Carbon Pollution Emission Guidelines for Existing Stationary Sources: Electric Utility Generating Units, 64543-64553 [2014-25845]
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Federal Register / Vol. 79, No. 210 / Thursday, October 30, 2014 / Proposed Rules
ENVIRONMENTAL PROTECTION
AGENCY
40 CFR Part 60
[EPA–HQ–OAR–2013–0602; FRL–9918–53–
OAR]
RIN 2060–AR33
Carbon Pollution Emission Guidelines
for Existing Stationary Sources:
Electric Utility Generating Units
Environmental Protection
Agency.
ACTION: Notice of data availability.
AGENCY:
The Environmental Protection
Agency (EPA) is issuing this notice of
data availability (NODA) in support of
the proposed rule titled ‘‘Carbon
Pollution Emission Guidelines for
Existing Stationary Sources: Electric
Utility Generating Units,’’ which was
published on June 18, 2014. In this
document, the EPA is providing
additional information on several topics
raised by stakeholders and is soliciting
comment on the information presented.
The three topic areas are the emission
reduction compliance trajectories
created by the interim goal for 2020 to
2029, certain aspects of the building
block methodology, and the way statespecific carbon dioxide (CO2) goals are
calculated.
DATES: Comments must be received on
or before December 1, 2014.
ADDRESSES: Comments. Submit your
comments, identified by Docket ID No.
EPA–HQ–OAR–2013–0602, 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 No. EPA–HQ–OAR–
2013–0602 in the subject line of the
message.
Facsimile: (202) 566–9744. Include
Docket ID No. EPA–HQ–OAR–2013–
0602 on the cover page.
Mail: Environmental Protection
Agency, EPA Docket Center (EPA/DC),
Mail code 28221T, Attn: Docket ID No.
EPA–HQ–OAR–2013–0602, 1200
Pennsylvania Ave. NW., Washington,
DC 20460.
Hand/Courier Delivery: EPA Docket
Center, Room 3334, EPA WJC West
Building, 1301 Constitution Ave. NW.,
Washington, DC 20004, Attn: Docket ID
No. EPA–HQ–OAR–2013–0602. Such
deliveries are accepted only during the
Docket Center’s normal hours of
operation (8:30 a.m. to 4:30 p.m.,
Monday through Friday, excluding
federal holidays), and special
arrangements should be made for
deliveries of boxed information.
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SUMMARY:
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Instructions: All submissions must
include the agency name and Docket ID
number (EPA–HQ–OAR–2013–0602).
The EPA’s policy is to include all
comments received without change,
including any personal information
provided, in the public docket, available
online at https://www.regulations.gov,
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
only to the following address: Ms. Amy
Vasu, c/o OAQPS Document Control
Officer (C404–02), Office of Air Quality
Planning and Standards, U.S. EPA,
Research Triangle Park, North Carolina
27711, Attention Docket ID No. EPA–
HQ–OAR–2013–0602. 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 you claim
as CBI. In addition to one complete
version of the comment that includes
information claimed as CBI, you must
submit a copy of the comment that does
not contain the information claimed as
CBI for inclusion in the public docket.
Information so marked will not be
disclosed except in accordance with
procedures set forth in 40 CFR part 2.
The EPA requests that you also
submit a separate copy of your
comments to the contact person
identified below (see FOR FURTHER
INFORMATION CONTACT). If the comment
includes information you consider to be
CBI or otherwise protected, you should
send a copy of the comment that does
not contain the information claimed as
CBI or otherwise protected.
The 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
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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.
Docket: 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 EPA Docket Center, EPA WJC West
Building, Room 3334, 1301 Constitution
Ave. NW., Washington, DC. The Public
Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday,
excluding federal 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. Visit the EPA Docket
Center homepage at https://
www.epa.gov/epahome/dockets.htm for
additional information about the EPA’s
public docket.
In addition to being available in the
docket, an electronic copy of the
proposed rule is posted on the World
Wide Web (WWW) at: https://
www2.epa.gov/cleanpowerplan/.
Ms.
Amy Vasu, Sector Policies and Programs
Division (D205–01), U.S. EPA, Research
Triangle Park, NC 27711; telephone
number (919) 541–0107, facsimile
number (919) 541–4991; email address:
vasu.amy@epa.gov or Ms. Marguerite
McLamb, Sector Policies and Programs
Division (D205–01), U.S. EPA, Research
Triangle Park, NC 27711; telephone
number (919) 541–7858, facsimile
number (919) 541–4991; email address:
mclamb.marguerite@epa.gov.
FOR FURTHER INFORMATION CONTACT:
SUPPLEMENTARY INFORMATION:
Organization of This Document. The
information presented in this document
is organized as follows:
I. Background
A. Proposed Clean Power Plan
B. Purpose of the NODA
C. Overview of Topics Discussed in This
NODA
II. Stakeholder Input on Select Topics in the
Proposed Rule
A. The 2020 to 2029 Glide Path
B. Certain Aspects of the Building Block
Methodology
C. Implementation of the Goal-Setting
Equation
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III. Topics Upon Which the EPA Is Soliciting
Additional Comment
A. The 2020 to 2029 Glide Path
B. Certain Aspects of the Building Block
Methodology
C. Implementation of the Goal-Setting
Equation
I. Background
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A. Proposed Clean Power Plan
Under the authority of Clean Air Act
(CAA) section 111(d), on June 18, 2014,
the EPA proposed emission guidelines
for states to follow in developing plans
to address greenhouse gas (GHG)
emissions from existing fossil fuel-fired
electric generating units (EGUs) (79 FR
34830). The proposed rule, which we
refer to as the Clean Power Plan, would
continue progress already underway to
lower the carbon intensity of power
generation in the United States (U.S.).
Lower carbon intensity means, for each
megawatt-hour (MWh) of generation,
fewer emissions of CO2, which is a
potent greenhouse gas that contributes
to climate change. The proposal
incorporates critical elements that
reflect the information and views shared
during what stakeholders have called an
unprecedented effort by the EPA,
beginning in the summer of 2013, to
interact directly with, and solicit input
from, a wide range of states and
stakeholders. This effort encompassed
several hundred meetings across the
country with, among others, officials in
state environmental and energy
agencies, as well as public utility
commissions; entities in the electricity
sector, including utilities, generators,
and system operators; and tribal
governments, industry, citizens groups
and members of the public. Many
participants submitted written material
and data to the EPA as well.
B. Purpose of the NODA
Since publication of the proposal on
June 18, 2014, the EPA has held public
hearings and has continued outreach to
stakeholders. During the week of July
29, 2014, the EPA conducted eight days
of public hearings in four cities. Over
1,300 people shared their thoughts and
ideas about the proposal, and over 1,400
additional people attended those
hearings. Agency officials have also
continued to engage with states and
stakeholders through meetings,
webinars, and conference calls.
The agency has heard a broad range
of questions, concerns, and constructive
suggestions from stakeholders on how
the proposed rule could be improved.
Many of these comments and
suggestions relate to the array of
alternatives presented in the proposed
rule. This document is not intended to
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address all of the many issues that have
been raised; we will summarize and
respond to all comments in the final
rule. Rather, the purpose of this
document is to describe and seek
comment on several ideas raised by
multiple stakeholders that may go
beyond those for which the agency
sought comment in the June 18, 2014
proposal. By issuing this notice, we are
ensuring that other stakeholders and the
public have the opportunity to consider
these ideas as they formulate their own
comments on the proposal. In section II,
we describe the specific issues and
ideas raised by stakeholders and explain
which of those ideas we consider to be
within or possibly beyond the scope of
comment already requested. In section
III, we further discuss the approaches
stakeholders have suggested which go
beyond the June 18, 2014 proposal and
on which we are seeking comment
through this document.
The purpose of this document is to
bring these ideas to the attention of
other stakeholders and the public and
provide commenters with a sense of the
way in which the EPA believes these
ideas relate to determining the best
system of emission reduction (BSER) so
that they have the opportunity to
consider these ideas as they are
formulating their comments on the
proposal.
It should be noted that the topics
discussed in the NODA interact with
each other and some of them could have
the effect of increasing the stringency of
the BSER as reflected in each state’s
target, while others could have the
impact of decreasing it. The effect of the
ideas presented here may have different
impacts in different states, increasing
the stringency of the BSER as expressed
in the state goals in some states while
decreasing it in others. The EPA
welcomes comment specifically on the
potential changes identified in this
document in terms both of the rationale
for these changes and of their effects on
the stringency of the state goals, as well
as the ways in which the potential
changes interact with each other.
C. Overview of Topics Discussed in This
NODA
Since the June 18, 2014 proposed
rule, the EPA has received feedback on
a wide range of topics. This feedback
includes comments from a significant
number of stakeholders that may go
beyond the scope of what the EPA
originally took comment on in the
proposal. The EPA would like to
identify these ideas for other
stakeholders and the public so that all
stakeholders and the public are made
aware of these ideas and have the
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opportunity to comment on them. The
topics that the EPA is seeking additional
comment on are: The compliance
trajectory or glide path of emission
reductions from 2020 to 2029, certain
aspects of the building block
methodology, and the way the statespecific CO2 goals are calculated. These
issues are described briefly here and
discussed in more detail in sections II
and III of this document.
Some stakeholders have expressed
concern that, as proposed, the interim
goals, which govern emission
reductions over the 2020–2029 period,
do not provide enough flexibility for
some states—specifically, states in
which building block 2 results in large
amounts of the overall required CO2
reductions relative to other building
blocks—to choose measures other than
relying heavily on re-dispatch from
fossil steam generation (e.g., coal-, oil-,
or gas-fired boilers) to natural gas
combined cycle (NGCC) units to achieve
the required reductions. Further, they
have expressed concern that this effect
of the interim goals severely limits the
opportunity to fully take advantage of
the remaining asset value of existing
coal-fired generation. Some stakeholders
have even suggested that the interim
goals would force retirements of coal
plants that could make unexpected
events such as last winter’s polar vortex
more challenging to address. As
reflected in the proposal, in a world
impacted by climate change, such
severe weather events are likely to
become more frequent. The agency is
seeking to ensure that, consistent with
the BSER, the overall framework that we
have proposed includes sufficient
flexibility, particularly with respect to
time and emission reduction strategies
in meeting the required emission goals,
to allow states and sources to readily
respond to unexpected changes or
demands on the system, such as severe
weather. This flexibility also reflects
consideration of cost (which could, in
part, be reflected in concerns about
stranded assets).
In section II.A, the EPA discusses
these concerns in more detail, as well as
two alternate approaches that have been
suggested by stakeholders. We also
explain that the original proposal
already requests comment on one of
these alternative approaches—achieving
some reductions earlier than 2020 to
allow for a more gradual reduction of
emissions between 2020 and 2030. In
section III.A, we discuss and solicit
comment on another approach offered
by stakeholders—the concept of phasing
in the reductions required under
building block 2 over time, just as
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reductions required under building
blocks 3 and 4 are phased in over time.
Stakeholders, including states, have
also noted concerns with the
methodology used for the individual
building blocks, particularly building
blocks 2 and 3. With respect to building
block 2, stakeholders have offered a
range of views. Some have commented
that this component should be less
stringent (i.e., require shifting less
utilization from existing coal-fired units
to existing NGCC units), some have
offered that it should be more stringent
(i.e., require shifting more utilization
from existing coal-fired units to existing
NGCC units), and others have offered
that it should be more stringent in some
states and less stringent in other states.
Some stakeholders have also noted that
they believe the higher levels of
utilization of existing NGCC units
proposed for building block 2 are not
feasible in the early years of the 2020–
2029 compliance period due to
infrastructure constraints and recent
significant capital investments at some
existing coal-fired units.
Other stakeholders have suggested
that focusing solely on increasing
utilization of existing NGCC units
ignores opportunities for emission
reductions from the use of natural gas
from states that are not already using
natural gas for electricity generation.
With respect to renewable energy
(RE), stakeholders have expressed
concern about the discrepancy between
setting targets based on in-state
renewable assets or resources while
allowing other states that import
renewable energy to count certain
amounts of that generation toward their
compliance. Some have also expressed
concern that the approaches proposed
with respect to renewable energy
impose greater stringency on states that
have already taken action to promote
and deploy renewable energy. With
respect to nuclear facilities and
generation, stakeholders have raised
concerns about a variety of aspects of
including nuclear power in the goalsetting equation.
In section II.B of this document, the
EPA discusses these concerns in more
detail, describes alternative approaches
put forward by stakeholders and
identifies which of these alternative
approaches the EPA requested comment
on in the original proposal. In section
III.B, we discuss and solicit comment on
additional concepts stakeholders have
suggested for addressing concerns with
the methodology used for building
blocks 2 and 3. In particular, the EPA
requests comment on ways that building
block 2 could be expanded to include
new NGCC units and natural gas co-
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firing in existing coal-fired boilers and
ways that state-level RE targets could be
set based on regional potential for
renewable energy. Although a number
of stakeholders have also commented
that building block 1 is too stringent, we
are not discussing it at length in this
document because we have already
requested comment on this in the June
18, 2014 proposal. Comments that
stakeholders have offered on the
treatment of nuclear power are also
covered in the June 18, 2014 proposal
and, therefore, we do not believe that it
is necessary to request additional
comment on those ideas in this
document.
Stakeholders, including states, have
also noted concerns with the way the
state-specific CO2 goals are calculated.
These include concerns that the
numeric formula for calculating each
state’s goal is not consistent in its
application of the best system of
emission reduction (BSER) for building
block 2, as compared with building
blocks 3 and 4, and concerns with the
use of data for the single year 2012. In
section II.C, the EPA discusses these
concerns in more detail, describes
alternatives noted by stakeholders and
explains that the original proposal
requests comment on some of the
potential alternatives suggested by
stakeholders. In section III.C we discuss
and solicit comment on two ideas
suggested by stakeholders: Alternative
approaches for the goal-setting equation
and alternative uses of data in
calculating the goals.
This document is not intended to be
a complete summary of the wide variety
of ideas that have been raised. The
agency has heard many other concepts
that are not highlighted in this
document because they are covered in
the June 18, 2014 proposal.
II. Stakeholder Input on Select Topics
in the Proposed Rule
In this section, the EPA explains some
of the concerns, and ideas to address
those concerns, that have been raised by
multiple stakeholders. We also explain
how some of those ideas have already
been addressed in the June 18, 2014
proposal and, in section III of this
document, we identify the additional
new ideas on which the agency is
seeking comment.
A. The 2020 to 2029 Glide Path
Some stakeholders have expressed
concern that the goal-setting
methodology—in particular, calculating
the interim goals on the basis of
achieving the shift in generation
assumed under building block 2 by
2020—requires states to achieve such a
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significant portion of the required CO2
emission reductions early in the interim
period that it defeats the intended
purpose of providing states flexibility in
how they may achieve the required
emission reductions. In addition, we
have heard that there may be technical
challenges associated with achieving all
of the reductions that states would be
required to make as early as 2020, when
the interim period commences.
Stakeholders also have expressed
concerns that such a lack of flexibility
would prevent them from taking
advantage of more cost effective
reduction strategies and from ensuring
that the energy system can respond to
severe weather events such as occurred
during the polar vortex in 2014. The
EPA is interested in considering
additional stakeholder ideas, such as
those regarding the 2020–2029 glide
path, to ensure that the overall
framework includes sufficient
flexibility, particularly with respect to
timing of and strategies for reducing
emissions from the affected units so that
states can develop cost-effective
strategies, and states, utilities, grid
operators and others can readily
respond to unexpected changes or
demands on the energy system, such as
severe weather.
Stakeholders have suggested two
ways of addressing these concerns. The
first involves allowing credit for early
CO2 emission reductions that could be
used to allow flexibility to defer
additional CO2 emission reductions
until later in the 2020–2029 period. The
second approach involves phasing in
building block 2 over time, just as
building blocks 3 and 4 are currently
phased in.
1. Early Reductions
With regard to the suggestion that
early reductions could be used as a way
to ease the 2020–2029 glide path, the
agency believes that the existing
proposal provides both stakeholders and
the EPA the latitude to consider this
concept. In the proposed rule, the EPA
requests comment on a range of possible
approaches to this type of credit for
early action (79 FR 34918–34919). In the
first approach, full accounting of
emission reductions continues to begin
in 2020 but credit could be received for
certain pre-2020 reductions that could
be used to reduce the amount of
reductions needed during the 2020–
2029 period. The EPA also requests
comment in the proposed rule on a
second approach in which states could
choose early (e.g., pre-2020)
implementation of state goal
requirements, which could provide
states with the ability to achieve the
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same amount of overall emission
reductions but do so by making some
reductions earlier (79 FR 34919). The
EPA recognizes that some measures may
take longer than 2020 to implement,
while others can be, and are being,
implemented more quickly.
Implementation of any of these ideas
would allow states or sources to include
such reductions in their compliance
strategies in lieu of achieving the full
measure of reductions otherwise
required in 2020 to meet the interim
goal, and would thereby result in states
and/or sources being able to phase in
these reductions.1 It may be possible for
at least some states to take advantage of
these approaches by, for example, taking
advantage of RE and demand-side
energy efficiency (EE) projects already
under development and scheduled to be
implemented prior to 2020 or by
expediting other projects currently
scheduled to be implemented after
2020. The EPA is interested in these and
other ways to ensure that states
continue the progress they are making to
reduce CO2 from the power sector prior
to 2020 and that this rule does not
create disincentives for those pre-2020
actions.
2. Phasing in Building Block 2 and a
More Gradual Glide Path
Some stakeholders have stated that
significant shifts of generation away
from coal-fired generators to NGCC
units (as calculated under building
block 2 and illustrated in the Regulatory
Impact Analysis (RIA) in support of the
June 18, 2014 proposal) will be difficult
for some states to achieve by 2020 as a
result of technical, engineering, and
infrastructure limitations or other
considerations, and may limit costeffective options for emission
reductions. According to these
stakeholders, these concerns exist even
though the proposal does not require all
emission reductions to be achieved in
2020, but rather provides that the
interim goal can be met on an average
basis for the 2020–2029 period.
In the proposal, the EPA determined
that emission reductions are feasible
and achievable at fossil fuel-fired steam
EGUs by shifting from more carbonintensive EGUs to less carbon-intensive
EGUs, as part of the BSER.2 More
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1 It
should be noted that, in the June 2014
proposal, the EPA recognized that programs that are
implemented between 2015 and 2020, to the extent
that they continue to generate low- or zero-carbon
in 2020 and beyond, are beneficial, even in the
absence of crediting such emission reductions
toward compliance in 2020 because states
possessing these programs will be better positioned
to comply beginning in 2020 (79 FR 34918).
2 See 79 FR 34862 for a discussion of the BSER
analysis of building block 2.
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specifically, the EPA concluded that, by
shifting generation from fossil fuel-fired
steam units (which are primarily coalfired) to NGCC units, up to a utilization
of 70% could be achieved by 2020, as
part of building block 2 and for
purposes of establishing state goals. In
contrast, in the approach to building
blocks 3 and 4, the EPA concluded that
reductions in CO2 emissions from fossil
fuel-fired units associated with
increased utilization of RE and EE
would be achievable on a phased-in
basis between 2020–2029, reflecting the
necessary time needed for deployment
(79 FR 34866).
We note that the design of the
guidelines makes clear that states are
not required to reach their targets using
precisely the building blocks that EPA
used to determine each state’s goal.
Nevertheless, some stakeholders have
expressed concern that it may not be
feasible to ensure significantly higher
levels of utilization for existing NGCC
units that might be required in order to
meet the interim state goals because of
the time required to improve natural gas
pipeline infrastructure in some states, as
well as other factors. Stakeholders have
also stated that, while some coal-fired
units have recently been constructed
and many have received significant
capital investment (e.g., in the form of
pollution control retrofits), some states’
interim goals could not be achieved
unless these units stop operating by
2020. According to stakeholders, this
concern particularly applies for states
that have both significant amounts of
steam generation and significant
amounts of existing NGCC capacity that
is not currently being operated at high
levels of utilization. While the EPA
solicited comment in the proposal
broadly on the proposed start date of
2020 (79 FR 34902), the proposal does
not discuss specific potential rationales
for phasing in dispatch changes under
building block 2. Therefore, in this
document, the EPA is explicitly
requesting comment on that topic. More
detail on specific suggestions we have
heard from stakeholders is provided in
section III.B of this document.
B. Certain Aspects of the Building Block
Methodology
While the agency has already received
significant feedback on all four building
blocks, there are specific comments and
concerns regarding particular aspects of
the way in which building blocks 2 and
3 were designed that may not have been
fully evident in the original proposal
and that commenters may want to
consider as they prepare their
comments.
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1. Stringency of Building Block 2
With regard to the ultimate stringency
of building block 2 (dispatch changes
among affected EGUs), stakeholders
have offered a wide range of views, with
some suggesting that building block 2
should be less stringent, others
suggesting that it should be more
stringent and still others suggesting
changes that could make it more
stringent in some states and less
stringent in others. Some stakeholders
have expressed concerns that it might
not be possible for all NGCC units to
operate at capacity factors of 70%. Other
stakeholders have raised concerns that,
with respect to states with large
amounts of steam generation, the
proposed approach to building block 2
creates significant disparities in state
goals between those states with little or
no NGCC generating capacity and those
with significant amounts of NGCC
capacity not currently being used fully.
Some stakeholders have also suggested
that the EPA’s BSER determination
should recognize that there are
additional opportunities to employ
natural gas beyond what the EPA
included in the proposed rule: The
construction and/or increased
utilization of new NGCC units and
additional co-firing of natural gas at
existing fossil steam units.
In the proposed rule, the EPA invited
comment on whether the BSER should
include: (1) Increasing utilization of
NGCC units that are under construction,
from an expected capacity factor of 55%
to 70% (reflecting a 15% increase), and
displacing generation from fossil firedsteam units by an equivalent amount (79
FR 34876); and (2) co-firing with natural
gas (79 FR 34875). In the proposed rule,
the EPA also discussed the opportunity
to reduce CO2 emissions at affected
EGUs by means of the addition, and
greater operation, of new NGCC units
(i.e., beyond what is currently under
construction). The agency also solicited
comment on whether new NGCC units
should be included as part of the BSER,
and how to define state-level goals
based on consideration of new NGCC
deployment (79 FR 34876–77).
While the agency requested comment
on the use of co-firing of natural gas and
the inclusion of new NGCC units, a
number of stakeholders have suggested
that building block 2 should not focus
purely on re-dispatch, but instead
should focus more comprehensively or
holistically on the use of natural gas as
a means of reducing CO2 from the power
sector. This concept may go beyond
ideas raised in the original proposal;
therefore, the EPA invites comment on
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this idea, as discussed in section III.B.1
of this document.
It is also worth noting that, although
the EPA calculated the proposed state
goals on the basis of applying building
block 2 on a state-by-state basis (under
which generation from fossil fuel-fired
steam units within the state is shifted to
NGCC units within the state), the EPA
also invited comment on whether
building block 2 should be applied on
a regional basis, under which generation
from fossil fuel-fired steam units within
a region is shifted to NGCC units within
the region (79 FR 34865, 34899). The
EPA is noting this idea to alert
commenters to the fact that it might be
another possible mechanism for
addressing stakeholders’ concerns about
the disparity of the impact of building
block 2 between states that have already
invested significantly in developing
NGCC generation and those that have
not.
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2. Methodology for Building Block 3
and How Building Block 3 Targets
Relate to Compliance Options
Stakeholders have noted concerns
both with the treatment of renewable
generation and the treatment of nuclear
generation in building block 3.
a. Approaches for RE target setting.
Stakeholders have raised concerns
regarding the renewable energy targetsetting component of building block 3,
specifically what they describe as a
potential misalignment between
estimating each state’s target based on
in-state renewables while allowing use
of out-of-state renewables for
compliance with state goals.3
Stakeholders have expressed interest in
a target-setting methodology that takes
into account interstate exchanges of RE
in the calculation of state goals, on the
premise that such an approach would
better align with existing state RE
policies and potential claims on a given
state’s RE generation by parties from
other states (such as renewable energy
certificates and power purchase
agreements). This feedback has been
received both from states that are net
suppliers of RE generation to other
states and from states that are net
consumers of RE generation produced in
other states. Some stakeholders have
highlighted that the state physically
hosting the RE generation in question
approved its siting, issued its permits,
and may make other claims as to having
supported its development and
operation and, thus, has a stake in such
3 While
the June 2014 proposal included two
different approaches for quantifying RE targets to
inform state goals, both approaches premised RE
targets on in-state generation potential.
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renewable resources. Other stakeholders
have raised concerns that, due to
dynamics of the target-setting
calculations related to the in-state
nature of targets, the RE target-setting
approaches in the June 2014 proposal
may require substantially more RE
development from states that have
already invested considerably in RE
while requiring less from states that
have not put significant effort into
developing RE resources. Some
stakeholders suggest that better aligning
goal-setting to probable compliance
approaches may mitigate some of these
potential concerns.
The June 2014 proposed rule included
two approaches for RE target-setting.
The approach that the EPA proposed
established state RE targets premised
upon an average of state RPS
requirements across states in certain
regions (see 79 FR 34866–34869 and
Chapter 4 of the technical support
document (TSD) titled ‘‘GHG Abatement
Methods,’’ Docket ID No. EPA–HQ–
OAR–2013–0602–17180). The EPA also
requested comment on an alternative
approach that used a state-by-state
determination of RE targets, based on
technical and market potential (see 79
FR 34869–34870 and ‘‘Alternative RE
Approach Technical Support
Document,’’ Docket ID No. EPA–HQ–
OAR–2013–0602–0458).
Both of these approaches focused on
the ability to develop renewable
generation within a state. At the same
time, the EPA proposed that, for
compliance, a state could take credit for
any RE generation that was related to an
enforceable measure in its state,
whether that generation originated in its
state or in another state. This approach
was designed to reflect the nature of
existing state policy that allows for
compliance with out-of-state generation,
such as renewable energy standards
(RES).
The proposed rule acknowledged the
interstate nature of the electricity
system (79 FR 34921–34922), while
focusing requests for comment on
alternative state plan options that could
help states better align interstate RE
measures and related emission
reductions in their plan with the
proposed in-state RE targets that
informed their goal.4 These options
included:
(1) Allowing states to participate in
multi-state plans to distribute the CO2
emission reductions among states in the
multi-state area equivalent to the total
4 There is also an extensive discussion of
interstate effects and related compliance strategies
in section VII of the TSD titled ‘‘State Plan
Considerations,’’ Docket ID No. EPA–HQ–OAR–
2013–0602–0463.
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CO2 emission reductions of each state’s
in-state emission reductions from RE
measures, or to jointly demonstrate RErelated emission performance, which
would make distribution of RE impacts
unnecessary (note that these plans may
be limited to, for example, RE or RE and
EE, or they may encompass all of the
building blocks);
(2) allowing states to take into account
only RE generation related to emission
reductions occurring in-state; and
(3) allowing a state to take credit for
out-of-state emission reductions related
to RE generation only if the state
demonstrates that the generation will
not also be credited by the other
relevant state(s).
Some stakeholders have suggested a
different way to align state goal setting
and state compliance through adjusting
the state goal-setting method. Consistent
with the proposed idea that states could
take credit for renewables developed in
other states if they were attributable to
state policies such as RES programs,
these stakeholders have suggested that
state targets could be developed by
defining regional RE targets, then
assigning shares of those regional targets
to individual states within the region.
We believe this idea lies beyond the
scope of the June 18, 2014 proposal;
thus, we are sharing this idea more
broadly and requesting comment on this
idea, which is discussed in more depth
in section III.
b. Inclusion of nuclear units in
building block 3. Stakeholders have
provided numerous suggestions about
inclusion of nuclear power in the
calculation of state goals and as a
compliance option. The EPA believes
that the topics that stakeholders,
including states, have raised related to
whether to, and if so, how to, include
nuclear units that are currently under
construction and at-risk existing nuclear
capacity in the calculation of goals are
covered in the original proposal (79 FR
34870–34871). We are carefully
considering stakeholders comments on
these topics and others for which we
requested comment in the June 18, 2014
proposal.
C. Implementation of the Goal-Setting
Equation
1. Goal-Setting Equation
Some stakeholders have raised
concerns that the numeric formula for
calculating each state’s goal is not
consistent in its application of the BSER
for building block 2, as compared with
building blocks 3 and 4. They state that
the goal calculation for building block 2
not only reflects an increase in less
carbon-intensive generation, but also
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applies an equal downward adjustment
to each state’s total existing fossil steam
generation level in 2012, reflecting a
generation shift away from higheremitting fossil steam generation and
toward lower-emitting NGCC
generation. The result is that total
generation is held constant, with only
the mix of more and less carbonintensive generation changing.5 In
contrast, they state, the approach in the
proposal for incorporating building
blocks 3 and 4 in the goal calculations
does not reflect shifting generation away
from fossil units because the total
amount of generation is increased
(including ‘‘megawatts’’ from EE as
‘‘generation’’) without any offsetting
decrease in generation from 2012 fossil
generation levels. Some stakeholders
suggest that, by holding existing fossil
generation at 2012 levels for purposes of
goal calculation and estimating building
blocks 3 and 4 independent of the
interaction with those existing fossil
generation levels, the state goals do not
reflect the potential for added
generation from building block 3 and
avoided generation from building block
4 to shift generation away from existing
fossil steam generation below the 2012
level and, therefore, do not reduce
generation, and thus emissions, from
affected fossil fuel-fired generation in
keeping with the EPA’s proposed
approach to the BSER.
Since the EPA did not address this
issue explicitly in the June 2014
proposal, the EPA discusses alternative
approaches that have been suggested by
stakeholders and solicits comment on
these in section III.C of this document
so that all stakeholders will have an
opportunity to consider these ideas as
they prepare their comments.
2. Alternatives to the 2012 Data Year
Since publication of the proposed
rule, many states and other stakeholders
have expressed concern over the use of
2012 as the single data year for
calculating interim and final goals.
Some states and stakeholders have
identified anomalies with generation in
their state or at their companies for 2012
that they believe make 2012 an
inappropriate base year. At proposal,
the EPA considered using average fossil
generation and emission rate values
over a longer period than a single year.
As a result of the goal calculation
methodology, the EPA determined that,
on average, any potential changes to
state goals using a multi-year base year
5 Note that, in states with under-construction
NGCC units, the total fossil generation assumed in
the proposed goal-setting equation exceeds the 2012
level due the 55% capacity factor assumed from
these new sources.
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would be minimal, and would result in
increases for some states and decreases
for others (see ‘‘Goal Computation
Technical Support Document’’ at 4,
Docket ID No. EPA–HQ–OAR–2013–
0602–0460). Numerous stakeholders
have expressed interest in obtaining
Emissions and Generation Resource
Integrated Database (eGRID) data for
years prior to 2012 to foster comparison
with results from the 2012 dataset. As
is discussed further in section III.C.2 of
this document, the EPA is making
available the 2010 and 2011 eGRID data
and requesting comment on the use of
2010 and 2011 data, in addition to 2012
data, in setting state-specific CO2 goals.
III. Topics Upon Which the EPA Is
Soliciting Additional Comment
As discussed above, stakeholders,
including states, have raised questions
or concerns, and provided suggestions,
regarding several topics that relate
either to the EPA’s determination of the
BSER or to states’ and sources’ options
for compliance with the rule
requirements and, if addressed in the
final rule, could result in changes to the
stringency of the proposed emission
rate-based CO2 goals, at least for some
states. The EPA is identifying these
topics to ensure that all stakeholders
have the opportunity to consider these
topics as they comment on the proposal.
This document is not a
comprehensive presentation of the
issues raised by stakeholders or under
consideration by the EPA. The issues
presented here arise from the agency
having heard concerns and suggestions
raised about the stringency of the CO2
goals; the timeframe required for
complying with those goals and its
potential impact on flexibility and cost;
and unwanted effects that may arise
from the differences between and among
state goals. Potential changes to the rule
based on any one of these issues could
increase or decrease the stringency of
the goals or shift stringency levels
between and among states.
A. The 2020 to 2029 Glide Path
It was the EPA’s intent in the proposal
that, through the inclusion of a ten-year
averaging period and other flexibility
mechanisms, the interim goals would
provide states with a reasonable glide
path to compliance with their final goals
by 2030. However, as noted in section
II.A above, some stakeholders have
expressed concerns with the approach
that the EPA used to determine states’
interim goals and have stated that,
notwithstanding the flexibility provided
in the proposal, significant shifts of
generation away from coal-fired
generators to NGCC units (as calculated
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under building block 2) will be
necessary by 2020 and will be difficult
for at least some states to reasonably
achieve in that timeframe. To facilitate
further consideration of these and other
stakeholder concerns about the potential
challenges associated with achieving all
of the reductions that states may need
to obtain as early as 2020, the EPA is
seeking comment on two additional
specific adjustments to the interim goal
calculations, discussed below, that
would allow for a more gradual phasein of building block 2 during the 2020–
2029 period.
With regard to the glide path, some
stakeholders have also suggested that a
phase-in of building block 1 would be
appropriate. The EPA is also requesting
comment on that idea.
Stakeholders have suggested at least
two additional ways that a trajectory for
a gradual phase-in could be developed
to respond to their concerns. First, a
phase-in schedule could be developed
for building block 2 on the basis of
whether, and to what extent, any
additional infrastructure improvements
(e.g., natural gas pipeline expansion or
transmission improvements) are needed
to support more use of existing natural
gas-fired generation. To the extent that
more infrastructure is needed, the
methodology for building block 2 could
be modified on the basis of how much
utilization shift toward existing NGCC
generation would be possible by 2020,
by factoring in how quickly additional
infrastructure could be developed to
support any additional use of natural
gas-fired generation by that date. This
would result in two parameters, parallel
to the way that building blocks 3 and 4
are implemented in the proposal. The
first parameter would define an amount
of utilization shift to existing natural gas
that is feasible by 2020, and the second
parameter would define how quickly
that amount could grow until the full
amount of natural gas utilization could
be achieved as part of the BSER.
Second, building block 2 could be
modified to respond to stakeholder
concerns about the pace with which
generation in some states may need to
be shifted from higher-emitting to
lower-emitting units. In particular,
stakeholders have expressed a concern
that shifting generation away from
existing generating assets, particularly
coal-fired EGUs, could, in some
situations, result in limiting costeffective options. As discussed in the
proposal (79 FR 34925), due to the
flexibility provided by the EPA’s
approach to establishing state goals, and
the flexibility provided to states in
developing plans to achieve those goals,
the EPA believes that the proposal
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provides states the flexibility to specify
appropriate requirements for individual
EGUs, including coal-fired EGUs, taking
into account the potential for stranded
investments and other unit-specific
factors. However, to the extent that
stakeholders are concerned that the
tools available to states under the
proposal may, in some instances, be
inadequate to address concerns
regarding stranded investments, an
additional way to address these
concerns may be for the agency to take
account of the book life of the original
generation asset, as well as the book life
of any major upgrades to the asset, such
as major pollution control retrofits. For
example, in its modeling, the EPA
assumes a book life of 40 years for new
coal-fired units.6 The EPA requests
comment on whether, and how, book
life might be either used as part of the
basis for the development of an
alternative emission glide path for
building block 2 or used to evaluate
whether other ways of developing an
alternative glide path (such as the
phase-in approaches discussed above)
would address stakeholders’ stranded
investment concerns. The EPA is
providing this additional information,
arising from stakeholder concerns, to
allow additional continued engagement
of stakeholders in the comment process.
It is also important to consider that
changes to the structure of building
blocks 2 and 3, as well as changes to the
goal-setting equation discussed below in
section III.D, would likely impact the
glide path. The EPA continues to
welcome other ideas on how to craft a
glide path that offers states flexibility
while still ensuring that they can
achieve the final goals.
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B. Certain Aspects of the Building Block
Methodology
This section describes alternative
approaches, including approaches based
on regional considerations or
allocations. In offering these stakeholder
ideas for comment, the agency’s intent
is not to require regional plans. Rather,
it is to respond to stakeholder concerns
that currently proposed approaches
could limit some states’ flexibility in
meeting the goals. To address this
concern, the agency is offering
additional stakeholder ideas that could
support states’ flexibility in achieving
the goals. Under any of the approaches,
each state would still have the option of
submitting an individual CAA section
6 IPM version 5.13 Documentation, Chapter 8,
Financial Assumptions, available at: https://
www.epa.gov/airmarkets/progsregs/epa-ipm/docs/
v513/Chapter_8.pdf.
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111(d) plan or of participating in a
multi-state CAA section 111(d) plan.
The EPA acknowledges that
determining the component of the BSER
related to shifting generation from fossil
fuel-fired units to renewable units based
on regional considerations or allocations
among states could result in changes to
state’s goals relative to a non-regional
approach. Furthermore, ultimate
decisions about how a source may
respond are dependent both on whether
a state participates in a regional plan
(which could effectively change the
impact of the goals across the states
involved) and on how a state assigns
obligations to sources. The agency is
also aware that how states decide to
assign reduction obligations in their
state plans, as well as a state’s decision
to develop an individual state plan or to
participate in a regional plan, can play
a significant role in how sources
respond.
1. Stringency of Building Block 2
In section II.B.1 above, we identified
stakeholder comments on the treatment
of natural gas in building block 2 and
described stakeholder suggestions for
approaches that are covered in the June
2014 proposal. In this section, we
further describe stakeholder comments
and also present new approaches for the
treatment of natural gas for which the
agency is seeking comment. The EPA is
providing this additional information,
arising from stakeholder concerns, to
allow additional continued engagement
of stakeholders in the comment process.
Some stakeholders have raised
concerns that, with respect to states
with large amounts of steam generation,
the proposed approach to building block
2 creates significant disparities in state
goals between those states with little or
no NGCC generating capacity, and those
with significant amounts of NGCC
capacity not currently being used fully.
Stakeholders have also raised concerns
that these disparities could result in
distortions in regional electricity
markets. Some stakeholders have
suggested that these disparities could be
reduced by increasing the obligation of
those states with little or no NGCC
generating capacity to employ natural
gas beyond what the EPA included in
the proposed rule, including the
construction and/or increased
utilization of new NGCC units and
additional co-firing of natural gas at
existing fossil steam units.
Greater use of new NGCC units or
additional co-firing of natural gas at
existing steam boilers could result in
changes in natural gas use. Some have
argued that if there is increased demand
for natural gas for new NGCC units and/
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64549
or co-firing, it could add upward
pressure on natural gas prices. However,
commenters may want to consider
whether there are ways to incorporate
new NGCC units and co-firing into the
BSER that might not result in an overall
increase in the amount of natural gas
usage, For example, if the EPA adopts
the type of more gradual glide path for
building block 2 described above in
section III.A, increases in natural gas
use from new NGCC units and increased
co-firing might leave the amount of
overall natural gas use similar to what
would result from what the EPA
proposed in building block 2 (at least in
the early years of the glide path).
Some stakeholders have suggested
other reasons to consider new NGCC
generation and natural gas co-firing as
part of building block 2. They note that
the incorporation of natural gas as part
of the BSER should consider the cost
and feasibility of the total amount of
natural gas used, as opposed to the
extent to which the gas is used for
particular types of generation (i.e.,
existing NGCC generation, new NGCC
generation, or co-firing). In the proposal,
the EPA concluded that existing NGCC
generation, which relies upon existing
infrastructure, was the most costeffective manner in which to base
building block 2. However, there may be
other important considerations that can
shape the relationship of the BSER to
natural gas consumption, such as the
ability to build new infrastructure and
the flexibility that co-firing could
provide.
These stakeholders note that this
expanded approach would be more
consistent with historic NGCC
deployment, better reflect growing
geographic availability of natural gas
supply, contribute to expanded
generation fuel diversity in states that
currently have relatively little NGCC
capacity, and offer more cost-effective
emission reductions.
The EPA has identified one potential
approach to accommodate these
stakeholder suggestions about
utilization of new NGCC generation or
co-firing, especially in states with little
or no existing NGCC capacity, to assist
public engagement during the comment
process and to solicit more specific
comment. This approach would be to
include an assumption about some
minimum level of generation shift from
higher-emitting to lower-emitting
sources for all states containing some
fossil steam generation in the state
goals. In determining this minimum
amount, it should be recalled that the
proposal indicated a total amount of
generation shift from fossil steam to
NGCC generation assumed in building
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block 2 for each state.7 The 2012 eGRID
data, used for purposes of setting state
goals, reflects the total generation for
each state. Dividing the former by the
latter provides the percentage of each
state’s generation that is shifted from
higher-emitting to lower-emitting
sources. For example, on average, the
states that are able to shift fossil steam
generation to lower-emitting generation
sources shift 55% of their fossil steam
generation, on average, under the
proposed approach. The lower quartile
of these states shift approximately 12%
of their fossil steam generation.8
The EPA solicits comment on whether
to establish some minimum value as a
floor for the amount of generation shift
for purposes of building block 2,
whether that shift takes the form of redispatch from steam generation to
existing NGCC units, re-dispatch to new
NGCC units, or co-firing natural gas in
existing coal-fired boilers. The EPA also
solicits comment on what that value
should be, e.g., the lower quartile value
of 12%, or any other value between 0
and the 55% average described above.
To illustrate this minimum approach, if
the lower quartile value were used, a
state with 100 MWh of fossil generation
and no existing NGCC generation in
2012 would have a state goal premised
on 12 MWh shifting from higheremitting to lower-emitting NGCC
generation.
The EPA also solicits comment on
how this approach to add a minimum
requirement for states that currently
have little or no NGCC capacity should
relate to the proposed approach that
requires states with significant amounts
of unused NGCC capacity to utilize up
to 70% of that capacity. Note at the
outset that the total nationwide amount
of NGCC generation assumed under
building block 2 is approximately 1,450
terrawatt-hours (TWh). Should the
minimum generation shifts in states
with little or no NGCC capacity be in
addition to this total amount?
7 See ‘‘Regulatory Impact Analysis for the
Proposed Carbon Pollution Guidelines for Existing
Power Plants and Emission Standards for Modified
and Reconstructed Power Plants’’ (June 2014).
Docket ID No. EPA–HQ–OAR–2013–0602–0391 at
3–24.
8 This is based on the forty states that had: (1)
NGCC capacity in 2012, and (2) some fossil steam
generation from which shifting could occur. The
55% and 12% discussed here are non-weighted
averages of the percentage fossil steam generation
shift observed in each state, the nationwide
percentage of fossil steam generation shift assumed
was 28%. See ‘‘Goal Computation Technical
Support Document,’’ Docket ID No. EPA–HQ–OAR–
2013–0602–0460, ‘‘Appendix 1—State Goal Data
and Computation,’’ Docket ID No. EPA–HQ–OAR–
2013–0602–0255, and ‘‘2012 Unit-level Data Using
the eGRID Methodology,’’ Docket ID No. EPA–HQ–
OAR–2013–0602–0254.
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Alternatively, should the total level of
gas use for purposes of building block
2 be held the same? Under the latter
approach, the amount of generation
from states with higher amounts of
NGCC capacity would be reduced in
amounts equal to the additional NGCC
generation applied to states with zeroor low-NGCC capacity states, for
building block 2. This approach would
further reduce the disparities between
states with little or no NGCC capacity
and those with significant amounts of
NGCC capacity.
Some stakeholders have made
additional observations about natural
gas co-firing, in response to the EPA’s
solicitation of comment in the proposed
rulemaking (79 FR 34865). They have
brought to the EPA’s attention that there
are some benefits associated with the
co-firing of natural gas with coal that
might make it a practical option for
consideration in goal setting and
compliance in lieu of, or in addition to,
shifting from coal-fired steam generating
units to NGCC units. For example,
stakeholders point out that co-firing can
reduce emissions of nitrogen oxides
(NOX); sulfur dioxide (SO2); particulate
matter; and hazardous air pollutants,
including mercury. Co-firing could also
reduce some portion of the costs related
to control of these pollutants
(depending on the extent of co-firing).
Co-firing might also provide additional
operational flexibility, particularly for
coal-fired units that are regularly used at
less than full load or that cycle
regularly. Co-firing may allow units to
ramp up and down more quickly, which
could give a company the opportunity
to take advantage of low fuel prices,
when they occur, to achieve cost
savings. Co-firing could allow
additional time for implementation of
strategies in state plans that have a
lengthier implementation timeframe,
such as building up a robust energy
efficiency program. Further, co-firing
could provide an opportunity to achieve
emission reductions at existing higheremitting units with relatively low levels
of capital investment, thereby
addressing companies’ concerns about
stranded assets. It should also be noted
that utilities continue to announce
conversions or plans to convert coalfired steam boilers to natural gas.9 We
noted and requested comment on some,
but not all, of these observations in the
9 ‘‘Coal unit retirements, conversions continue to
sweep through power sector.’’ M. Niven and N.
Powell. SNL Financial, Charlottesville, VA. October
14, 2014. Accessed on 10/22/14 at: https://
www.snl.com/InteractiveX/Article.aspx?cdid=A9431641-13357.
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June 18, 2014 proposal (see 79 FR
34875–34876).
We are requesting comment on these
aspects of the costs and potential
benefits (or offsetting cost advantages) of
co-firing natural gas at existing coal
plants, to the extent they were not
considered or presented for comment in
the proposed rule, along with any other
additional costs and potential benefits
of such co-firing that could be
considered in goal setting. In addition,
we are requesting comment on other
factors or variables that might affect the
decision to use natural gas in co-firing
at a particular unit (e.g., type, age, or
size of a boiler), as well as factors that
could limit the amount of co-firing that
could be done. For units currently cofiring with natural gas, we request
comment on the benefits experienced
and the extent to which co-firing is
being done.
It should be noted that in its June
2014 proposal, the EPA stated that
replacing fossil steam generation with
new NGCC units and natural gas cofiring at existing fossil steam units may
be considered the BSER for various
reasons. New NGCC units and natural
gas co-firing at existing fossil steam
units may be considered part of a
‘‘system of emission reduction,’’ in light
of the broad definition of that phrase;
for example, the affected sources can
themselves undertake those actions (i.e.,
fossil steam generators may invest in
new NGCC units and coal-fired steam
generators may co-fire with natural gas);
and steam generators may reduce their
utilization, which, through the
operation of the market, would lead to
the construction of new NGCC capacity
(see 79 FR 34885–90). In addition,
replacing fossil steam generation with
new NGCC units and natural gas cofiring at existing fossil steam units are
‘‘adequately demonstrated’’ in light of
the extent to which they have already
occurred.
As discussed above in section II.B, the
June 2014 proposal already solicits
comment on an alternative approach to
addressing the concern that states with
little existing natural gas infrastructure
do not have the same opportunities to
shift generation to lower-emitting NGCC
units. We are highlighting this
alternative approach from the June 2014
proposal so that stakeholders can
consider whether this approach could
address their concerns. Under this
approach, regional availability of NGCC
generation would be considered rather
than just in-state availability of NGCC
generation in setting building block 2
targets. Determining the appropriate
levels of generation shift under building
block 2 in a similar, regional manner—
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using either the same regional structure
as that defined by the EPA for the RIA
of the proposed rule (i.e., six regions
whose borders are informed by North
American Electric Reliability (NERC)
regions and Regional Transmission
Organizations (RTOs)) (79 FR 34865 n.
142),10 or some alternative regional
structure—could be another way to
mitigate the concerns expressed by
stakeholders that building block 2 has
little or no effect on certain states with
large amounts of coal-fired generation
and limited excess NGCC capacity. The
EPA seeks comment on the appropriate
regional structure to use in such a
framework and the appropriate manner
in which the goals could be derived and
allocated among states.
2. Methodology for Building Block 3
and How Building Block 3 Targets
Relate to Compliance Options
In section II.B.2 above, we identified
stakeholder comments on the renewable
energy target-setting component of
building block 3 and described two
methodological approaches for RE
target-setting that are within the scope
of the June 2014 proposal. In this
section, we provide a conceptual
discussion of a third methodological
option for RE targets that some
stakeholders have suggested and which
we refer to here as a regionalized
approach. This approach adjusts each
state’s RE target based on the RE
potential available across a multi-state
region in which the state is located.
Under this approach, a state’s goal
would be informed by the opportunity
to develop out-of-state RE resources as
part of its state plan, and thus better
align RE targets with the proposal to
allow the use of certain out-of-state
renewables for compliance, in
accordance with stakeholder comments
described in section II.B.2. This
regionalized approach could group
states into regions; aggregate RE
generation potential across states within
each region; and then reapportion the
aggregate identified RE generation to
individual states according to criteria
that assume regional RE development in
which parties in multiple states
participate, regardless of the specific
state where the generation occurs. One
example of this type of regionalized
approach would be grouping states into
the regional structure shown in the June
10 See ‘‘Regulatory Impact Analysis for the
Proposed Carbon Pollution Guidelines for Existing
Power Plants and Emission Standards for Modified
and Reconstructed Power Plants’’ (June 2014)
Docket ID No. EPA–HQ–OAR–2013–0602–0391 at
3–11; TSD on ‘‘GHG Abatement Measures’’ (June
2014), Docket ID No. EPA–HQ–OAR–2013–0602–
0437 at 3–25.
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2014 proposal 11 (79 FR 34866–34867);
for each region, summing the RE target
generation identified under the
alternative approach in the June 2014
proposal for all states in that region; and
then reallocating that summed
generation proportionally to each state
within that region by a chosen criterion,
such as each state’s share of total
electricity sales within that region in
2012.12 The EPA requests comment on
this regionalized approach for RE target
setting, and specifically on the
reallocation criterion.
The agency also requests comment on
several key methodological assumptions
involved in this regionalized approach.
First, the EPA requests comment on
what the regional structure would be, as
well as a justification for that structure.
One option would be grouping states
together that are currently involved in
interstate RE exchanges and are likely to
do so in the future, and would include
a balance of states that are net suppliers
and states that are net consumers of RE
generation. We invite comment on how
a potential regional structure for this
regionalized RE approach could address
these concerns.
Regional structures could be informed
by NERC regions,13 FERC Planning
Regions,14 RTOs,15 current regional
renewable energy credit tracking
systems,’’ 16 or some other approach. We
11 The regions were defined as follows, East
Central: Delaware, District of Columbia, Maryland,
New Jersey, Ohio, Pennsylvania, Virginia, West
Virginia; North Central: Illinois, Indiana, Iowa,
Michigan, Minnesota, Missouri, North Dakota,
South Dakota, Wisconsin; Northeast: Connecticut,
Maine, Massachusetts, New Hampshire, New York,
Rhode Island, Vermont; South Central: Arkansas,
Kansas, Louisiana, Nebraska, Oklahoma, Texas;
Southeast: Alabama, Florida, Georgia, Kentucky,
Mississippi, North Carolina, South Carolina,
Tennessee; and West: Arizona, California, Colorado,
Idaho, Montana, Nevada, New Mexico, Oregon,
Utah, Washington, Wyoming. Alaska and Hawaii
were considered as two individual regions. Because
Vermont and the District of Columbia lack affected
sources, no goals are being proposed for these
jurisdictions.
12 This criterion could be informed by publicly
available data in 2012 Retail Sales of Electricity by
State by Sector by Provider, as reported from EIA
Form 861, available at: https://www.eia.gov/
electricity/data/state./
13 Further information is available at: https://
www.nerc.com/AboutNERC/keyplayers/Pages/
Regional-Entities.aspx.
14 An illustrative map is provided on p. 4 of the
document at the following link: https://
www.ferc.gov/media/news-releases/2011/2011-3/
07-21-11-E-6-presentation.pdf.
15 Further information and an illustrative map are
available at https://www.ferc.gov/industries/electric/
indus-act/rto.asp.
16 There are several renewable energy tracking
systems that serve to issue and retire renewable
energy credits (RECs) across regions in the U.S.
More information, including an illustrative map, is
available from the U.S. Department of Energy at
https://apps3.eere.energy.gov/greenpower/markets/
certificates.shtml?page=3.
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recognize that some of these structures
may need to be adjusted to conform to
state boundaries for the purposes of
informing state goals, and we invite
comment on how to do so. In addition,
some of these regional structures may
yield isolated states, and we seek
comment on whether these should be
single-state regions or whether
adjustments should be made to
incorporate such states into multi-state
regions. We also cite the regional
structure used in the proposed targetsetting approach and in compliance
modeling as one example of a regional
structure that could be used (79 FR
34866–34867). We noted above in
section II.B.1, as well as in section
III.B.1, that the June 2014 proposal
sought comment on a regional approach
to building block 2 and provided
analysis using a structure informed by
NERC regions and RTOs. It may be
appropriate to use the same regional
structure for building blocks 2 and 3,
whether it is the one specified in the
block 2 analysis or an alternative
structure, particularly if transmission
concerns are a primary driver of the
structure. The EPA seeks comment on
these regional structure considerations.
Second, the EPA requests comment
on the criteria that should be used for
reapportioning state RE targets within
given regions, as well as a justification
for those criteria. The agency believes
that a useful criterion would provide a
simple state-specific quantitative
characteristic that reflects interstate
patterns to develop RE potential at
reasonable cost across a region. Total
electricity sales in each state in 2012 is
an example of a possible criterion.
Another possible criterion is total
generation in each state in 2012. The
EPA requests comment on other
possible criteria.
Third, the EPA requests comment on
what components of the state RE targets
should be regionalized under such an
approach. For example, a regional
approach may or may not apply to the
entirety of each state’s RE target from
the alternative approach in the June
2014 proposal; the generation that
would be reallocated across states in a
given region may or may not include
existing generation (as of 2012),
incremental generation (beyond 2012
levels), or all types of RE generation
(e.g., solar, wind) considered. In the
June 2014 proposed rule, the EPA
sought comment on the role of existing
hydropower in target-setting (79 FR
34869), and we also request comment
on whether a regionalized approach
should or should not reallocate existing
hydropower generation across states
(even if all other types of RE generation
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are reallocated across states under a
regionalized approach).17
The EPA is requesting comment on
the above approach, the extent to which
the approach allows for states to address
interstate RE concerns, and whether
there are other ways to treat RE targetsetting informing state goals that would
take into account interstate effects. We
are also still taking comment on the two
approaches for RE target-setting
specified in the June 2014 proposal.
Finally, the EPA notes that there are a
number of possible methodologies for
using technical and economic
renewable energy potential to quantify
RE generation for purposes of state
goals. The EPA invites comment on
other possible techno-economic
approaches.
C. Implementation of the Goal-Setting
Equation
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1. Goal-Setting Equation
As noted above in section II.C.1,
stakeholders have raised concerns that
the proposed numeric formula for
calculating each state’s goal is not
consistent in its application of the BSER
for incremental generation from existing
NGCC units under building block 2, as
compared with incremental RE
generation and EE generation avoidance
under building blocks 3 and 4. (For ease
of reference, unless otherwise indicated,
we refer to both incremental RE
generation and incremental EE
generation avoidance 18 as ‘‘incremental
RE and EE.’’) 19 They state that, for
building block 2, the formula subtracts
1 MWh of fossil steam generation and
corresponding emissions from the 2012
baseline levels for every 1 MWh of
incremental NGCC generation
(subtracting emissions from the
numerator and subtracting generation
17 It should be noted that the EPA is not, in this
document, addressing stakeholder comments
concerning whether existing RE generation should
be included in building block 3 or what types of
generation (e.g., hydropower) to include in existing
RE or incremental RE, the possibility of a floor
based on 2012 generation or the possibility of a
limitation based on 2012 fossil fuel-fired
generation—those issues are already clearly covered
in the June 2014 proposal’s request for comments
and should be applied to this regionalized approach
as well. Stakeholders are encouraged to provide
input on these and other issues addressed in the
proposal.
18 EE avoidance is incorporated into the goalsetting formula as zero-emitting generation.
19 This section discusses approaches for state goal
calculations that focus specifically on the treatment
of incremental RE generation and EE generation
avoidance. The June 2014 proposal set out a
methodology for state goal calculations that
includes existing RE, and comments on that
inclusion are within the scope of the proposal. The
state goal calculation methods outlined in this
section are independent of the treatment of existing
RE.
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from the denominator of the goal
calculation formula) (see 79 FR 34896
and ‘‘Goal Computation Technical
Support Document,’’ Docket ID No.
EPA–HQ–OAR–2013–0602–0460, at 10–
12). In the stakeholders’ view, this
approach reflects the assumption that
incremental NGCC generation will
supplant historical fossil steam
generation levels.
In contrast, as the stakeholders also
point out, the formula adds incremental
RE and EE to 2012 baseline generation
levels (in the denominator of that
formula) but does not reduce the 2012
baseline levels of fossil generation (in
the denominator of the formula) by that
incremental RE and EE, or remove the
corresponding emissions (in the
numerator of that formula) (see 79 FR
34896 and ‘‘Goal Computation
Technical Support Document,’’ Docket
ID No. EPA–HQ–OAR–2013–0602–
0460, at 15–18). In the stakeholders’
view, by holding existing fossil
generation and the corresponding
emissions at 2012 levels, and not
reducing them based on the amounts of
incremental RE and EE, the state goals
fail to reflect the full potential, under
the BSER, for incremental RE and EE to
replace fossil steam generation. Instead,
simply adding incremental RE and EE to
the denominator, while making no
equivalent subtraction from the 2012
levels of fossil generation and
corresponding emissions, does not
clearly indicate whether, and to what
extent, that generation will replace
existing fossil generation as opposed to
future generation increases from
existing sources.
Some stakeholders have suggested an
alternative approach of applying
generation from building blocks 3 and 4
to reduce fossil generation below 2012
levels in the goal calculation. They have
stated that this alternative approach is
more consistent with the treatment of
generation under building block 2,
while also achieving greater CO2
reductions. They suggest that the
alternative approach, in which
incremental RE and EE explicitly
replaces generation from fossil fuel-fired
sources in the goal calculation, better
represents the BSER by better reflecting
the likely reductions in fossil generation
(and corresponding reduction in
emissions) that can be achieved by
affected sources.20
The following subsections describe
two different approaches for revising the
state goal-setting formula to address this
20 This
alternative approach would be consistent
with identifying, as part of the BSER, fossil
generating sources replacing their historical
generation levels with incremental RE and EE.
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concern. These approaches are being
shared more broadly to allow continued
stakeholder engagement and to enhance
the ability of stakeholders to submit
substantive comments.
a. Replace all historical fossil
generation on a pro rata basis. The
proposed state goal-setting formula
assumes a constant level of generation
for total existing fossil generation
greater than or equal to 2012 historical
levels (i.e., the amount of fossil
generation in the denominator of the
state goal equation is greater than or
equal to 2012 levels).21 In the proposal,
incremental RE and EE was simply
added to the denominator of the state
goal formula. An alternative treatment
of this incremental RE and EE would be
to assume that it directly replaces 2012
fossil generation levels and the
corresponding emissions on a pro rata
basis across generation types (i.e., fossil
steam and gas turbine). Although the
incremental generation levels assumed
for building blocks 3 and 4 would not
change under this approach, this
adjustment to the goal-setting formula
would yield more stringent state goals.
Note that, under this alternative
approach, the incremental RE would
replace fossil steam and NGCC
generation in proportion (i.e., pro rata)
to their historical generation.
The incremental RE and EE is
assumed to replace generation from
existing fossil sources in both the goalsetting calculation approach in the June
2014 proposal and this alternative
approach. However, these two
approaches reflect two different
interpretations of how this replacement
occurs. Under the approach in the June
2014 proposal, incremental RE and EE
could replace a generation increase from
existing fossil sources that would
otherwise occur after 2012, while under
this alternative approach, incremental
RE and EE could replace historical fossil
generation below 2012 levels. The
assumption is that the former of these
two scenarios results in a smaller
reduction in carbon intensity and,
hence, a less stringent state goal than
under the latter scenario. The former
scenario also implicitly assumes
significant increases in existing fossil
generation beyond 2012 levels absent
building block three or four.
This alternative approach would
recognize a greater reduction potential
in carbon intensity from incremental RE
and EE, and it would be more closely
analogous to the treatment of
21 Fossil generation in the formula is greater than
2012 historical levels in states where ‘‘existing’’
NGCC units were under construction during 2012
and, therefore, did not report generation in that
year.
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incremental NGCC generation identified
under building block 2 (given that under
the proposal, generation from building
block 2 was assumed to reduce carbon
intensity by replacing generation from
2012 levels). The rationale for this
approach would be that the BSER for all
fossil generation includes replacing that
generation with incremental RE and EE.
Moreover, this approach acknowledges
that, taken by itself, such incremental
generation would not necessarily
replace the highest-emitting generation,
but would likely replace a mix of
existing fossil generating technologies.
b. Prioritize replacement of historical
fossil steam generation. A second
alternative approach would be similar to
the one described above, but the
adjustment would reflect incremental
RE and EE first replacing fossil steam
generation below 2012 levels rather than
replacing all fossil generation on a pro
rata basis. Subsequent to replacing fossil
steam generation, if there were any
remaining incremental RE or EE, it
would replace gas turbine generation
levels and the corresponding emissions.
Therefore, the reduction in carbon
intensity observed from this type of
adjustment would be more than that
estimated in the proposal’s goal-setting
formula and more than the alternative
approach above, in section III.C.1.a,
because incremental and avoided
generation would replace generation
from higher-emitting fossil steam
sources first. The rationale for this
alternative approach would be based on
the view that, as part of the BSER,
because fossil steam generation has
higher carbon intensity, it should be
replaced before NGCC generation.
By identifying the two alternative
approaches above and providing more
detailed data by which to assess them,
the EPA is seeking additional
engagement during the public comment
process and supporting the ability of
stakeholders to provide comment. The
EPA is requesting comment on whether
a formula change of this nature would
better reflect the emission reduction
potential from incremental RE and EE.
In particular, the EPA is seeking
comment on how the amount of
incremental RE and EE in the June 2014
proposal relate to potential future
generation increases from existing fossil
sources. The EPA is also soliciting
comment on approaches where some
portion of such incremental generation
is calculated to replace future increases
in existing fossil generation with the
remainder assumed to replace historical
existing fossil generation. The EPA is
also requesting comment on how to treat
a state in which the incremental RE and
EE exceeds historical fossil steam
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generation levels. Together, the
approach in the proposal and the
alternative approach in this document
reflect a range of possible emission rate
impacts that could be expected through
the application of the incremental RE
and EE in the state goal calculation. The
EPA is seeking comment on which
approach better reflects the BSER. At
the same time, we note that the
alternative state goal formula
approaches listed here may raise a
number of additional considerations.
These approaches, for example, would
increase the collective stringency of the
state goals, which would likely increase
both the costs and benefits of the
proposed rule.
As noted above, at least some of these
alternative applications of the targetsetting equation would result in many
states having tighter rate-based goals.
Therefore, in considering any of these
changes, the EPA would also consider
how they relate to other issues
discussed in this document, as well as
in the original proposal, particularly
inclusion of new NGCC units in the
state goal calculation and alternatives to
the 2020–2029 glide path. While the
goal-setting formula adjustments
described here would tighten the state
goals, the glide path adjustments
discussed previously would have the
offsetting effect of reducing the
stringency of the goals. The EPA
welcomes comment specifically on the
potential changes identified in this
document in terms both of the rationale
for these changes and of their effects on
the stringency of the state goals.
2. Alternatives to the 2012 Data Year
A number of stakeholders have raised
concerns over the use of 2012 as the
single data year for calculating interim
and final goals. The EPA has identified
several approaches that stakeholders
may want to consider and upon which
we are requesting comment. The EPA is
seeking comment on whether we should
use a different single data year or the
average of a combination of years (such
as 2010, 2011, and 2012) to calculate the
state fossil fuel emission rates used in
state goal calculations. The agency is
also seeking comment on whether statespecific circumstances exist that could
justify using different data years for
individual states, as opposed to using
the same data year, or combination of
years, consistently across states.
Stakeholders have also expressed
interest in obtaining eGRID data for
years prior to 2012 in order to foster
comparison with results from the 2012
dataset. The EPA is adding, to the
docket for this action, data for the years
2010 and 2011 that are based on the
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same information sources and presented
in the same format as the 2012 dataset
used for the June 2014 proposed rule.
We are also making these data available
at: https://www2.epa.gov/
cleanpowerplan/.
Dated: October 27, 2014.
Janet G. McCabe,
Acting Assistant Administrator, Office of Air
and Radiation.
[FR Doc. 2014–25845 Filed 10–29–14; 8:45 am]
BILLING CODE 6560–50–P
DEPARTMENT OF THE INTERIOR
Fish and Wildlife Service
50 CFR Part 23
[Docket No. FWS–HQ–ES–2013–0052]
RIN 1018–AZ53
Notice of Intent To Include Four Native
U.S. Freshwater Turtle Species in
Appendix III of the Convention on
International Trade in Endangered
Species of Wild Fauna and Flora
(CITES)
Fish and Wildlife Service,
Interior.
ACTION: Proposed rule: Notice of intent
to amend CITES Appendix III.
AGENCY:
We, the U.S. Fish and
Wildlife Service (Service), propose to
include the common snapping turtle
(Chelydra serpentina), Florida softshell
turtle (Apalone ferox), smooth softshell
turtle (Apalone mutica), and spiny
softshell turtle (Apalone spinifera) in
Appendix III of the Convention on
International Trade in Endangered
Species of Wild Fauna and Flora (CITES
or Convention), including live and dead
whole specimens, and all readily
recognizable parts, products, and
derivatives. Listing these four native
U.S. freshwater turtle species (including
their subspecies, except Apalone
spinifera atra, which is already
included in Appendix I of CITES) in
Appendix III of CITES is necessary to
allow us to adequately monitor
international trade in these species; to
determine whether exports are
occurring legally, with respect to State
and Federal law; and to determine
whether further measures under CITES
or other laws are required to conserve
these species.
DATES: To ensure that we are able to
consider your comment on this
proposed rulemaking action, you must
send it by December 29, 2014.
ADDRESSES: You may submit comments
by one of the following methods:
SUMMARY:
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[Federal Register Volume 79, Number 210 (Thursday, October 30, 2014)]
[Proposed Rules]
[Pages 64543-64553]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2014-25845]
[[Page 64543]]
-----------------------------------------------------------------------
ENVIRONMENTAL PROTECTION AGENCY
40 CFR Part 60
[EPA-HQ-OAR-2013-0602; FRL-9918-53-OAR]
RIN 2060-AR33
Carbon Pollution Emission Guidelines for Existing Stationary
Sources: Electric Utility Generating Units
AGENCY: Environmental Protection Agency.
ACTION: Notice of data availability.
-----------------------------------------------------------------------
SUMMARY: The Environmental Protection Agency (EPA) is issuing this
notice of data availability (NODA) in support of the proposed rule
titled ``Carbon Pollution Emission Guidelines for Existing Stationary
Sources: Electric Utility Generating Units,'' which was published on
June 18, 2014. In this document, the EPA is providing additional
information on several topics raised by stakeholders and is soliciting
comment on the information presented. The three topic areas are the
emission reduction compliance trajectories created by the interim goal
for 2020 to 2029, certain aspects of the building block methodology,
and the way state-specific carbon dioxide (CO2) goals are
calculated.
DATES: Comments must be received on or before December 1, 2014.
ADDRESSES: Comments. Submit your comments, identified by Docket ID No.
EPA-HQ-OAR-2013-0602, 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 No. EPA-HQ-OAR-
2013-0602 in the subject line of the message.
Facsimile: (202) 566-9744. Include Docket ID No. EPA-HQ-OAR-2013-
0602 on the cover page.
Mail: Environmental Protection Agency, EPA Docket Center (EPA/DC),
Mail code 28221T, Attn: Docket ID No. EPA-HQ-OAR-2013-0602, 1200
Pennsylvania Ave. NW., Washington, DC 20460.
Hand/Courier Delivery: EPA Docket Center, Room 3334, EPA WJC West
Building, 1301 Constitution Ave. NW., Washington, DC 20004, Attn:
Docket ID No. EPA-HQ-OAR-2013-0602. Such deliveries are accepted only
during the Docket Center's normal hours of operation (8:30 a.m. to 4:30
p.m., Monday through Friday, excluding federal holidays), and special
arrangements should be made for deliveries of boxed information.
Instructions: All submissions must include the agency name and
Docket ID number (EPA-HQ-OAR-2013-0602). The EPA's policy is to include
all comments received without change, including any personal
information provided, in the public docket, available online at https://www.regulations.gov, 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 only to the following address: Ms. Amy Vasu, c/o OAQPS Document
Control Officer (C404-02), Office of Air Quality Planning and
Standards, U.S. EPA, Research Triangle Park, North Carolina 27711,
Attention Docket ID No. EPA-HQ-OAR-2013-0602. 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 you claim as CBI. In addition to one
complete version of the comment that includes information claimed as
CBI, you must submit a copy of the comment that does not contain the
information claimed as CBI for inclusion in the public docket.
Information so marked will not be disclosed except in accordance with
procedures set forth in 40 CFR part 2.
The EPA requests that you also submit a separate copy of your
comments to the contact person identified below (see FOR FURTHER
INFORMATION CONTACT). If the comment includes information you consider
to be CBI or otherwise protected, you should send a copy of the comment
that does not contain the information claimed as CBI or otherwise
protected.
The 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.
Docket: 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 EPA
Docket Center, EPA WJC West Building, Room 3334, 1301 Constitution Ave.
NW., Washington, DC. The Public Reading Room is open from 8:30 a.m. to
4:30 p.m., Monday through Friday, excluding federal 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. Visit the EPA
Docket Center homepage at https://www.epa.gov/epahome/dockets.htm for
additional information about the EPA's public docket.
In addition to being available in the docket, an electronic copy of
the proposed rule is posted on the World Wide Web (WWW) at: https://www2.epa.gov/cleanpowerplan/.
FOR FURTHER INFORMATION CONTACT: Ms. Amy Vasu, Sector Policies and
Programs Division (D205-01), U.S. EPA, Research Triangle Park, NC
27711; telephone number (919) 541-0107, facsimile number (919) 541-
4991; email address: vasu.amy@epa.gov or Ms. Marguerite McLamb, Sector
Policies and Programs Division (D205-01), U.S. EPA, Research Triangle
Park, NC 27711; telephone number (919) 541-7858, facsimile number (919)
541-4991; email address: mclamb.marguerite@epa.gov.
SUPPLEMENTARY INFORMATION: Organization of This Document. The
information presented in this document is organized as follows:
I. Background
A. Proposed Clean Power Plan
B. Purpose of the NODA
C. Overview of Topics Discussed in This NODA
II. Stakeholder Input on Select Topics in the Proposed Rule
A. The 2020 to 2029 Glide Path
B. Certain Aspects of the Building Block Methodology
C. Implementation of the Goal-Setting Equation
[[Page 64544]]
III. Topics Upon Which the EPA Is Soliciting Additional Comment
A. The 2020 to 2029 Glide Path
B. Certain Aspects of the Building Block Methodology
C. Implementation of the Goal-Setting Equation
I. Background
A. Proposed Clean Power Plan
Under the authority of Clean Air Act (CAA) section 111(d), on June
18, 2014, the EPA proposed emission guidelines for states to follow in
developing plans to address greenhouse gas (GHG) emissions from
existing fossil fuel-fired electric generating units (EGUs) (79 FR
34830). The proposed rule, which we refer to as the Clean Power Plan,
would continue progress already underway to lower the carbon intensity
of power generation in the United States (U.S.). Lower carbon intensity
means, for each megawatt-hour (MWh) of generation, fewer emissions of
CO2, which is a potent greenhouse gas that contributes to
climate change. The proposal incorporates critical elements that
reflect the information and views shared during what stakeholders have
called an unprecedented effort by the EPA, beginning in the summer of
2013, to interact directly with, and solicit input from, a wide range
of states and stakeholders. This effort encompassed several hundred
meetings across the country with, among others, officials in state
environmental and energy agencies, as well as public utility
commissions; entities in the electricity sector, including utilities,
generators, and system operators; and tribal governments, industry,
citizens groups and members of the public. Many participants submitted
written material and data to the EPA as well.
B. Purpose of the NODA
Since publication of the proposal on June 18, 2014, the EPA has
held public hearings and has continued outreach to stakeholders. During
the week of July 29, 2014, the EPA conducted eight days of public
hearings in four cities. Over 1,300 people shared their thoughts and
ideas about the proposal, and over 1,400 additional people attended
those hearings. Agency officials have also continued to engage with
states and stakeholders through meetings, webinars, and conference
calls.
The agency has heard a broad range of questions, concerns, and
constructive suggestions from stakeholders on how the proposed rule
could be improved. Many of these comments and suggestions relate to the
array of alternatives presented in the proposed rule. This document is
not intended to address all of the many issues that have been raised;
we will summarize and respond to all comments in the final rule.
Rather, the purpose of this document is to describe and seek comment on
several ideas raised by multiple stakeholders that may go beyond those
for which the agency sought comment in the June 18, 2014 proposal. By
issuing this notice, we are ensuring that other stakeholders and the
public have the opportunity to consider these ideas as they formulate
their own comments on the proposal. In section II, we describe the
specific issues and ideas raised by stakeholders and explain which of
those ideas we consider to be within or possibly beyond the scope of
comment already requested. In section III, we further discuss the
approaches stakeholders have suggested which go beyond the June 18,
2014 proposal and on which we are seeking comment through this
document.
The purpose of this document is to bring these ideas to the
attention of other stakeholders and the public and provide commenters
with a sense of the way in which the EPA believes these ideas relate to
determining the best system of emission reduction (BSER) so that they
have the opportunity to consider these ideas as they are formulating
their comments on the proposal.
It should be noted that the topics discussed in the NODA interact
with each other and some of them could have the effect of increasing
the stringency of the BSER as reflected in each state's target, while
others could have the impact of decreasing it. The effect of the ideas
presented here may have different impacts in different states,
increasing the stringency of the BSER as expressed in the state goals
in some states while decreasing it in others. The EPA welcomes comment
specifically on the potential changes identified in this document in
terms both of the rationale for these changes and of their effects on
the stringency of the state goals, as well as the ways in which the
potential changes interact with each other.
C. Overview of Topics Discussed in This NODA
Since the June 18, 2014 proposed rule, the EPA has received
feedback on a wide range of topics. This feedback includes comments
from a significant number of stakeholders that may go beyond the scope
of what the EPA originally took comment on in the proposal. The EPA
would like to identify these ideas for other stakeholders and the
public so that all stakeholders and the public are made aware of these
ideas and have the opportunity to comment on them. The topics that the
EPA is seeking additional comment on are: The compliance trajectory or
glide path of emission reductions from 2020 to 2029, certain aspects of
the building block methodology, and the way the state-specific
CO2 goals are calculated. These issues are described briefly
here and discussed in more detail in sections II and III of this
document.
Some stakeholders have expressed concern that, as proposed, the
interim goals, which govern emission reductions over the 2020-2029
period, do not provide enough flexibility for some states--
specifically, states in which building block 2 results in large amounts
of the overall required CO2 reductions relative to other
building blocks--to choose measures other than relying heavily on re-
dispatch from fossil steam generation (e.g., coal-, oil-, or gas-fired
boilers) to natural gas combined cycle (NGCC) units to achieve the
required reductions. Further, they have expressed concern that this
effect of the interim goals severely limits the opportunity to fully
take advantage of the remaining asset value of existing coal-fired
generation. Some stakeholders have even suggested that the interim
goals would force retirements of coal plants that could make unexpected
events such as last winter's polar vortex more challenging to address.
As reflected in the proposal, in a world impacted by climate change,
such severe weather events are likely to become more frequent. The
agency is seeking to ensure that, consistent with the BSER, the overall
framework that we have proposed includes sufficient flexibility,
particularly with respect to time and emission reduction strategies in
meeting the required emission goals, to allow states and sources to
readily respond to unexpected changes or demands on the system, such as
severe weather. This flexibility also reflects consideration of cost
(which could, in part, be reflected in concerns about stranded assets).
In section II.A, the EPA discusses these concerns in more detail,
as well as two alternate approaches that have been suggested by
stakeholders. We also explain that the original proposal already
requests comment on one of these alternative approaches--achieving some
reductions earlier than 2020 to allow for a more gradual reduction of
emissions between 2020 and 2030. In section III.A, we discuss and
solicit comment on another approach offered by stakeholders--the
concept of phasing in the reductions required under building block 2
over time, just as
[[Page 64545]]
reductions required under building blocks 3 and 4 are phased in over
time.
Stakeholders, including states, have also noted concerns with the
methodology used for the individual building blocks, particularly
building blocks 2 and 3. With respect to building block 2, stakeholders
have offered a range of views. Some have commented that this component
should be less stringent (i.e., require shifting less utilization from
existing coal-fired units to existing NGCC units), some have offered
that it should be more stringent (i.e., require shifting more
utilization from existing coal-fired units to existing NGCC units), and
others have offered that it should be more stringent in some states and
less stringent in other states. Some stakeholders have also noted that
they believe the higher levels of utilization of existing NGCC units
proposed for building block 2 are not feasible in the early years of
the 2020-2029 compliance period due to infrastructure constraints and
recent significant capital investments at some existing coal-fired
units.
Other stakeholders have suggested that focusing solely on
increasing utilization of existing NGCC units ignores opportunities for
emission reductions from the use of natural gas from states that are
not already using natural gas for electricity generation.
With respect to renewable energy (RE), stakeholders have expressed
concern about the discrepancy between setting targets based on in-state
renewable assets or resources while allowing other states that import
renewable energy to count certain amounts of that generation toward
their compliance. Some have also expressed concern that the approaches
proposed with respect to renewable energy impose greater stringency on
states that have already taken action to promote and deploy renewable
energy. With respect to nuclear facilities and generation, stakeholders
have raised concerns about a variety of aspects of including nuclear
power in the goal-setting equation.
In section II.B of this document, the EPA discusses these concerns
in more detail, describes alternative approaches put forward by
stakeholders and identifies which of these alternative approaches the
EPA requested comment on in the original proposal. In section III.B, we
discuss and solicit comment on additional concepts stakeholders have
suggested for addressing concerns with the methodology used for
building blocks 2 and 3. In particular, the EPA requests comment on
ways that building block 2 could be expanded to include new NGCC units
and natural gas co-firing in existing coal-fired boilers and ways that
state-level RE targets could be set based on regional potential for
renewable energy. Although a number of stakeholders have also commented
that building block 1 is too stringent, we are not discussing it at
length in this document because we have already requested comment on
this in the June 18, 2014 proposal. Comments that stakeholders have
offered on the treatment of nuclear power are also covered in the June
18, 2014 proposal and, therefore, we do not believe that it is
necessary to request additional comment on those ideas in this
document.
Stakeholders, including states, have also noted concerns with the
way the state-specific CO2 goals are calculated. These
include concerns that the numeric formula for calculating each state's
goal is not consistent in its application of the best system of
emission reduction (BSER) for building block 2, as compared with
building blocks 3 and 4, and concerns with the use of data for the
single year 2012. In section II.C, the EPA discusses these concerns in
more detail, describes alternatives noted by stakeholders and explains
that the original proposal requests comment on some of the potential
alternatives suggested by stakeholders. In section III.C we discuss and
solicit comment on two ideas suggested by stakeholders: Alternative
approaches for the goal-setting equation and alternative uses of data
in calculating the goals.
This document is not intended to be a complete summary of the wide
variety of ideas that have been raised. The agency has heard many other
concepts that are not highlighted in this document because they are
covered in the June 18, 2014 proposal.
II. Stakeholder Input on Select Topics in the Proposed Rule
In this section, the EPA explains some of the concerns, and ideas
to address those concerns, that have been raised by multiple
stakeholders. We also explain how some of those ideas have already been
addressed in the June 18, 2014 proposal and, in section III of this
document, we identify the additional new ideas on which the agency is
seeking comment.
A. The 2020 to 2029 Glide Path
Some stakeholders have expressed concern that the goal-setting
methodology--in particular, calculating the interim goals on the basis
of achieving the shift in generation assumed under building block 2 by
2020--requires states to achieve such a significant portion of the
required CO2 emission reductions early in the interim period
that it defeats the intended purpose of providing states flexibility in
how they may achieve the required emission reductions. In addition, we
have heard that there may be technical challenges associated with
achieving all of the reductions that states would be required to make
as early as 2020, when the interim period commences. Stakeholders also
have expressed concerns that such a lack of flexibility would prevent
them from taking advantage of more cost effective reduction strategies
and from ensuring that the energy system can respond to severe weather
events such as occurred during the polar vortex in 2014. The EPA is
interested in considering additional stakeholder ideas, such as those
regarding the 2020-2029 glide path, to ensure that the overall
framework includes sufficient flexibility, particularly with respect to
timing of and strategies for reducing emissions from the affected units
so that states can develop cost-effective strategies, and states,
utilities, grid operators and others can readily respond to unexpected
changes or demands on the energy system, such as severe weather.
Stakeholders have suggested two ways of addressing these concerns.
The first involves allowing credit for early CO2 emission
reductions that could be used to allow flexibility to defer additional
CO2 emission reductions until later in the 2020-2029 period.
The second approach involves phasing in building block 2 over time,
just as building blocks 3 and 4 are currently phased in.
1. Early Reductions
With regard to the suggestion that early reductions could be used
as a way to ease the 2020-2029 glide path, the agency believes that the
existing proposal provides both stakeholders and the EPA the latitude
to consider this concept. In the proposed rule, the EPA requests
comment on a range of possible approaches to this type of credit for
early action (79 FR 34918-34919). In the first approach, full
accounting of emission reductions continues to begin in 2020 but credit
could be received for certain pre-2020 reductions that could be used to
reduce the amount of reductions needed during the 2020-2029 period. The
EPA also requests comment in the proposed rule on a second approach in
which states could choose early (e.g., pre-2020) implementation of
state goal requirements, which could provide states with the ability to
achieve the
[[Page 64546]]
same amount of overall emission reductions but do so by making some
reductions earlier (79 FR 34919). The EPA recognizes that some measures
may take longer than 2020 to implement, while others can be, and are
being, implemented more quickly. Implementation of any of these ideas
would allow states or sources to include such reductions in their
compliance strategies in lieu of achieving the full measure of
reductions otherwise required in 2020 to meet the interim goal, and
would thereby result in states and/or sources being able to phase in
these reductions.\1\ It may be possible for at least some states to
take advantage of these approaches by, for example, taking advantage of
RE and demand-side energy efficiency (EE) projects already under
development and scheduled to be implemented prior to 2020 or by
expediting other projects currently scheduled to be implemented after
2020. The EPA is interested in these and other ways to ensure that
states continue the progress they are making to reduce CO2
from the power sector prior to 2020 and that this rule does not create
disincentives for those pre-2020 actions.
---------------------------------------------------------------------------
\1\ It should be noted that, in the June 2014 proposal, the EPA
recognized that programs that are implemented between 2015 and 2020,
to the extent that they continue to generate low- or zero-carbon in
2020 and beyond, are beneficial, even in the absence of crediting
such emission reductions toward compliance in 2020 because states
possessing these programs will be better positioned to comply
beginning in 2020 (79 FR 34918).
---------------------------------------------------------------------------
2. Phasing in Building Block 2 and a More Gradual Glide Path
Some stakeholders have stated that significant shifts of generation
away from coal-fired generators to NGCC units (as calculated under
building block 2 and illustrated in the Regulatory Impact Analysis
(RIA) in support of the June 18, 2014 proposal) will be difficult for
some states to achieve by 2020 as a result of technical, engineering,
and infrastructure limitations or other considerations, and may limit
cost-effective options for emission reductions. According to these
stakeholders, these concerns exist even though the proposal does not
require all emission reductions to be achieved in 2020, but rather
provides that the interim goal can be met on an average basis for the
2020-2029 period.
In the proposal, the EPA determined that emission reductions are
feasible and achievable at fossil fuel-fired steam EGUs by shifting
from more carbon-intensive EGUs to less carbon-intensive EGUs, as part
of the BSER.\2\ More specifically, the EPA concluded that, by shifting
generation from fossil fuel-fired steam units (which are primarily
coal-fired) to NGCC units, up to a utilization of 70% could be achieved
by 2020, as part of building block 2 and for purposes of establishing
state goals. In contrast, in the approach to building blocks 3 and 4,
the EPA concluded that reductions in CO2 emissions from
fossil fuel-fired units associated with increased utilization of RE and
EE would be achievable on a phased-in basis between 2020-2029,
reflecting the necessary time needed for deployment (79 FR 34866).
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\2\ See 79 FR 34862 for a discussion of the BSER analysis of
building block 2.
---------------------------------------------------------------------------
We note that the design of the guidelines makes clear that states
are not required to reach their targets using precisely the building
blocks that EPA used to determine each state's goal. Nevertheless, some
stakeholders have expressed concern that it may not be feasible to
ensure significantly higher levels of utilization for existing NGCC
units that might be required in order to meet the interim state goals
because of the time required to improve natural gas pipeline
infrastructure in some states, as well as other factors. Stakeholders
have also stated that, while some coal-fired units have recently been
constructed and many have received significant capital investment
(e.g., in the form of pollution control retrofits), some states'
interim goals could not be achieved unless these units stop operating
by 2020. According to stakeholders, this concern particularly applies
for states that have both significant amounts of steam generation and
significant amounts of existing NGCC capacity that is not currently
being operated at high levels of utilization. While the EPA solicited
comment in the proposal broadly on the proposed start date of 2020 (79
FR 34902), the proposal does not discuss specific potential rationales
for phasing in dispatch changes under building block 2. Therefore, in
this document, the EPA is explicitly requesting comment on that topic.
More detail on specific suggestions we have heard from stakeholders is
provided in section III.B of this document.
B. Certain Aspects of the Building Block Methodology
While the agency has already received significant feedback on all
four building blocks, there are specific comments and concerns
regarding particular aspects of the way in which building blocks 2 and
3 were designed that may not have been fully evident in the original
proposal and that commenters may want to consider as they prepare their
comments.
1. Stringency of Building Block 2
With regard to the ultimate stringency of building block 2
(dispatch changes among affected EGUs), stakeholders have offered a
wide range of views, with some suggesting that building block 2 should
be less stringent, others suggesting that it should be more stringent
and still others suggesting changes that could make it more stringent
in some states and less stringent in others. Some stakeholders have
expressed concerns that it might not be possible for all NGCC units to
operate at capacity factors of 70%. Other stakeholders have raised
concerns that, with respect to states with large amounts of steam
generation, the proposed approach to building block 2 creates
significant disparities in state goals between those states with little
or no NGCC generating capacity and those with significant amounts of
NGCC capacity not currently being used fully. Some stakeholders have
also suggested that the EPA's BSER determination should recognize that
there are additional opportunities to employ natural gas beyond what
the EPA included in the proposed rule: The construction and/or
increased utilization of new NGCC units and additional co-firing of
natural gas at existing fossil steam units.
In the proposed rule, the EPA invited comment on whether the BSER
should include: (1) Increasing utilization of NGCC units that are under
construction, from an expected capacity factor of 55% to 70%
(reflecting a 15% increase), and displacing generation from fossil
fired-steam units by an equivalent amount (79 FR 34876); and (2) co-
firing with natural gas (79 FR 34875). In the proposed rule, the EPA
also discussed the opportunity to reduce CO2 emissions at
affected EGUs by means of the addition, and greater operation, of new
NGCC units (i.e., beyond what is currently under construction). The
agency also solicited comment on whether new NGCC units should be
included as part of the BSER, and how to define state-level goals based
on consideration of new NGCC deployment (79 FR 34876-77).
While the agency requested comment on the use of co-firing of
natural gas and the inclusion of new NGCC units, a number of
stakeholders have suggested that building block 2 should not focus
purely on re-dispatch, but instead should focus more comprehensively or
holistically on the use of natural gas as a means of reducing
CO2 from the power sector. This concept may go beyond ideas
raised in the original proposal; therefore, the EPA invites comment on
[[Page 64547]]
this idea, as discussed in section III.B.1 of this document.
It is also worth noting that, although the EPA calculated the
proposed state goals on the basis of applying building block 2 on a
state-by-state basis (under which generation from fossil fuel-fired
steam units within the state is shifted to NGCC units within the
state), the EPA also invited comment on whether building block 2 should
be applied on a regional basis, under which generation from fossil
fuel-fired steam units within a region is shifted to NGCC units within
the region (79 FR 34865, 34899). The EPA is noting this idea to alert
commenters to the fact that it might be another possible mechanism for
addressing stakeholders' concerns about the disparity of the impact of
building block 2 between states that have already invested
significantly in developing NGCC generation and those that have not.
2. Methodology for Building Block 3 and How Building Block 3 Targets
Relate to Compliance Options
Stakeholders have noted concerns both with the treatment of
renewable generation and the treatment of nuclear generation in
building block 3.
a. Approaches for RE target setting. Stakeholders have raised
concerns regarding the renewable energy target-setting component of
building block 3, specifically what they describe as a potential
misalignment between estimating each state's target based on in-state
renewables while allowing use of out-of-state renewables for compliance
with state goals.\3\ Stakeholders have expressed interest in a target-
setting methodology that takes into account interstate exchanges of RE
in the calculation of state goals, on the premise that such an approach
would better align with existing state RE policies and potential claims
on a given state's RE generation by parties from other states (such as
renewable energy certificates and power purchase agreements). This
feedback has been received both from states that are net suppliers of
RE generation to other states and from states that are net consumers of
RE generation produced in other states. Some stakeholders have
highlighted that the state physically hosting the RE generation in
question approved its siting, issued its permits, and may make other
claims as to having supported its development and operation and, thus,
has a stake in such renewable resources. Other stakeholders have raised
concerns that, due to dynamics of the target-setting calculations
related to the in-state nature of targets, the RE target-setting
approaches in the June 2014 proposal may require substantially more RE
development from states that have already invested considerably in RE
while requiring less from states that have not put significant effort
into developing RE resources. Some stakeholders suggest that better
aligning goal-setting to probable compliance approaches may mitigate
some of these potential concerns.
---------------------------------------------------------------------------
\3\ While the June 2014 proposal included two different
approaches for quantifying RE targets to inform state goals, both
approaches premised RE targets on in-state generation potential.
---------------------------------------------------------------------------
The June 2014 proposed rule included two approaches for RE target-
setting. The approach that the EPA proposed established state RE
targets premised upon an average of state RPS requirements across
states in certain regions (see 79 FR 34866-34869 and Chapter 4 of the
technical support document (TSD) titled ``GHG Abatement Methods,''
Docket ID No. EPA-HQ-OAR-2013-0602-17180). The EPA also requested
comment on an alternative approach that used a state-by-state
determination of RE targets, based on technical and market potential
(see 79 FR 34869-34870 and ``Alternative RE Approach Technical Support
Document,'' Docket ID No. EPA-HQ-OAR-2013-0602-0458).
Both of these approaches focused on the ability to develop
renewable generation within a state. At the same time, the EPA proposed
that, for compliance, a state could take credit for any RE generation
that was related to an enforceable measure in its state, whether that
generation originated in its state or in another state. This approach
was designed to reflect the nature of existing state policy that allows
for compliance with out-of-state generation, such as renewable energy
standards (RES).
The proposed rule acknowledged the interstate nature of the
electricity system (79 FR 34921-34922), while focusing requests for
comment on alternative state plan options that could help states better
align interstate RE measures and related emission reductions in their
plan with the proposed in-state RE targets that informed their goal.\4\
These options included:
---------------------------------------------------------------------------
\4\ There is also an extensive discussion of interstate effects
and related compliance strategies in section VII of the TSD titled
``State Plan Considerations,'' Docket ID No. EPA-HQ-OAR-2013-0602-
0463.
---------------------------------------------------------------------------
(1) Allowing states to participate in multi-state plans to
distribute the CO2 emission reductions among states in the
multi-state area equivalent to the total CO2 emission
reductions of each state's in-state emission reductions from RE
measures, or to jointly demonstrate RE-related emission performance,
which would make distribution of RE impacts unnecessary (note that
these plans may be limited to, for example, RE or RE and EE, or they
may encompass all of the building blocks);
(2) allowing states to take into account only RE generation related
to emission reductions occurring in-state; and
(3) allowing a state to take credit for out-of-state emission
reductions related to RE generation only if the state demonstrates that
the generation will not also be credited by the other relevant
state(s).
Some stakeholders have suggested a different way to align state
goal setting and state compliance through adjusting the state goal-
setting method. Consistent with the proposed idea that states could
take credit for renewables developed in other states if they were
attributable to state policies such as RES programs, these stakeholders
have suggested that state targets could be developed by defining
regional RE targets, then assigning shares of those regional targets to
individual states within the region. We believe this idea lies beyond
the scope of the June 18, 2014 proposal; thus, we are sharing this idea
more broadly and requesting comment on this idea, which is discussed in
more depth in section III.
b. Inclusion of nuclear units in building block 3. Stakeholders
have provided numerous suggestions about inclusion of nuclear power in
the calculation of state goals and as a compliance option. The EPA
believes that the topics that stakeholders, including states, have
raised related to whether to, and if so, how to, include nuclear units
that are currently under construction and at-risk existing nuclear
capacity in the calculation of goals are covered in the original
proposal (79 FR 34870-34871). We are carefully considering stakeholders
comments on these topics and others for which we requested comment in
the June 18, 2014 proposal.
C. Implementation of the Goal-Setting Equation
1. Goal-Setting Equation
Some stakeholders have raised concerns that the numeric formula for
calculating each state's goal is not consistent in its application of
the BSER for building block 2, as compared with building blocks 3 and
4. They state that the goal calculation for building block 2 not only
reflects an increase in less carbon-intensive generation, but also
[[Page 64548]]
applies an equal downward adjustment to each state's total existing
fossil steam generation level in 2012, reflecting a generation shift
away from higher-emitting fossil steam generation and toward lower-
emitting NGCC generation. The result is that total generation is held
constant, with only the mix of more and less carbon-intensive
generation changing.\5\ In contrast, they state, the approach in the
proposal for incorporating building blocks 3 and 4 in the goal
calculations does not reflect shifting generation away from fossil
units because the total amount of generation is increased (including
``megawatts'' from EE as ``generation'') without any offsetting
decrease in generation from 2012 fossil generation levels. Some
stakeholders suggest that, by holding existing fossil generation at
2012 levels for purposes of goal calculation and estimating building
blocks 3 and 4 independent of the interaction with those existing
fossil generation levels, the state goals do not reflect the potential
for added generation from building block 3 and avoided generation from
building block 4 to shift generation away from existing fossil steam
generation below the 2012 level and, therefore, do not reduce
generation, and thus emissions, from affected fossil fuel-fired
generation in keeping with the EPA's proposed approach to the BSER.
---------------------------------------------------------------------------
\5\ Note that, in states with under-construction NGCC units, the
total fossil generation assumed in the proposed goal-setting
equation exceeds the 2012 level due the 55% capacity factor assumed
from these new sources.
---------------------------------------------------------------------------
Since the EPA did not address this issue explicitly in the June
2014 proposal, the EPA discusses alternative approaches that have been
suggested by stakeholders and solicits comment on these in section
III.C of this document so that all stakeholders will have an
opportunity to consider these ideas as they prepare their comments.
2. Alternatives to the 2012 Data Year
Since publication of the proposed rule, many states and other
stakeholders have expressed concern over the use of 2012 as the single
data year for calculating interim and final goals. Some states and
stakeholders have identified anomalies with generation in their state
or at their companies for 2012 that they believe make 2012 an
inappropriate base year. At proposal, the EPA considered using average
fossil generation and emission rate values over a longer period than a
single year. As a result of the goal calculation methodology, the EPA
determined that, on average, any potential changes to state goals using
a multi-year base year would be minimal, and would result in increases
for some states and decreases for others (see ``Goal Computation
Technical Support Document'' at 4, Docket ID No. EPA-HQ-OAR-2013-0602-
0460). Numerous stakeholders have expressed interest in obtaining
Emissions and Generation Resource Integrated Database (eGRID) data for
years prior to 2012 to foster comparison with results from the 2012
dataset. As is discussed further in section III.C.2 of this document,
the EPA is making available the 2010 and 2011 eGRID data and requesting
comment on the use of 2010 and 2011 data, in addition to 2012 data, in
setting state-specific CO2 goals.
III. Topics Upon Which the EPA Is Soliciting Additional Comment
As discussed above, stakeholders, including states, have raised
questions or concerns, and provided suggestions, regarding several
topics that relate either to the EPA's determination of the BSER or to
states' and sources' options for compliance with the rule requirements
and, if addressed in the final rule, could result in changes to the
stringency of the proposed emission rate-based CO2 goals, at
least for some states. The EPA is identifying these topics to ensure
that all stakeholders have the opportunity to consider these topics as
they comment on the proposal.
This document is not a comprehensive presentation of the issues
raised by stakeholders or under consideration by the EPA. The issues
presented here arise from the agency having heard concerns and
suggestions raised about the stringency of the CO2 goals;
the timeframe required for complying with those goals and its potential
impact on flexibility and cost; and unwanted effects that may arise
from the differences between and among state goals. Potential changes
to the rule based on any one of these issues could increase or decrease
the stringency of the goals or shift stringency levels between and
among states.
A. The 2020 to 2029 Glide Path
It was the EPA's intent in the proposal that, through the inclusion
of a ten-year averaging period and other flexibility mechanisms, the
interim goals would provide states with a reasonable glide path to
compliance with their final goals by 2030. However, as noted in section
II.A above, some stakeholders have expressed concerns with the approach
that the EPA used to determine states' interim goals and have stated
that, notwithstanding the flexibility provided in the proposal,
significant shifts of generation away from coal-fired generators to
NGCC units (as calculated under building block 2) will be necessary by
2020 and will be difficult for at least some states to reasonably
achieve in that timeframe. To facilitate further consideration of these
and other stakeholder concerns about the potential challenges
associated with achieving all of the reductions that states may need to
obtain as early as 2020, the EPA is seeking comment on two additional
specific adjustments to the interim goal calculations, discussed below,
that would allow for a more gradual phase-in of building block 2 during
the 2020-2029 period.
With regard to the glide path, some stakeholders have also
suggested that a phase-in of building block 1 would be appropriate. The
EPA is also requesting comment on that idea.
Stakeholders have suggested at least two additional ways that a
trajectory for a gradual phase-in could be developed to respond to
their concerns. First, a phase-in schedule could be developed for
building block 2 on the basis of whether, and to what extent, any
additional infrastructure improvements (e.g., natural gas pipeline
expansion or transmission improvements) are needed to support more use
of existing natural gas-fired generation. To the extent that more
infrastructure is needed, the methodology for building block 2 could be
modified on the basis of how much utilization shift toward existing
NGCC generation would be possible by 2020, by factoring in how quickly
additional infrastructure could be developed to support any additional
use of natural gas-fired generation by that date. This would result in
two parameters, parallel to the way that building blocks 3 and 4 are
implemented in the proposal. The first parameter would define an amount
of utilization shift to existing natural gas that is feasible by 2020,
and the second parameter would define how quickly that amount could
grow until the full amount of natural gas utilization could be achieved
as part of the BSER.
Second, building block 2 could be modified to respond to
stakeholder concerns about the pace with which generation in some
states may need to be shifted from higher-emitting to lower-emitting
units. In particular, stakeholders have expressed a concern that
shifting generation away from existing generating assets, particularly
coal-fired EGUs, could, in some situations, result in limiting cost-
effective options. As discussed in the proposal (79 FR 34925), due to
the flexibility provided by the EPA's approach to establishing state
goals, and the flexibility provided to states in developing plans to
achieve those goals, the EPA believes that the proposal
[[Page 64549]]
provides states the flexibility to specify appropriate requirements for
individual EGUs, including coal-fired EGUs, taking into account the
potential for stranded investments and other unit-specific factors.
However, to the extent that stakeholders are concerned that the tools
available to states under the proposal may, in some instances, be
inadequate to address concerns regarding stranded investments, an
additional way to address these concerns may be for the agency to take
account of the book life of the original generation asset, as well as
the book life of any major upgrades to the asset, such as major
pollution control retrofits. For example, in its modeling, the EPA
assumes a book life of 40 years for new coal-fired units.\6\ The EPA
requests comment on whether, and how, book life might be either used as
part of the basis for the development of an alternative emission glide
path for building block 2 or used to evaluate whether other ways of
developing an alternative glide path (such as the phase-in approaches
discussed above) would address stakeholders' stranded investment
concerns. The EPA is providing this additional information, arising
from stakeholder concerns, to allow additional continued engagement of
stakeholders in the comment process.
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\6\ IPM version 5.13 Documentation, Chapter 8, Financial
Assumptions, available at: https://www.epa.gov/airmarkets/progsregs/epa-ipm/docs/v513/Chapter_8.pdf.
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It is also important to consider that changes to the structure of
building blocks 2 and 3, as well as changes to the goal-setting
equation discussed below in section III.D, would likely impact the
glide path. The EPA continues to welcome other ideas on how to craft a
glide path that offers states flexibility while still ensuring that
they can achieve the final goals.
B. Certain Aspects of the Building Block Methodology
This section describes alternative approaches, including approaches
based on regional considerations or allocations. In offering these
stakeholder ideas for comment, the agency's intent is not to require
regional plans. Rather, it is to respond to stakeholder concerns that
currently proposed approaches could limit some states' flexibility in
meeting the goals. To address this concern, the agency is offering
additional stakeholder ideas that could support states' flexibility in
achieving the goals. Under any of the approaches, each state would
still have the option of submitting an individual CAA section 111(d)
plan or of participating in a multi-state CAA section 111(d) plan.
The EPA acknowledges that determining the component of the BSER
related to shifting generation from fossil fuel-fired units to
renewable units based on regional considerations or allocations among
states could result in changes to state's goals relative to a non-
regional approach. Furthermore, ultimate decisions about how a source
may respond are dependent both on whether a state participates in a
regional plan (which could effectively change the impact of the goals
across the states involved) and on how a state assigns obligations to
sources. The agency is also aware that how states decide to assign
reduction obligations in their state plans, as well as a state's
decision to develop an individual state plan or to participate in a
regional plan, can play a significant role in how sources respond.
1. Stringency of Building Block 2
In section II.B.1 above, we identified stakeholder comments on the
treatment of natural gas in building block 2 and described stakeholder
suggestions for approaches that are covered in the June 2014 proposal.
In this section, we further describe stakeholder comments and also
present new approaches for the treatment of natural gas for which the
agency is seeking comment. The EPA is providing this additional
information, arising from stakeholder concerns, to allow additional
continued engagement of stakeholders in the comment process.
Some stakeholders have raised concerns that, with respect to states
with large amounts of steam generation, the proposed approach to
building block 2 creates significant disparities in state goals between
those states with little or no NGCC generating capacity, and those with
significant amounts of NGCC capacity not currently being used fully.
Stakeholders have also raised concerns that these disparities could
result in distortions in regional electricity markets. Some
stakeholders have suggested that these disparities could be reduced by
increasing the obligation of those states with little or no NGCC
generating capacity to employ natural gas beyond what the EPA included
in the proposed rule, including the construction and/or increased
utilization of new NGCC units and additional co-firing of natural gas
at existing fossil steam units.
Greater use of new NGCC units or additional co-firing of natural
gas at existing steam boilers could result in changes in natural gas
use. Some have argued that if there is increased demand for natural gas
for new NGCC units and/or co-firing, it could add upward pressure on
natural gas prices. However, commenters may want to consider whether
there are ways to incorporate new NGCC units and co-firing into the
BSER that might not result in an overall increase in the amount of
natural gas usage, For example, if the EPA adopts the type of more
gradual glide path for building block 2 described above in section
III.A, increases in natural gas use from new NGCC units and increased
co-firing might leave the amount of overall natural gas use similar to
what would result from what the EPA proposed in building block 2 (at
least in the early years of the glide path).
Some stakeholders have suggested other reasons to consider new NGCC
generation and natural gas co-firing as part of building block 2. They
note that the incorporation of natural gas as part of the BSER should
consider the cost and feasibility of the total amount of natural gas
used, as opposed to the extent to which the gas is used for particular
types of generation (i.e., existing NGCC generation, new NGCC
generation, or co-firing). In the proposal, the EPA concluded that
existing NGCC generation, which relies upon existing infrastructure,
was the most cost-effective manner in which to base building block 2.
However, there may be other important considerations that can shape the
relationship of the BSER to natural gas consumption, such as the
ability to build new infrastructure and the flexibility that co-firing
could provide.
These stakeholders note that this expanded approach would be more
consistent with historic NGCC deployment, better reflect growing
geographic availability of natural gas supply, contribute to expanded
generation fuel diversity in states that currently have relatively
little NGCC capacity, and offer more cost-effective emission
reductions.
The EPA has identified one potential approach to accommodate these
stakeholder suggestions about utilization of new NGCC generation or co-
firing, especially in states with little or no existing NGCC capacity,
to assist public engagement during the comment process and to solicit
more specific comment. This approach would be to include an assumption
about some minimum level of generation shift from higher-emitting to
lower-emitting sources for all states containing some fossil steam
generation in the state goals. In determining this minimum amount, it
should be recalled that the proposal indicated a total amount of
generation shift from fossil steam to NGCC generation assumed in
building
[[Page 64550]]
block 2 for each state.\7\ The 2012 eGRID data, used for purposes of
setting state goals, reflects the total generation for each state.
Dividing the former by the latter provides the percentage of each
state's generation that is shifted from higher-emitting to lower-
emitting sources. For example, on average, the states that are able to
shift fossil steam generation to lower-emitting generation sources
shift 55% of their fossil steam generation, on average, under the
proposed approach. The lower quartile of these states shift
approximately 12% of their fossil steam generation.\8\
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\7\ See ``Regulatory Impact Analysis for the Proposed Carbon
Pollution Guidelines for Existing Power Plants and Emission
Standards for Modified and Reconstructed Power Plants'' (June 2014).
Docket ID No. EPA-HQ-OAR-2013-0602-0391 at 3-24.
\8\ This is based on the forty states that had: (1) NGCC
capacity in 2012, and (2) some fossil steam generation from which
shifting could occur. The 55% and 12% discussed here are non-
weighted averages of the percentage fossil steam generation shift
observed in each state, the nationwide percentage of fossil steam
generation shift assumed was 28%. See ``Goal Computation Technical
Support Document,'' Docket ID No. EPA-HQ-OAR-2013-0602-0460,
``Appendix 1--State Goal Data and Computation,'' Docket ID No. EPA-
HQ-OAR-2013-0602-0255, and ``2012 Unit-level Data Using the eGRID
Methodology,'' Docket ID No. EPA-HQ-OAR-2013-0602-0254.
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The EPA solicits comment on whether to establish some minimum value
as a floor for the amount of generation shift for purposes of building
block 2, whether that shift takes the form of re-dispatch from steam
generation to existing NGCC units, re-dispatch to new NGCC units, or
co-firing natural gas in existing coal-fired boilers. The EPA also
solicits comment on what that value should be, e.g., the lower quartile
value of 12%, or any other value between 0 and the 55% average
described above. To illustrate this minimum approach, if the lower
quartile value were used, a state with 100 MWh of fossil generation and
no existing NGCC generation in 2012 would have a state goal premised on
12 MWh shifting from higher-emitting to lower-emitting NGCC generation.
The EPA also solicits comment on how this approach to add a minimum
requirement for states that currently have little or no NGCC capacity
should relate to the proposed approach that requires states with
significant amounts of unused NGCC capacity to utilize up to 70% of
that capacity. Note at the outset that the total nationwide amount of
NGCC generation assumed under building block 2 is approximately 1,450
terrawatt-hours (TWh). Should the minimum generation shifts in states
with little or no NGCC capacity be in addition to this total amount?
Alternatively, should the total level of gas use for purposes of
building block 2 be held the same? Under the latter approach, the
amount of generation from states with higher amounts of NGCC capacity
would be reduced in amounts equal to the additional NGCC generation
applied to states with zero- or low-NGCC capacity states, for building
block 2. This approach would further reduce the disparities between
states with little or no NGCC capacity and those with significant
amounts of NGCC capacity.
Some stakeholders have made additional observations about natural
gas co-firing, in response to the EPA's solicitation of comment in the
proposed rulemaking (79 FR 34865). They have brought to the EPA's
attention that there are some benefits associated with the co-firing of
natural gas with coal that might make it a practical option for
consideration in goal setting and compliance in lieu of, or in addition
to, shifting from coal-fired steam generating units to NGCC units. For
example, stakeholders point out that co-firing can reduce emissions of
nitrogen oxides (NOX); sulfur dioxide (SO2);
particulate matter; and hazardous air pollutants, including mercury.
Co-firing could also reduce some portion of the costs related to
control of these pollutants (depending on the extent of co-firing). Co-
firing might also provide additional operational flexibility,
particularly for coal-fired units that are regularly used at less than
full load or that cycle regularly. Co-firing may allow units to ramp up
and down more quickly, which could give a company the opportunity to
take advantage of low fuel prices, when they occur, to achieve cost
savings. Co-firing could allow additional time for implementation of
strategies in state plans that have a lengthier implementation
timeframe, such as building up a robust energy efficiency program.
Further, co-firing could provide an opportunity to achieve emission
reductions at existing higher-emitting units with relatively low levels
of capital investment, thereby addressing companies' concerns about
stranded assets. It should also be noted that utilities continue to
announce conversions or plans to convert coal-fired steam boilers to
natural gas.\9\ We noted and requested comment on some, but not all, of
these observations in the June 18, 2014 proposal (see 79 FR 34875-
34876).
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\9\ ``Coal unit retirements, conversions continue to sweep
through power sector.'' M. Niven and N. Powell. SNL Financial,
Charlottesville, VA. October 14, 2014. Accessed on 10/22/14 at:
https://www.snl.com/InteractiveX/Article.aspx?cdid=A-9431641-13357.
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We are requesting comment on these aspects of the costs and
potential benefits (or offsetting cost advantages) of co-firing natural
gas at existing coal plants, to the extent they were not considered or
presented for comment in the proposed rule, along with any other
additional costs and potential benefits of such co-firing that could be
considered in goal setting. In addition, we are requesting comment on
other factors or variables that might affect the decision to use
natural gas in co-firing at a particular unit (e.g., type, age, or size
of a boiler), as well as factors that could limit the amount of co-
firing that could be done. For units currently co-firing with natural
gas, we request comment on the benefits experienced and the extent to
which co-firing is being done.
It should be noted that in its June 2014 proposal, the EPA stated
that replacing fossil steam generation with new NGCC units and natural
gas co-firing at existing fossil steam units may be considered the BSER
for various reasons. New NGCC units and natural gas co-firing at
existing fossil steam units may be considered part of a ``system of
emission reduction,'' in light of the broad definition of that phrase;
for example, the affected sources can themselves undertake those
actions (i.e., fossil steam generators may invest in new NGCC units and
coal-fired steam generators may co-fire with natural gas); and steam
generators may reduce their utilization, which, through the operation
of the market, would lead to the construction of new NGCC capacity (see
79 FR 34885-90). In addition, replacing fossil steam generation with
new NGCC units and natural gas co-firing at existing fossil steam units
are ``adequately demonstrated'' in light of the extent to which they
have already occurred.
As discussed above in section II.B, the June 2014 proposal already
solicits comment on an alternative approach to addressing the concern
that states with little existing natural gas infrastructure do not have
the same opportunities to shift generation to lower-emitting NGCC
units. We are highlighting this alternative approach from the June 2014
proposal so that stakeholders can consider whether this approach could
address their concerns. Under this approach, regional availability of
NGCC generation would be considered rather than just in-state
availability of NGCC generation in setting building block 2 targets.
Determining the appropriate levels of generation shift under building
block 2 in a similar, regional manner--
[[Page 64551]]
using either the same regional structure as that defined by the EPA for
the RIA of the proposed rule (i.e., six regions whose borders are
informed by North American Electric Reliability (NERC) regions and
Regional Transmission Organizations (RTOs)) (79 FR 34865 n. 142),\10\
or some alternative regional structure--could be another way to
mitigate the concerns expressed by stakeholders that building block 2
has little or no effect on certain states with large amounts of coal-
fired generation and limited excess NGCC capacity. The EPA seeks
comment on the appropriate regional structure to use in such a
framework and the appropriate manner in which the goals could be
derived and allocated among states.
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\10\ See ``Regulatory Impact Analysis for the Proposed Carbon
Pollution Guidelines for Existing Power Plants and Emission
Standards for Modified and Reconstructed Power Plants'' (June 2014)
Docket ID No. EPA-HQ-OAR-2013-0602-0391 at 3-11; TSD on ``GHG
Abatement Measures'' (June 2014), Docket ID No. EPA-HQ-OAR-2013-
0602-0437 at 3-25.
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2. Methodology for Building Block 3 and How Building Block 3 Targets
Relate to Compliance Options
In section II.B.2 above, we identified stakeholder comments on the
renewable energy target-setting component of building block 3 and
described two methodological approaches for RE target-setting that are
within the scope of the June 2014 proposal. In this section, we provide
a conceptual discussion of a third methodological option for RE targets
that some stakeholders have suggested and which we refer to here as a
regionalized approach. This approach adjusts each state's RE target
based on the RE potential available across a multi-state region in
which the state is located. Under this approach, a state's goal would
be informed by the opportunity to develop out-of-state RE resources as
part of its state plan, and thus better align RE targets with the
proposal to allow the use of certain out-of-state renewables for
compliance, in accordance with stakeholder comments described in
section II.B.2. This regionalized approach could group states into
regions; aggregate RE generation potential across states within each
region; and then reapportion the aggregate identified RE generation to
individual states according to criteria that assume regional RE
development in which parties in multiple states participate, regardless
of the specific state where the generation occurs. One example of this
type of regionalized approach would be grouping states into the
regional structure shown in the June 2014 proposal \11\ (79 FR 34866-
34867); for each region, summing the RE target generation identified
under the alternative approach in the June 2014 proposal for all states
in that region; and then reallocating that summed generation
proportionally to each state within that region by a chosen criterion,
such as each state's share of total electricity sales within that
region in 2012.\12\ The EPA requests comment on this regionalized
approach for RE target setting, and specifically on the reallocation
criterion.
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\11\ The regions were defined as follows, East Central:
Delaware, District of Columbia, Maryland, New Jersey, Ohio,
Pennsylvania, Virginia, West Virginia; North Central: Illinois,
Indiana, Iowa, Michigan, Minnesota, Missouri, North Dakota, South
Dakota, Wisconsin; Northeast: Connecticut, Maine, Massachusetts, New
Hampshire, New York, Rhode Island, Vermont; South Central: Arkansas,
Kansas, Louisiana, Nebraska, Oklahoma, Texas; Southeast: Alabama,
Florida, Georgia, Kentucky, Mississippi, North Carolina, South
Carolina, Tennessee; and West: Arizona, California, Colorado, Idaho,
Montana, Nevada, New Mexico, Oregon, Utah, Washington, Wyoming.
Alaska and Hawaii were considered as two individual regions. Because
Vermont and the District of Columbia lack affected sources, no goals
are being proposed for these jurisdictions.
\12\ This criterion could be informed by publicly available data
in 2012 Retail Sales of Electricity by State by Sector by Provider,
as reported from EIA Form 861, available at: https://www.eia.gov/electricity/data/state./
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The agency also requests comment on several key methodological
assumptions involved in this regionalized approach. First, the EPA
requests comment on what the regional structure would be, as well as a
justification for that structure. One option would be grouping states
together that are currently involved in interstate RE exchanges and are
likely to do so in the future, and would include a balance of states
that are net suppliers and states that are net consumers of RE
generation. We invite comment on how a potential regional structure for
this regionalized RE approach could address these concerns.
Regional structures could be informed by NERC regions,\13\ FERC
Planning Regions,\14\ RTOs,\15\ current regional renewable energy
credit tracking systems,'' \16\ or some other approach. We recognize
that some of these structures may need to be adjusted to conform to
state boundaries for the purposes of informing state goals, and we
invite comment on how to do so. In addition, some of these regional
structures may yield isolated states, and we seek comment on whether
these should be single-state regions or whether adjustments should be
made to incorporate such states into multi-state regions. We also cite
the regional structure used in the proposed target-setting approach and
in compliance modeling as one example of a regional structure that
could be used (79 FR 34866-34867). We noted above in section II.B.1, as
well as in section III.B.1, that the June 2014 proposal sought comment
on a regional approach to building block 2 and provided analysis using
a structure informed by NERC regions and RTOs. It may be appropriate to
use the same regional structure for building blocks 2 and 3, whether it
is the one specified in the block 2 analysis or an alternative
structure, particularly if transmission concerns are a primary driver
of the structure. The EPA seeks comment on these regional structure
considerations.
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\13\ Further information is available at: https://www.nerc.com/AboutNERC/keyplayers/Pages/Regional-Entities.aspx.
\14\ An illustrative map is provided on p. 4 of the document at
the following link: https://www.ferc.gov/media/news-releases/2011/2011-3/07-21-11-E-6-presentation.pdf.
\15\ Further information and an illustrative map are available
at https://www.ferc.gov/industries/electric/indus-act/rto.asp.
\16\ There are several renewable energy tracking systems that
serve to issue and retire renewable energy credits (RECs) across
regions in the U.S. More information, including an illustrative map,
is available from the U.S. Department of Energy at https://apps3.eere.energy.gov/greenpower/markets/certificates.shtml?page=3.
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Second, the EPA requests comment on the criteria that should be
used for reapportioning state RE targets within given regions, as well
as a justification for those criteria. The agency believes that a
useful criterion would provide a simple state-specific quantitative
characteristic that reflects interstate patterns to develop RE
potential at reasonable cost across a region. Total electricity sales
in each state in 2012 is an example of a possible criterion. Another
possible criterion is total generation in each state in 2012. The EPA
requests comment on other possible criteria.
Third, the EPA requests comment on what components of the state RE
targets should be regionalized under such an approach. For example, a
regional approach may or may not apply to the entirety of each state's
RE target from the alternative approach in the June 2014 proposal; the
generation that would be reallocated across states in a given region
may or may not include existing generation (as of 2012), incremental
generation (beyond 2012 levels), or all types of RE generation (e.g.,
solar, wind) considered. In the June 2014 proposed rule, the EPA sought
comment on the role of existing hydropower in target-setting (79 FR
34869), and we also request comment on whether a regionalized approach
should or should not reallocate existing hydropower generation across
states (even if all other types of RE generation
[[Page 64552]]
are reallocated across states under a regionalized approach).\17\
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\17\ It should be noted that the EPA is not, in this document,
addressing stakeholder comments concerning whether existing RE
generation should be included in building block 3 or what types of
generation (e.g., hydropower) to include in existing RE or
incremental RE, the possibility of a floor based on 2012 generation
or the possibility of a limitation based on 2012 fossil fuel-fired
generation--those issues are already clearly covered in the June
2014 proposal's request for comments and should be applied to this
regionalized approach as well. Stakeholders are encouraged to
provide input on these and other issues addressed in the proposal.
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The EPA is requesting comment on the above approach, the extent to
which the approach allows for states to address interstate RE concerns,
and whether there are other ways to treat RE target-setting informing
state goals that would take into account interstate effects. We are
also still taking comment on the two approaches for RE target-setting
specified in the June 2014 proposal. Finally, the EPA notes that there
are a number of possible methodologies for using technical and economic
renewable energy potential to quantify RE generation for purposes of
state goals. The EPA invites comment on other possible techno-economic
approaches.
C. Implementation of the Goal-Setting Equation
1. Goal-Setting Equation
As noted above in section II.C.1, stakeholders have raised concerns
that the proposed numeric formula for calculating each state's goal is
not consistent in its application of the BSER for incremental
generation from existing NGCC units under building block 2, as compared
with incremental RE generation and EE generation avoidance under
building blocks 3 and 4. (For ease of reference, unless otherwise
indicated, we refer to both incremental RE generation and incremental
EE generation avoidance \18\ as ``incremental RE and EE.'') \19\ They
state that, for building block 2, the formula subtracts 1 MWh of fossil
steam generation and corresponding emissions from the 2012 baseline
levels for every 1 MWh of incremental NGCC generation (subtracting
emissions from the numerator and subtracting generation from the
denominator of the goal calculation formula) (see 79 FR 34896 and
``Goal Computation Technical Support Document,'' Docket ID No. EPA-HQ-
OAR-2013-0602-0460, at 10-12). In the stakeholders' view, this approach
reflects the assumption that incremental NGCC generation will supplant
historical fossil steam generation levels.
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\18\ EE avoidance is incorporated into the goal-setting formula
as zero-emitting generation.
\19\ This section discusses approaches for state goal
calculations that focus specifically on the treatment of incremental
RE generation and EE generation avoidance. The June 2014 proposal
set out a methodology for state goal calculations that includes
existing RE, and comments on that inclusion are within the scope of
the proposal. The state goal calculation methods outlined in this
section are independent of the treatment of existing RE.
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In contrast, as the stakeholders also point out, the formula adds
incremental RE and EE to 2012 baseline generation levels (in the
denominator of that formula) but does not reduce the 2012 baseline
levels of fossil generation (in the denominator of the formula) by that
incremental RE and EE, or remove the corresponding emissions (in the
numerator of that formula) (see 79 FR 34896 and ``Goal Computation
Technical Support Document,'' Docket ID No. EPA-HQ-OAR-2013-0602-0460,
at 15-18). In the stakeholders' view, by holding existing fossil
generation and the corresponding emissions at 2012 levels, and not
reducing them based on the amounts of incremental RE and EE, the state
goals fail to reflect the full potential, under the BSER, for
incremental RE and EE to replace fossil steam generation. Instead,
simply adding incremental RE and EE to the denominator, while making no
equivalent subtraction from the 2012 levels of fossil generation and
corresponding emissions, does not clearly indicate whether, and to what
extent, that generation will replace existing fossil generation as
opposed to future generation increases from existing sources.
Some stakeholders have suggested an alternative approach of
applying generation from building blocks 3 and 4 to reduce fossil
generation below 2012 levels in the goal calculation. They have stated
that this alternative approach is more consistent with the treatment of
generation under building block 2, while also achieving greater
CO2 reductions. They suggest that the alternative approach,
in which incremental RE and EE explicitly replaces generation from
fossil fuel-fired sources in the goal calculation, better represents
the BSER by better reflecting the likely reductions in fossil
generation (and corresponding reduction in emissions) that can be
achieved by affected sources.\20\
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\20\ This alternative approach would be consistent with
identifying, as part of the BSER, fossil generating sources
replacing their historical generation levels with incremental RE and
EE.
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The following subsections describe two different approaches for
revising the state goal-setting formula to address this concern. These
approaches are being shared more broadly to allow continued stakeholder
engagement and to enhance the ability of stakeholders to submit
substantive comments.
a. Replace all historical fossil generation on a pro rata basis.
The proposed state goal-setting formula assumes a constant level of
generation for total existing fossil generation greater than or equal
to 2012 historical levels (i.e., the amount of fossil generation in the
denominator of the state goal equation is greater than or equal to 2012
levels).\21\ In the proposal, incremental RE and EE was simply added to
the denominator of the state goal formula. An alternative treatment of
this incremental RE and EE would be to assume that it directly replaces
2012 fossil generation levels and the corresponding emissions on a pro
rata basis across generation types (i.e., fossil steam and gas
turbine). Although the incremental generation levels assumed for
building blocks 3 and 4 would not change under this approach, this
adjustment to the goal-setting formula would yield more stringent state
goals. Note that, under this alternative approach, the incremental RE
would replace fossil steam and NGCC generation in proportion (i.e., pro
rata) to their historical generation.
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\21\ Fossil generation in the formula is greater than 2012
historical levels in states where ``existing'' NGCC units were under
construction during 2012 and, therefore, did not report generation
in that year.
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The incremental RE and EE is assumed to replace generation from
existing fossil sources in both the goal-setting calculation approach
in the June 2014 proposal and this alternative approach. However, these
two approaches reflect two different interpretations of how this
replacement occurs. Under the approach in the June 2014 proposal,
incremental RE and EE could replace a generation increase from existing
fossil sources that would otherwise occur after 2012, while under this
alternative approach, incremental RE and EE could replace historical
fossil generation below 2012 levels. The assumption is that the former
of these two scenarios results in a smaller reduction in carbon
intensity and, hence, a less stringent state goal than under the latter
scenario. The former scenario also implicitly assumes significant
increases in existing fossil generation beyond 2012 levels absent
building block three or four.
This alternative approach would recognize a greater reduction
potential in carbon intensity from incremental RE and EE, and it would
be more closely analogous to the treatment of
[[Page 64553]]
incremental NGCC generation identified under building block 2 (given
that under the proposal, generation from building block 2 was assumed
to reduce carbon intensity by replacing generation from 2012 levels).
The rationale for this approach would be that the BSER for all fossil
generation includes replacing that generation with incremental RE and
EE. Moreover, this approach acknowledges that, taken by itself, such
incremental generation would not necessarily replace the highest-
emitting generation, but would likely replace a mix of existing fossil
generating technologies.
b. Prioritize replacement of historical fossil steam generation. A
second alternative approach would be similar to the one described
above, but the adjustment would reflect incremental RE and EE first
replacing fossil steam generation below 2012 levels rather than
replacing all fossil generation on a pro rata basis. Subsequent to
replacing fossil steam generation, if there were any remaining
incremental RE or EE, it would replace gas turbine generation levels
and the corresponding emissions. Therefore, the reduction in carbon
intensity observed from this type of adjustment would be more than that
estimated in the proposal's goal-setting formula and more than the
alternative approach above, in section III.C.1.a, because incremental
and avoided generation would replace generation from higher-emitting
fossil steam sources first. The rationale for this alternative approach
would be based on the view that, as part of the BSER, because fossil
steam generation has higher carbon intensity, it should be replaced
before NGCC generation.
By identifying the two alternative approaches above and providing
more detailed data by which to assess them, the EPA is seeking
additional engagement during the public comment process and supporting
the ability of stakeholders to provide comment. The EPA is requesting
comment on whether a formula change of this nature would better reflect
the emission reduction potential from incremental RE and EE. In
particular, the EPA is seeking comment on how the amount of incremental
RE and EE in the June 2014 proposal relate to potential future
generation increases from existing fossil sources. The EPA is also
soliciting comment on approaches where some portion of such incremental
generation is calculated to replace future increases in existing fossil
generation with the remainder assumed to replace historical existing
fossil generation. The EPA is also requesting comment on how to treat a
state in which the incremental RE and EE exceeds historical fossil
steam generation levels. Together, the approach in the proposal and the
alternative approach in this document reflect a range of possible
emission rate impacts that could be expected through the application of
the incremental RE and EE in the state goal calculation. The EPA is
seeking comment on which approach better reflects the BSER. At the same
time, we note that the alternative state goal formula approaches listed
here may raise a number of additional considerations. These approaches,
for example, would increase the collective stringency of the state
goals, which would likely increase both the costs and benefits of the
proposed rule.
As noted above, at least some of these alternative applications of
the target-setting equation would result in many states having tighter
rate-based goals. Therefore, in considering any of these changes, the
EPA would also consider how they relate to other issues discussed in
this document, as well as in the original proposal, particularly
inclusion of new NGCC units in the state goal calculation and
alternatives to the 2020-2029 glide path. While the goal-setting
formula adjustments described here would tighten the state goals, the
glide path adjustments discussed previously would have the offsetting
effect of reducing the stringency of the goals. The EPA welcomes
comment specifically on the potential changes identified in this
document in terms both of the rationale for these changes and of their
effects on the stringency of the state goals.
2. Alternatives to the 2012 Data Year
A number of stakeholders have raised concerns over the use of 2012
as the single data year for calculating interim and final goals. The
EPA has identified several approaches that stakeholders may want to
consider and upon which we are requesting comment. The EPA is seeking
comment on whether we should use a different single data year or the
average of a combination of years (such as 2010, 2011, and 2012) to
calculate the state fossil fuel emission rates used in state goal
calculations. The agency is also seeking comment on whether state-
specific circumstances exist that could justify using different data
years for individual states, as opposed to using the same data year, or
combination of years, consistently across states.
Stakeholders have also expressed interest in obtaining eGRID data
for years prior to 2012 in order to foster comparison with results from
the 2012 dataset. The EPA is adding, to the docket for this action,
data for the years 2010 and 2011 that are based on the same information
sources and presented in the same format as the 2012 dataset used for
the June 2014 proposed rule. We are also making these data available
at: https://www2.epa.gov/cleanpowerplan/.
Dated: October 27, 2014.
Janet G. McCabe,
Acting Assistant Administrator, Office of Air and Radiation.
[FR Doc. 2014-25845 Filed 10-29-14; 8:45 am]
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