain flows from the top to the bottom in
one or more continuous packed columns between two perforated metal
sheets.
(c) En-masse drag conveyor means a device that uses paddles or
flights mounted on a chain to remove grain from a barge or ship.
(d) Fugitive emission means the particulate matter which is not
collected by a capture system and is released directly into the
atmosphere from an affected facility at a grain elevator.
(e) Grain means corn, wheat, sorghum, rice, rye, oats, barley, and
soybeans.
(f) Grain elevator means any plant or installation at which grain
is unloaded, handled, cleaned, dried, stored, or loaded.
(g) Grain handling operations include bucket elevators or legs
(excluding legs used to unload barges or ships), scale hoppers and
surge bins (garners), turn heads, scalpers, cleaners, trippers, and the
headhouse and other such structures.
(h) Grain loading station means that portion of a grain elevator
where the grain is transferred from the elevator to a truck, railcar,
barge, or ship. A grain loading station includes all of the equipment,
support structures, and associated dust control equipment and
aspiration systems required to operate or otherwise connected to the
grain loading station.
(i) Grain storage elevator means any grain elevator located at any
wheat flour mill, wet corn mill, dry corn mill (human consumption),
rice mill, or soybean oil extraction plant which has a permanent grain
storage capacity of 35,200 m\3\ (ca. 1 million bushels).
(j) Grain terminal elevator means any grain elevator which has a
permanent storage capacity of more than 88,100 m\3\ (ca. 2.5 million
U.S. bushels), except those located at animal food manufacturers, pet
food manufacturers, cereal manufacturers, breweries, and livestock
feedlots.
(k) Grain unloading station means that portion of a grain elevator
where the grain is transferred from a truck, railcar, barge, or ship to
a receiving hopper or to the grain handling equipment that connects the
unloading station to the rest of the grain elevator. A grain unloading
station includes all of the equipment, support structures, and
associated dust control equipment and
[[Page 39264]]
aspiration systems required to operate or otherwise connected to the
grain unloading station.
(l) Permanent storage capacity means the grain storage capacity
calculated as specified in either paragraph (l)(1) or (l)(2) of this
section, as applicable.
(1) Grain throughput and grain storage capacity are known. If all
of the grain storage buildings, bins and silos associated with the
grain elevator existed prior to the date of construction, modification,
or reconstruction of the affected facility, then use Equation 1 of this
subpart to calculate permanent storage capacity.
[GRAPHIC] [TIFF OMITTED] TP09JY14.008
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Tp = Maximum annual throughput of grain for all
buildings, bins (excluding TSFs) and silos used to store grain
(bushels per year) over the previous 5 years.
Ct = Total storage capacity of all temporary storage
facilities used to store grain (bushels).
(2) Grain throughput and grain storage capacity are not known. If
any one of the grain storage buildings, bins or silos associated with
the grain elevator did not exist prior to the date of construction,
modification, or reconstruction of the affected facility, then use
Equation 2 of this subpart to calculate permanent storage capacity.
Ctp = Cp + (0.34 * Ct) (Eq. 2)
Where:
Ctp = Total permanent storage capacity of all buildings,
bins (including TSFs) and silos used to store grain (bushels).
Cp = Total storage capacity of all buildings, bins
(excluding TSFs) and silos used to store grain (bushels).
Ct = Total storage capacity of all temporary storage
facilities used to store grain (bushels).
0.34 = Default ratio of permanent grain storage capacity to annual
throughput.
(m) Portable equipment include (but are not limited to) portable
augers, portable conveyors and front-end loaders that are not fixed at
any one spot and can be moved around the site.
(n) Process emission means the particulate matter which is
collected by a capture system.
(o) Rack dryer means any equipment used to reduce the moisture
content of grain in which the grain flows from the top to the bottom in
a cascading flow around rows of baffles (racks).
(p) Railcar means railroad hopper car or boxcar.
(q) Temporary storage facility, or TSF, means any grain storage bin
that:
(1) Uses an asphalt, concrete, or other comparable base material;
(2) Uses rigid, self-supporting sidewalls;
(3) Provides adequate aeration; and
(4) Provides an acceptable covering (e.g., tarp).
(r) Unloading leg means a device which includes a bucket-type
elevator which is used to remove grain from a barge or ship.
(s) Wire screen column dryer means any equipment used to reduce the
moisture content of grain in which the grain flows from the top to the
bottom in one or more continuous packed columns between two woven wire
screens.
Sec. 60.302a Standard for particulate matter.
(a) On and after the date of completing the initial performance
test required in Sec. 60.8, no owner or operator subject to the
provisions of this subpart shall cause to be discharged into the
atmosphere any gases which exhibit:
(1) Greater than 0 percent opacity from any column dryer with
column plate perforation exceeding 2.4 mm diameter (ca. 0.094 inch).
(2) Greater than 0 percent opacity from any rack dryer in which
exhaust gases pass through a screen filter coarser than 50 mesh.
(3) Greater than 10 percent opacity from any wire screen column
dryer.
(b) On and after the date of completing the initial performance
test required in Sec. 60.8, no owner or operator subject to the
provisions of this subpart shall cause to be discharged into the
atmosphere from any affected facility except a grain dryer, or grain
handling, loading, or unloading affected facilities at a TSF using
portable equipment, any process emission which:
(1) Contains particulate matter in excess of 0.023 g/dscm (ca. 0.01
gr/dscf).
(2) Exhibits greater than 0 percent opacity.
(c) On and after the date of completing the initial performance
test required in Sec. 60.8, no owner or operator subject to the
provisions of this subpart shall cause to be discharged into the
atmosphere any fugitive emission from:
(1) Any individual truck unloading station, railcar unloading
station, or railcar loading station, which exhibits greater than 5
percent opacity.
(2) Any grain handling operation which exhibits greater than 0
percent opacity.
(3) Any truck loading station which exhibits greater than 10
percent opacity.
(4) Any barge or ship loading station which exhibits greater than
20 percent opacity.
(d) The owner or operator of any barge or ship unloading station
must meet the requirements specified in paragraph (d)(1), (2), or (3)
of this section.
(1) Barge or ship unloading operations using an unloading leg must
operate as specified in paragraphs (d)(1)(i) and (ii) of this section.
(i) The unloading leg must be enclosed from the top (including the
receiving hopper) to the center line of the bottom pulley and
ventilation to a control device must be maintained on both sides of the
leg and the grain receiving hopper. Where aspiration of the casing
provides dust control at the boot of the conveyor and a receiving
hopper is not used, the unloading leg must be enclosed from the top to
the center line of the bottom pulley and ventilation to a control
device must be maintained on both sides of the leg.
(ii) The total rate of air ventilated must be at least 32.1 actual
cubic meters per cubic meter of grain handling capacity (ca. 40 ft3/
bu).
(2) On and after the date of completing the initial performance
test required in Sec. 60.8, visible emissions from a barge or ship
unloading station using an en-masse drag conveyor must not exceed 10
percent opacity.
(3) For barge or ship unloading stations not using an unloading leg
or an en-masse drag conveyor, the owner or operator must use other
methods of emission control demonstrated to the Administrator's
satisfaction to reduce emissions of particulate matter to the same
level or less.
(e) These standards apply at all times.
Sec. 60.303a Test methods and procedures.
(a) In conducting the performance tests required in Sec. 60.8, the
owner or operator must use as reference methods and procedures the test
methods in appendix A of this part or other methods and procedures as
specified in this section, except as provided in Sec. 60.8(b).
Acceptable alternative methods and procedures are given in paragraph
(c) of this section.
(b) The owner or operator must determine compliance with the
particulate matter and opacity standards in Sec. 60.302a as follows:
(1) Method 5 at 40 CFR part 60, appendix A-3 must be used to
determine the particulate matter concentration and the volumetric flow
rate of the effluent gas. The sampling time and sample volume for each
run must be at least 60 minutes and 1.70 dscm (60 dscf). The probe and
filter holder must be operated without heaters.
(2) Method 2 at 40 CFR part 60, appendix A-1 must be used to
[[Page 39265]]
determine the ventilation volumetric flow rate.
(3) Method 9 at 40 CFR part 60, appendix A-4 and the procedures in
Sec. 60.11 must be used to determine opacity.
(c) The owner or operator may use the following as alternatives to
the reference methods and procedures specified in this section:
(1) For Method 5 at 40 CFR part 60, appendix A-3, Method 17 at 40
CFR part 60, appendix A-6 may be used.
(d) Periodic performance tests must be conducted as specified in
paragraphs (d)(1) and (2) of this section.
(1) Method 9 at 40 CFR part 60, appendix A-4 testing for opacity
must be performed annually. The first performance test must be
conducted no later than 12 months after the initial performance test
required in Sec. 60.8 of this part. Subsequent performance tests must
be conducted at intervals no longer than 12 months following the
previous periodic performance test.
(2) Method 5 at 40 CFR part 60, appendix A-3 testing for
particulate matter concentration must be conducted no later than 60
months after the initial performance test required in Sec. 60.8 of
this part. Subsequent performance tests must be conducted at intervals
no longer than 60 months following the previous periodic performance
test. The periodic performance test results must be submitted according
to Sec. 60.306a. The performance test must be conducted while
processing grains that will result in the highest PM emissions.
Sec. 60.304a Monitoring requirements.
(a) You must conduct weekly visual emissions checks for each
affected facility and take corrective action for positive visual
emissions checks.
(b) You must conduct inspections of fabric filters and baghouses at
each affected facility no later than 6 months after the initial
performance test required in Sec. 60.8 of this part. Subsequent
inspections must be conducted at intervals no longer than 6 months
following the previous inspection.
Sec. 60.305a Recordkeeping requirements.
You must maintain the records specified in subpart A of this part
and the records specified in paragraphs (a) through (f) of this
section.
(a) Total storage capacity and annual throughput of grain (bushels)
for each building, bin (excluding TSFs), and silo used to store grain.
(b) Total storage capacity for each TSF.
(c) The date, time and duration of each event that causes an
affected source to fail to meet an applicable standard; the record must
list the affected source or equipment, an estimate of the volume of
each regulated pollutant emitted over the standard for which the source
failed to meet a standard, and a description of the method used to
estimate the emissions.
(d) Results of 6 month baghouse and fabric filter inspections,
including any corrective action taken.
(e) Weekly visual emissions checks and any corrective action taken
as a result of positive visual emissions checks.
(f) Results of 12 month opacity tests.
Sec. 60.306a Reporting Requirements.
(a) Within 60 days after the date of completing each performance
test (defined in Sec. 60.8) as required by this subpart and Sec.
60.8, you must submit the results of the performance tests, and include
the type of grain processed at the affected facility for which the
performance test is being conducted, required by this subpart to the
EPA by the following steps. You must use the EPA's Electronic Reporting
Tool (ERT) (see https://www.epa.gov/ttn/chief/ert/) to
document performance test data. You must submit the file package
generated by ERT through the EPA's Compliance and Emissions Data
Reporting Interface (CEDRI), which can be accessed by logging in to the
EPA's Central Data Exchange (CDX) (https://cdx.epa.gov/). Only data
collected using test methods supported by the ERT as listed on the ERT
Web site are subject to the requirement to submit the performance test
data electronically. Owners or operators who claim that some of the
information being submitted for performance tests is confidential
business information (CBI) must submit a complete ERT file including
information claimed to be CBI on a compact disk, flash drive, or other
commonly used electronic storage media to the EPA. The electronic media
must be clearly marked as CBI and mailed to U.S. EPA/OAPQS/CORE CBI
Office, Attention: WebFIRE Administrator, MD C404-02, 4930 Old Page
Rd., Durham, NC 27703. The same ERT file with the CBI omitted must be
submitted to the EPA via CDX as described earlier in this paragraph. At
the discretion of the delegated authority, you must also submit these
reports, including the confidential business information, to the
delegated authority in the format specified by the delegated authority.
For any performance test conducted using test methods that are not
listed on the ERT Web site, the owner or operator shall submit the
results of the performance test to the Administrator at the appropriate
address listed in Sec. 60.4.
(b) Within 60 days after the date of completing each Method 9
opacity test required in this subpart and Sec. 60.11, you must submit
the results of the opacity tests to the Administrator at the
appropriate address as shown in 40 CFR 60.4.
(c) The date, time and duration of each event that causes an
affected facility to fail to meet a standard; the record must list the
affected facility or equipment, an estimate of the volume of each
regulated pollutant emitted over the standard for which the source
failed to meet a standard, and a description of the method used to
estimate the emissions.
Sec. 60.307a Modifications.
(a) The factor 6.5 must be used in place of ``annual asset
guidelines repair allowance percentage,'' to determine whether a
capital expenditure as defined by Sec. 60.2 has been made to an
existing facility.
(b) The following physical changes or changes in the method of
operation are not by themselves considered to be a modification of any
existing facility:
(1) The addition of gravity loadout spouts to existing grain
storage or grain transfer bins.
(2) The installation of automatic grain weighing scales.
(3) Replacement of motor and drive units driving existing grain
handling equipment.
(4) The installation of permanent storage capacity with no increase
in hourly grain handling capacity.
[FR Doc. 2014-15868 Filed 7-8-14; 8:45 am]
BILLING CODE 6560-50-P